Date: 20070927
Docket: T-1314-05
Citation: 2007 FC 971
Ottawa, Ontario, September
27, 2007
PRESENT: The Honourable Mr. Justice Mosley
BETWEEN:
PFIZER CANADA INC.
AND PFIZER IRELAND PHARMACEUTICALS
Applicants
and
APOTEX INC.
AND THE MINISTER OF HEALTH
Respondents
REASONS FOR JUDGMENT AND JUDGMENT
[1] The applicants market a drug for the treatment of Erectile Disfunction,
or “ED” as it is more discretely referred to in the advertisements, under the
brand name VIAGRA. For many years, the “Holy Grail” of impotence therapy was to
find an orally administered medication to alleviate the symptoms. The
applicants obtained patent protection for the use of the compound sildenafil for
this purpose. The respondent Apotex Inc. says that the patent is invalid for
several reasons, notably that the use of sildenafil for such use was obvious in
light of the state of the art, and that it should therefore be allowed to
market its own generic version.
[2] Pfizer Canada Inc., and Pfizer Ireland
Pharmaceuticals, hereafter the “applicants” or “Pfizer”, seek an order
prohibiting the Minister of Health from issuing a Notice of Compliance to Apotex
Inc. in accordance with section 6(1) of the Patented Medicines (Notice of Compliance) Regulations, S.O.R./93-133 for sildenafil, sildenafil citrate, or for any
drug which has a connection to the drug known as sildenafil citrate, as
described in section 5(1) or section 5(1.1) of the Regulations, until after the
expiry of its patent.
[3] For the reasons that follow, I conclude
that the applicants have met their burden of proof on the balance of
probabilities to establish for the purpose of these proceedings that the patent
is valid and that the prohibition order should issue.
THE PATENT AT ISSUE
[4] The applicants obtained Canadian Patent No. 2,163,446
(hereafter the ‘466 Patent) on July 7, 1998 from an application filed in
Canada on May 13, 1994 claiming priority from Great Britain Patent Application
No. 9311920.4 filed on June 9, 1993. The ‘466 Patent will expire on May 13,
2014.
[5] Two disclaimers have been
filed and recorded with respect to the ‘466 Patent, the first on December 11,
2002 (hereafter the “first disclaimer”) and the second on April 29, 2004
(hereafter the “second disclaimer”). The primary effect of the two disclaimers
was to limit all Claims to the treatment of ED in men.
[6]
Pfizer Ireland
Pharmaceuticals owns the ‘466 Patent and is party to these proceedings pursuant
to section 6(4) of the Regulations. Pfizer Canada Inc. is a “first person”
under the Regulations, and Apotex Inc. is a “second person”. The Minister of Health
maintains a register of information submitted under s. 4 of the Regulations,
and subject to the Regulations or an order of this Court, may issue an NOC to a
“second person”. As is usual in these matters the Minister played no role in
these proceedings and all references to the “respondent” herein relate to
Apotex.
[7]
Pfizer Canada Inc. submitted
a patent list pursuant to Section 4(1) of the Regulations in connection with
NOCs in its name for 25 mg, 50 mg and 100 mg oral tablets of the drug known as
sildenafil or sildenafil citrate (hereafter “sildenafil”). The patent list
includes the ‘446 Patent and Canadian Patents Nos. 2, 044,748 and 2,262,268.
[8] Apotex delivered its Notice of Allegation
(NOA) on June 16, 2005 to Pfizer Canada Inc. in relation to the ‘466 Patent. In
this NOA, Apotex claims to have filed with the Minister of Health a submission
for sildenafil citrate tablets for oral administration in strengths of 25, 50
and 100 mg tablets for the treatment of ED in men, arguing that the ‘446 Patent
is invalid. I note that Pfizer initially took issue with the manner in which
the NOA was delivered, by courier, as not being proper service as prescribed by
s. 9 of the Regulations. That objection was abandoned in the course of the
proceedings.
[9] The applicants filed their Notice of Application
on July 28, 2005 and it was amended on February 5, 2007. By order of the case
management Prothonotary dated October 31, 2006 the 24 month statutory stay
provided for in s.7(1) (c) of the regulations was extended to October 31 , 2007.
[10]
On May 24, 2007 the
respondent filed a Notice of Motion returnable on May 28th, the
opening date of the hearing, seeking dismissal of the application pursuant to
paragraph 6(5)(a) of the Regulations on the ground that the Claims in Issue
were not eligible for inclusion in the patent list as they were neither claims
to a medicine, nor claims to the use of a medicine within the meaning of the
regulations. At the outset of the hearing, I advised counsel that I would hear
argument and deal with that question as one of the issues to be dealt with on
the prohibition application. As discussed below, I find no merit in the
respondent’s submissions on this issue and dismiss the motion as part of the
disposition of these proceedings.
[11]
Before addressing the
issues, it will be helpful to briefly describe penile physiology and how
sildenafil works to alleviate ED.
HOW SILDENAFIL WORKS
[12]
The erectile process involves smooth muscle tissue in the penis. The
penis contains two symmetrical compartments above and on either side of the
urethra each of which is called a
corpus cavernosum. They consist of
small blood vessels or passages surrounded by smooth muscle which can contract
or relax as with any form of muscle. Blood is supplied to the corpora cavernosa
by a network of arteries and it is drained from them through veins. When
flaccid, the flow of blood into the corpora is restrained by contraction of the
smooth muscle surrounding the arterial network. The penis becomes erect when the penile
smooth muscle relaxes and blood flows through the arterial network and into the
small blood vessels or sinusoids. The resulting swelling squeezes the veins
thus reducing their drainage capacity.
[13]
Full erection is achieved when the pressure in the corpora
cavernosa equals the pressure of the blood leaving the heart. Detumescence
results when the smooth muscles contract, the arteries are again restricted and
pressure on the veins relaxed allowing for the outflow of blood. Abnormal
vascular responsiveness is the underlying cause of impotence in the majority of
sufferers and the most common cause is the failure to retain blood within the
sinusoids.
[14]
Penile smooth muscle is “told what to do” by a complex
biochemical system involving chemical messengers operating on communication
systems called pathways in the evidence. The term is used to describe a
chain of related events in a signal transmission extending from the source of
the signal to a cell and continuing within the cell through the various steps
that are triggered to change the cell. The NO-cGMP pathway in particular plays
a central role in the mechanism of penile erection and defects in this pathway
can lead to impotence and
underlie certain diseases that cause ED.
[15]
In the NO-CGMP pathway, a “first messenger” (nitric oxide) relays
a message to the inside of the smooth muscle cells, activating receptors to
stimulate the production of a “second messenger” (cGMP or cyclic3c,5c,-guanosine
monophosphate). Nitric oxide (NO) is produced or released from two
sources: endothelium cells in the lining of the smooth muscle and nerves in the
smooth muscle known as non-adrenergic non-cholinergic or NANC nerves. Accordingly,
this route is referred to as the NANC pathway. NO is produced by a reaction
from a chemical called L-arginine catalyzed by the
enzyme nitric oxide synthase. This was often referred to in the evidence as the
“front end” of the process.
[16]
The production of cGMP sets off a chain of events that leads to
relaxation of the smooth muscle in the penis. This allows more blood to
enter causing an increase in pressure which restricts blood outflow, the
resulting effect being an erection. In brief, production of cGMP
contributes to tumescence and its removal leads to detumescence. Another chemical agent which relaxes smooth
muscle is cyclic adenosine monophosphate or cAMP, produced by other material in
response to different chemical messengers.
[17]
The physiological effects of cGMP and cAMP may
be reduced by PDE (phosphodiesterases) enzymes, which break down (hydrolyze)
cGMP and cAMP by binding to the molecules. By June 1993, it was known that
there were five PDEs and that some of them could be inhibited or blocked by
other chemicals called PDE inhibitors. By inhibiting a PDE, one can stop the
degradation of cGMP or cAMP. Inhibiters are selective in that they
preferentially hydrolyze a particular enzyme, for example PDE5 is a selective
cGMP PDE in that it prefers to hydrolyze cGMP over other enzymes. PDE4 is
specific to cAMP only. The others are non-specific but PDE3 is more effective
with cAMP.
[18]
Sildenafil was initially developed by Pfizer in the mid-1980s as
one of a number of compounds which could be employed in the treatment of
hypertension and angina, cardiovascular conditions in which smooth muscle cells
are implicated. Due to PDE5’s functional importance
in the process of penile erection, and the fact that sildenafil is a potent and
selective cGMP PDE inhibitor, sildenafil is able to treat ED in men through the
operation of the NO-cGMP
pathway.
ISSUES
[19]
Apotex does not dispute that their proposed
tablets of sildenafil citrate would be infringing if the patent is valid in the
sense that issuance of the prohibition order is justified. Validity in the
context of these proceedings is limited to the scope of the regulations. The
issues raised by Apotex’s NOA and addressed at the hearing of this application can
be stated as follows:
1.
Burden of proof;
2. Validity of the disclaimers relating to the ‘466
Patent;
3. Validity of the patent on the basis of one or more of
the following:
a) obviousness;
b) anticipation;
c) the relevant claims being broader then the invention
made or disclosed; and
d) a failure to meet the requirements of the legislation;
[20]
This case turns in particular on the issue of obviousness.
CLAIM
CONSTRUCTION
[21]
As is frequently stated, the first task of the Court, before
considering whether or not a patent is valid or infringed, is to construe the
patent. Claim construction is a matter of law and the
claim language must be read in an informed and purposive way. The key to
purposive construction is the identification by the Court, with the assistance
of the skilled reader, of the particular words or phrases in the claims that
describe what the inventor considered to be the “essential” elements of the
invention: Whirlpool Corp. v. Camco Inc., 2000 SCC 67, [2000] 2 S.C.R. 1067 at para. 45 [Whirlpool].
[22]
In addition, it is important to recall that patent
specifications are not addressed to specialists or the public generally; they
are addressed to skilled individuals sufficiently versed in the art to which
the patent relates to enable them on a technical level to appreciate the nature
and description of the invention: Whirlpool, above at para. 53. Furthermore, the words chosen by the patentee are
to be read in the sense the inventor is presumed to have intended. Though expert
evidence is admissible to determine what the common knowledge
was at the time of the patent and with respect to the meaning of the words used
in the claims, the role of the expert is not to interpret the patent claims but
to put the application or trial judge in the position of being able to do so in
a knowledgeable way: Whirlpool, above at para. 57. Claims must also
be read in context. The question is therefore what, at the date the patent was
issued, would a person skilled in the art at issue
have understood from a reading
of the claims, together with any definitional assistance from the rest of the
specification: Whirlpool, above at para. 54.
[23]
In this regard, as soon as the disclaimers were
filed and recorded they were made part of the Patent, and the only existing
Claims became those amended by virtue of the disclaimers: Roche Palo Alto LLC v. Apotex Inc., [2005]
O.J. No. 1390 (Sup.Ct.)(QL) at para. 47 citing Canadian
Celanese Ltd. v. B.V.D. Co., [1939] 2 D.L.R. 289
(P.C.). Therefore, so long as the disclaimers were validly filed, as I have
found in the present case and discuss in the next section of these reasons, the
claims must be interpreted as disclaimed.
[24]
The ‘466 Patent relates to the use of a series of pyrazolo[4,3-d]
pyrimidin-7-ones compounds and their pharmaceutically acceptable salts for the
treatment of ED. Sildenafil is one such compound and has the formula 5-[2-ethoxy-5-(4-methyl-1-piperazinylsulphonyl)phenyl]-1-methyl-3-n-propyl-1,6-dihydro-7Hpyrazolo[4,3-d]pyrimidin-7-one].
[25]
The applicants are
relying on Claim 7 of the ‘446 Patent; Claims 8, 10, 18, and 22 to the
extent that they relate to Claim 7; and Claim 23 to the extent that it relates
to Claims 10 and 11 (hereafter the “Claims in Issue”). Claim 7 is limited to
sildenafil and its salts. Claims 8, 10, 18, 22 and 23 are each defined with alternative
dependencies, one of which is Claim 7.
[26]
Each of the Claims in Issue is specific to the treatment of ED with sildenafil,
or more specifically its salt, sildenafil citrate, which is the active
ingredient in Apotex’ proposed products. These claims originally read as
follows:
7. The use according to
claim 4 wherein the compound of formula (I) is 5-[2-ethoxy-5-(4-methyl-1-piperazinylsulphonyl)-phenyl]-1-methyl-3-n-propyl-1,6-dihydro-7Hpyrazolo[4,3-d]pyrimidin-7-one]
or a pharmaceutically acceptable salt thereof.
8. The use according to
any one of claims 1 to 7 wherein the said male animal is man.
10. A pharmaceutical
composition for the curative or prophylactic treatment of erectile dysfunction
in a male animal, including man, comprising a compound of formula (I) according
to any one of claims 1 to 7, or a pharmaceutically acceptable salt thereof,
together with a pharmaceutically acceptable diluent or carrier.
18. The use of a compound
of formula (I) according to any one of claims 1 to 7, or a pharmaceutically
acceptable salt thereof, for the curative or prophylactic treatment of erectile
dysfunction in man.
22. The use according to
any one of claims 1 to 9 wherein the medicament is adapted for oral treatment.
23. A pharmaceutical
composition according to claim 10 or 11 which is adapted for oral treatment.
[27]
The first disclaimer disclaimed use in animals, thereby limiting Claim
1 to ED in men and female sexual dysfunction (FSD), and Claim 10 to ED in man.
By virtue of dependency, Claims 7 and 22 were thus limited to men and women,
and Claim 23 to man. The original Claim 8 and Claim 18 were restricted to the
treatment of ED in man. The first disclaimer did not affect their scope,
although the reference to “male animal” was removed from Claim 8. The second
disclaimer disclaimed the use of the compounds for female sexual dysfunction
and thus limited Claim 1 to ED in man. Claims 7 and 22, which depend on Claim 1,
were therefore also limited to ED in man. Neither disclaimer affected the scope
or wording of Claim 18. The second disclaimer did not affect the scope of
Claims 8, 10, 22 and 23 to the extent that they are at issue in this
application. The effect of the two disclaimers was to limit all Claims to
treatment of ED in man.
[28]
Counsel
raised two claim construction issues that need to be addressed. The first issue
is the meaning of the phrase “curative or prophylactic” the question
being whether these words are meant to apply to the treatment of ED as a
symptom, or are meant to apply to the underlying condition causing the ED. The
applicants assert the former while the respondent asserts the latter.
Curative or prophylactic
[29]
With the assistance of the
advice of the experts, reading the claims in a purposive way, and having
determined from the evidence what the inventors had in mind when they spoke of
a “curative or prophylactic” treatment of ED, I find that the words “curative” and “prophylactic”
relate to providing a remedy for the symptoms of ED as opposed to the
underlying illness or condition.
[30]
There are
various causes of ED. The object of the invention was not to treat those causes
but the symptomatic effects. The term erectile dysfunction or ED was coined by
researchers and clinicians in the field of treating impotence in an effort to
remove the stigma associated with the condition.
[31]
With respect
to the respondent’s argument, as was noted by the Supreme Court of Canada in Apotex
Inc. v. Wellcome Foundation Limited, 2002
SCC 77, [2002] 4 S.C.R. 153 at para. 88 [Wellcome Foundation]: “[w]hile the appellants' argument
has some linguistic attraction, it puts too much weight on a supposed "bright
line" distinction between treatment and prophylaxis.” I believe the same
can be said in the present case with respect to both terms. I have no doubt
that the inventors had in mind a remedy for the symptom or condition that is ED
when they wrote the patent.
For
the manufacture of a medicament
[32]
The second issue is how the phrase “for
the manufacture of a medicament” within claim 1, affects the Claims in Issue
and my determination of what comprises the essential elements of the invention.
In this regard the respondent’s argument distinguishes between the phrase ‘use
of sildenafil “for the manufacture of a medicament”’ and what is meant by a “claim for the use of the medicine” found in the
Regulations. Section
2 of the Regulations defines the latter as “a claim
for the use of the medicine for the diagnosis, treatment, mitigation or
prevention of a disease, disorder or abnormal physical state, or the symptoms
thereof”. The respondent suggests
that a claim “for the manufacture of a medicament” is distinguishable in
meaning because it implies that it is the medicament and not the sildenafil
itself that is intended for curative and prophylactic purposes.
[33]
Taking a purposive approach to
interpretation of the phrase, I do not see a practical difference. The concepts
of medicament and medicine are closely related and often interchangeable. As
defined by the Canadian Oxford Dictionary, “medicament” is “a substance used
for medical treatment”; the comparable meaning of “medicine” is “any drug or
preparation used for the preparation or treatment of disease, esp. one taken by
mouth”. A review of Stedman’s and Dorland’s medical dictionaries supports this
interpretation.
[34]
In referring to either a
medicament or medicine employing sildenafil as the active ingredient, it is the
sildenafil that would give the medicament or medicine its curative or
prophylactic properties. I am satisfied that the word medicament was meant to
be understood in this sense by the inventors, and the claims will be construed
without drawing the distinction asserted by the respondent.
[35]
Taking into consideration the two disclaimers and with the aid of
the expert evidence, to my mind the essential elements of the Claims in Issue
can be described as follows: the use of sildenafil (or a salt thereof) in the
form of an oral medicine for the treatment of erectile dysfunction in
man.
DISCLAIMER VALIDITY
[36]
Subsection 48(1) of the Act allows for
the filing of a disclaimer where, by mistake or
inadvertence, a patent specification has been drafted too broadly and provided
it is not made with the intent of defrauding or misleading the public: ICN
Pharmaceuticals, Inc. v. Canada (Staff of the Patented Medicine Prices Review
Board), [1997] 1 F.C. 32, [1996]
F.C.J. No. 1065 at para. 70 (C.A.) [ICN Pharm.]. The respondent argues that the
requirements of this subsection have not been met in the present case, and that
the disclaimed claims are therefore invalid. The applicants
assert the contrary.
[37]
As was recently noted by the
Court in Richards
Packaging Inc. v. Canada (Attorney General), 2007 FC 11, [2007] F.C.J.
No. 21 at para. 28, the Commissioner and the examiners have no authority under the Act and
the Rules to make a decision on the validity of a disclaimer
filed by a patentee;
this power belongs to the courts. The fact that the Patent Office has accepted
a disclaimer is therefore not determinative of whether the requirements of
subsection 48(1) have been met: ICN
Pharm., above at para. 70.
[38]
I agree with the findings of the Ontario High Court
of Justice in Trubenizing
Process Corp. v. John Forsyth, Ltd., [1942] O.R. 271-300, 2 C.P.R. 89, rev’d
on other grounds [1943] S.C.R. 422, [1943] S.C.J. No. 35, wherein Chevrier J. held that the validity of the disclaimer depends
solely upon the state of mind of the patentee at the time he made his
specification. Chevrier J. further made it clear that the onus rests on the
party who files a disclaimer to justify the need for the disclaimer at the time
it was filed by reason of mistake, accident or inadvertence and that there was
an absence of intent to defraud or mislead the public. Where the filing party
does not discharge this burden, the disclaimer will be held to be invalid and the
patent will remain in its original form.
[39]
In the present case, little evidence has been
presented by either party with respect to this issue. There is, however, the sworn
affidavit evidence of Dr. Peter Ellis, listed as co-inventor of the ‘446 Patent.
In effect he states that the first disclaimer
corrected the use of the term “animal” which was too broad, asserting that when
the Patent application had been filed this had been overlooked. The first
disclaimer also inserted the word “selective” in Claims 25 and 26 following an United Kingdom Court’s ruling
regarding the meaning of the Patent. According to Dr. Ellis, he had thought
that the limitation of “selective” had been implied, but felt it was best to
defer to the UK Court. With respect to the second disclaimer, Dr. Ellis
states that testing had not been done before the filing date to establish
utility in women; however he asserts that there was scientific data that
indicated that a woman’s clitoris is a homologue of a penis. He asserts that
Pfizer now believes that under Canadian law it was a mistake to think that the
foregoing would establish an invention of a treatment for sexual disfunction in
women.
[40]
The respondent argues that a mistake regarding the law is not a mistake
for the purposes of section 48. The fact that the applicants discovered the
mistake after the filing of the application does not change the fact that on
the basis of the state of the law at the time, it would have been a mistake. In
this case the mistake was in believing that the correlation between the
penis and the clitoris, absent direct test results on the efficacy of
sildenafil for FSD, was sufficient to
establish an invention under the law. Had the applicants known that this was
not sufficient, there is nothing to indicate that at the time of the patent
application they would have still filed it with the intention of defrauding or
misleading the public.
[41]
This evidence, though minimal, is
un-refuted. The applicants point out that Dr. Ellis was also cross-examined
about the disclaimers and that evidence was consistent with his affidavit.
[42]
These issues were given only cursory treatment by the respondent
in cross examination, with most of the focus being on the term “selective”. The respondent presented nothing in my
estimation that would suggest that there was a “wilful” intent to defraud or
mislead the public on the part of the applicants. The fact that Dr. Ellis
admitted in cross-examination that his input as to the disclaimers was made in
conversations with Pfizer’s counsel (which, in any event, are privileged), and
that he neither drafted nor scrutinized it before it was filed, do not suggest
that the disclaimers: 1) did not reflect his state of mind; 2) were not filed
in good faith; or 3) that there was any willful intent to defraud or mislead
the public.
[43]
Taking the whole of the
evidence into account, on the balance of probabilities standard, I conclude
that the applicants have met their burden to demonstrate that this allegation
is unsubstantiated.
VALIDITY
Burden of Proof
[44]
The issue of burden of proof and presumption of validity was
recently dealt with by the Court of Appeal in Abbott
Laboratories v. Canada (Minister of Health), 2007 FCA 153, [2007]
F.C.J. No. 543 [Abbott Laboratories 2007]. In that case the Court of
Appeal found at paragraph 9 that “[i]t is now beyond debate that an
applicant for a prohibition order under the NOC Regulations bears
the burden of establishing its entitlement to the order” [emphasis added].
With respect to the presumption of validity that emanates from subsection 43(2)
of the Act, the Court of Appeal went on to state:
10 … The presumption
in subsection 43(2) is weakly worded (Apotex Inc. v. Wellcome Foundation
Limited, [2002] 4 S.C.R. 153, per Justice Binnie at paragraph 43). It
cannot determine the outcome of prohibition proceedings under the NOC Regulations
if, as in this case, the record contains any evidence that, if accepted,
is capable of rebutting the presumption (see Rubbermaid (Canada) Ltd. v.
Tucker Plastic Products Ltd. (1972), 8 C.P.R. (2d) 6 (F.C.T.D.) at page 14,
and Bayer Inc. v. Canada (Minister of National Health and Welfare)
(2000), 6 C.P.R. (4th) 285, at paragraph 9).
[emphasis added]
[45]
While the legal burden remains on
the applicant, the respondent has been described as having an “evidentiary
burden” to rebut the presumption of validity: Pfizer Canada Inc. v. Apotex Inc., 2007 FC 26, [2007] F.C.J. No. 36 at para.
10 [Pfizer]; Eli
Lilly Canada Inc. v. Apotex Inc., 2007 FC 455, [2007] F.C.J. No. 617
at paragraph 232 [Eli Lilly]. This, however, is a minimal threshold. As
was aptly described by the Court in Pfizer:
12 To
summarize, Pfizer bears the legal burden of proving on a balance of
probabilities that Apotex's allegations of invalidity are unjustified. Apotex
merely has an evidentiary burden to put its case "into play" by
presenting sufficient evidence to give its allegations of invalidity an air of
reality. If it meets that burden, then it has rebutted the presumption of
validity. I must then determine whether Pfizer has established that
Apotex's allegations of invalidity are unjustified. If Apotex does not meet its
evidential burden, then Pfizer can simply rely on the presumption of validity
to obtain its prohibition order. [emphasis added]
[46]
In
oral argument, the applicants pointed to a decision of the Court of Appeal,
handed down during the course of the hearing of this matter on May 31, 2007, which,
they submit, holds that the respondent must meet the legal standard of proof on
a balance of probabilities to rebut the presumption of validity: Pfizer Canada Inc. v. Canada (Minister of Health), 2007 FCA 209, [2007] F.C.J. No. 767 (“Pfizer 2007 FCA 209”).
[47]
Paragraphs
109, 110 and 111 of the Pfizer 2007 FCA 209 decision read as follows:
109.
Thus, a first person under the Regulations has the overall burden of
establishing, on a balance of probabilities, that the allegations of invalidity
contained in a second person's NOA are not justified. Although the first person
has the initial burden, because of the presumption of the validity of a patent
set out in section 45 of the pre-1989 Act, it can meet this burden merely by
proving the existence of the patent. The second person then has the burden
of adducing evidence of invalidity and of putting the allegations of invalidity
contained in its NOA "in play". To do so, the second person
must adduce evidence which is not clearly incapable of establishing its
allegations of invalidity. Hence, not only must the second person's NOA
contain a sufficient factual and legal basis for its allegations, but it must
also adduce evidence of invalidity at trial.
110.
Once the second person has adduced sufficient evidence, on a balance of
probabilities, the first person must, also on a balance of probabilities, disprove
the allegations of
invalidity set out in the NOA. As explained by my colleague Sharlow J.A. at
paragraph 9 of her Reasons in Bayer, supra:
|
[9] The
operation of the statutory presumption in the face of evidence of invalidity
depends upon the strength of the evidence. If the evidence proves, on a
balance of probabilities, that the patent is invalid, the presumption is
rebutted and is no longer relevant. ...
[citing
Bayer Inc. v. Canada (Minister of National Health and
Welfare) (2000), 6 C.P.R. (4th) 285]
|
|
111. I have not been
persuaded that the Judge erred in her understanding of the burden of proof. She
correctly referred to the legal principles enunciated by this Court, according
to which the overall legal or persuasive burden of proof rests upon the first
person, on a balance of probabilities, once the second person has met its
evidentiary burden of adducing evidence sufficient to rebut the presumption of
validity.
[Emphasis added]
[48]
When
read
as a whole, these paragraphs should not be taken as holding that the second
person bears a legal burden on the standard of proof of a balance of
probability to overcome the presumption of validity. It is clear from the Court
of Appeal’s reasons that the legal burden remains with the first person
throughout the proceedings and does not shift to the second person. To meet
that burden the first person may rely upon the presumption of validity “in
the absence of any evidence to the contrary” as set out in subsection 43(2) of the Patent Act R.S.C.
1985, c. P-4 as amended, S.C. 1993, c. 15 [emphasis added]. Should the second
person lead any evidence to the contrary, the presumption is spent and the
burden remains with the first person to prove validity on the balance of
probability standard.
[49]
The
highlighted words from the subsection indicate that the nature of the burden on
the second person is evidential and not persuasive. The difference between the
two concepts was discussed by Dickson C.J. (writing in dissent) in the criminal
law context in R. v. Schwartz, [1988] 2 S.C.R. 443, [1988] S.C.J. No. 84
as follows:
38 Judges and academics have used a
variety of terms to try to capture the distinction between the two types of
burdens. The burden of establishing a case has been referred to as the
"major burden," the "primary burden," the "legal
burden" and the "persuasive burden." The burden of putting an
issue in play has been called the "minor burden," the "secondary
burden," the "evidential burden," the "burden of going
forward," and the "burden of adducing evidence." While any
combination of phrases has its advantages and drawbacks, I prefer to use the
terms "persuasive burden" to refer to the requirement of proving a
case or disproving defences, and "evidential burden" to mean the
requirement of putting an issue into play by reference to evidence before
the court. The party who has the persuasive burden is required to persuade the
trier of fact, to convince the trier of fact that a certain set of facts
existed. Failure to persuade means that the party loses. The party
with an evidential burden is not required to convince the trier of fact of
anything, only to point out evidence which suggests that certain facts
existed. The phrase "onus of proof" should be restricted to the
persuasive burden, since an issue can be put into play without being proven.
The phrases "burden of going forward" and "burden of adducing
evidence" should not be used, as they imply that the party is required to
produce his or her own evidence on an issue… [Emphasis added].
[50]
As was further described by Fish J., again in a criminal case, in R. v. Fontaine, 2004 SCC 27, [2004] 1 S.C.R. 702:
11 An
"evidential burden" is not a burden of proof. It determines whether
an issue should be left to the trier of fact,
while the "persuasive burden" determines how
the issue should be decided.
12 These
are fundamentally different questions. The first is a matter of law; the
second, a question of fact. Accordingly, on a trial before judge and jury,
the judge decides whether the evidential burden has been met. In answering
that question, the judge does not evaluate the quality, weight or reliability
of the evidence. The judge simply decides whether there is evidence upon
which a properly instructed jury could reasonably decide the issue.
[underlined emphasis in original, bold
emphasis added]
[51]
These
are principles of general application and are not limited to the domain of criminal
law. In this context, what constitutes “any evidence to the contrary” is, as
the Court of Appeal put it in paragraph 109 of the Pfizer 2007 FCA 209
decision, evidence which is sufficient to put the allegations of
invalidity “in play” and which is not clearly incapable of establishing those
allegations. That does not require Apotex to meet the standard of proof on a
balance of probabilities but rather, to satisfy the Court that the evidence
discloses an air of reality for its allegations of invalidity and that Pfizer
must meet its legal burden. To interpret the effects of the presumption
otherwise would lead to the absurd result that both parties would bear the
burden of establishing the invalidity or validity of the patent at issue on the
same standard.
Obviousness
[52]
In order to obtain a valid patent inventiveness or inventive
ingenuity is required, meaning the subject matter or “invention” claimed must
not be obvious. The
Court of Appeal in
Sanofi-Synthelabo v. Apotex Inc., 2006 FCA 421,
[2006] F.C.J. No. 1945 at para. 38 reiterated the test for obviousness as set
out in Beloit Canada Ltd. v. Valmet Oy, [1986] F.C.J. No. 87, 8 C.P.R. (3d) 289 at 294
(F.C.A.) [Beloit]:
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]
[53]
In
a recent decision, Novopharm Ltd. v. Janssen-Ortho Inc. 2007 FCA 217, [2007]
F.C.J. No. 809 [Novopharm], the Court of Appeal endorsed a list of
factors developed by Justice Roger Hughes in the trial decision (2006 FC 1234, [2006]
F.C.J. No. 1535) as a helpful framework to guide the factual analysis that must
be undertaken in determining obviousness. At paragraph 25 of her reasons for
the Court of Appeal, Justice Sharlow set out these factors as follows:
Principal
factors
1. The
invention
What is in
issue is the patent claim as construed by the Court.
2. The
hypothetical skilled person referred to in the Beloit quotation
It is
necessary to identify the skills possessed by the hypothetical person of
ordinary skill in the art.
3. The
body of knowledge of the person of ordinary skill in the art
The common
knowledge of the hypothetical person of ordinary skill in the art includes what
the person may reasonably be expected to know and to be able to find out. The
hypothetical skilled person is assumed to be reasonably diligent in keeping up
with advances in the field to which the patent relates (Whirlpool at
paragraph 74). The presumed knowledge of the hypothetical skilled person
undergoes continuous evolution and growth. Not all knowledge is found in print
form. On the other hand, not all knowledge that has been written down becomes
part of the knowledge that a person of ordinary skill in the art is expected to
know or find.
4. The
climate in the relevant field at the time the alleged invention was made
The general
state of the art includes not only knowledge and information but also
attitudes, trends, prejudices and expectations.
5. The
motivation in existence at the time [of] the alleged invention to solve a
recognized problem
"Motivation"
in this context may mean the reason why the claimed inventor made the claimed
invention, or it may mean the reason why one might reasonably expect the
hypothetical person of ordinary skill in the art to combine elements of the
prior art to come up with the claimed invention. If within the relevant field
there is a specific problem that everyone in the field is trying to solve (a
general motivation), it may be more likely that the solution, once found,
required inventive ingenuity. On the other hand, if there is a problem that
only the claimed inventor is trying to solve (a unique or personal motivation),
and no one else has a reason to address that problem, it may be more likely
that the solution required inventive ingenuity. However, if commonplace thought
and techniques can come up with a solution, there may be a reduced possibility
that the solution required inventive ingenuity.
6. The
time and effort involved in the invention
The length of
time and expense involved in the invention may be indicators of inventive
ingenuity, but they are not determinative because an invention may be the
result of a lucky hit, or the uninventive application of routine techniques,
however time consuming and expensive they may be. If the decisions made in
arriving at the solution are few and commonplace, that may indicate that no
inventive ingenuity was required to arrive at the solution. If the points for
decision were many and choices abundant, there may be inventiveness in making
the proper decisions and choices.
Secondary
factors
These
factors may be relevant but generally bear less weight because they relate to
facts arising after the date of the alleged invention.
7. Commercial
success
Was the
subject of the invention quickly and anxiously received by relevant consumers?
This may reflect a fact that many persons were motivated to fill the commercial
market, which may suggest inventive ingenuity. However, it may also reflect
things other than inventive ingenuity such as marketing skills, market power
and features other than the invention.
8. Meritorious
awards
Awards
directed to the alleged invention may be recognition that the appropriate
community of persons skilled in the art believed that activity to be something
of merit. That may or may not say anything about inventive ingenuity.
[54]
Justice
Sharlow stressed that this is not a list of legal rules to be slavishly
followed nor is it an exhaustive list of the relevant factors. In each case,
the application or trial judge must determine the appropriate weight to be
accorded these factors and that of any other factor that may be presented: Novopharm,
para.27. Justice Sharlow agreed with the caution of Justice Hughes that
catchphrases, such as “worth a try”, “directly and without difficulty” and
“routine testing” are not to be treated as if they are rules of law: Novopharm,
para.28.
[55]
It
is apparent from the evidence that as of the priority date there was a
considerable amount of effort invested in research and clinical trials of
treatments for male ED in as much as it affects a significant proportion of the
male population. In June 1993, there were a number of treatments available for
men who were unable to obtain or maintain an erection, notably the
self-administration of drugs directly into the corpora cavernosa. This had to
be done shortly before intercourse and could result in pain, scarring, or
undesired effects such as unduly prolonged erections. Other treatments included
prosthetic or suction devices and surgery. None were employed without discomfort,
embarrassment and adverse side effects. This was a recognized problem which
attracted the attention of leading scientists and clinicians, and public
funding for research.
[56]
It
is not difficult, therefore, to appreciate that an orally administered drug with
minimal side effects would indeed be the “Holy Grail” of impotence research as
described by the experts. Other pharmaceutical companies were supporting
research. Pfizer’s announcement that it had found such a solution attracted
widespread attention in the field and the introduction of VIAGRA met with huge
popular recognition and immediate commercial success.
[57]
The
invention, as I have construed it above, was the appreciation that the oral
administration of sildenafil, as a potent PDE5 inhibitor, would be useful in
the treatment of erectile dysfunction in men. The core issue in this case is
whether the person of ordinary skill in the art (“POSITA”), in the light of the state of the
art and of common general knowledge as at the claimed date of invention, would have
found the solution taught by the patent.
[58]
The
respondent submits, based on the opinions of its experts, that such a person would
have Masters, Ph.D. or M.D. level training in pharmacology, medicinal
chemistry, enzymology, biochemistry and urology sufficient to understand:
- The characteristics
and function of the NO-cGMP pathway in the regulation of smooth muscle
tone
- The formation and
role of NO in this pathway
- The cyclic
nucleotides (cGMP and cAMP) and their function in the pathway
- PDEs in the NO-cGMP
pathway
- The classification
of the then-known PDEs (PDE 1 to PDE 5) and their respective substrate
affinities
- The role of
smooth-muscle relaxation in the regulation of erections, and
- The targeting of
the NO-cGMP pathway by PDE inhibitors in the treatment of diseases in
different fields of medicine.
[59]
I
doubt that many of those of ordinary skill engaged in ED research at the
relevant time would have had the full body of knowledge which the respondent
ascribes to this notional person. That is evident from the variety of
alternative paths that were being explored. On my reading of the
scientific literature and the experts’
opinions tendered in evidence, albeit from the perspective of a lay reader, there
were only a handful of researchers in the field prior to 1993 who would have known
of or understood all of these elements. Apotex’s experts are, in effect,
describing themselves.
[60]
In
my view, a trained and experienced scientist working in drug development with a
knowledge of penile physiology and erectile response would fit the POSITA
profile for the purpose of these proceedings.
[61]
The
respondent submits that Dr. Peter Ringrose, a Pfizer employee at the relevant
time, fits within its understanding of a POSITA. Dr. Ringrose suggested that
the use of sildenafil for the treatment of impotence be tried out early in 1992
when he read one of the key pieces of prior art at issue. As noted by
the Supreme Court of Canada at paragraph 71 of Whirlpool, above, an ordinary
person does not have the "in-house knowledge" of the patentee. Dr.
Ringrose had acquired additional knowledge about sildenafil from Pfizer’s
research into its potential applications. In any event, his comment does not
suggest that he thought it was a sure thing but a possibility worth exploring.
[62]
As
was previously noted, to rebut the presumption of validity the respondent’s evidentiary
burden is a minimal one. The second person must merely put its case “into play” by presenting sufficient
evidence to give its allegations of invalidity an air of reality: Pfizer, above at para. 12. Should it meet that
threshold, the first person has the legal or persuasive burden to prove the
validity of the patent on a balance of probabilities.
[63]
The
Court is entitled to look at all the patents and other publications that a
skilled technician would discover in a reasonable and diligent search to determine
whether the resulting mosaic leads directly to the invention.
[64]
The question to ask is whether the solution taught
by the patent would be apparent to the skilled technician who was searching for
something novel, without having to do experimentation or research. Suggestions
or signposts in the prior art are not sufficient to make a patent invalid for
obviousness: Apotex Inc. v. Wellcome Foundation Ltd. (1998), 145
F.T.R. 161, 79 C.P.R. (3d) 193 (F.C.T.D.), varied but not on the
issue of obviousness, [2001] 1 F.C.
495 (C.A.), aff'd [2002] 4 S.C.R.
153; Bayer Aktiengesellschaft v. Apotex Inc. [1995] O.J. No.
141, 60 C.P.R.
(3d) 58 (Ont. Gen. Div.), varied on other grounds (1998), 82
C.P.R. (3d) 526 (O.C.A.), leave to appeal to the Supreme Court of
Canada denied [1998] S.C.C.A.
No. 563 (QL); and, Farbwerke Hoechst AG v. Halocarbon (Ont) Ltd.,
[1979] 2 S.C.R.
929, 104 D.L.R. (3d) 51.
[65]
In determining whether a patent claim is
obvious, the Court should avoid the use of a hindsight analysis. To refer to another oft-quoted passage from Beloit, above, at page 295:
Every invention is
obvious after it has been made, and to no one more so than an expert in the
field.
Where the expert has been hired for the purpose of testifying, his infallible
hindsight is even more suspect. It is so easy, once the teaching of a patent is
known, to say, "I could have done that"; before the assertion can
be given any weight, one must have a satisfactory answer to the question,
"Why didn't you?" [emphasis added]
[66]
As
Justice Sharlow recently observed in Apotex Inc. v. Bayer AG and Bayer Inc.,
2007 FCA 243, [2007] F.C.J. No. 899 at paragraph 25, this should not be taken
to be a strict standard for rejecting the evidence of experts as every opinion
alleging invalidity for obviousness is necessarily
retrospective as to the state of the art at
the relevant time. Nonetheless, the allegation is weakened if the evidence does
not explain, directly or by inference, why the claimed invention was not
discovered by others.
[67]
I
did not receive a satisfactory answer when this question was put to Apotex
counsel during oral argument. Apotex’s response was that sildenafil is a
proprietary compound controlled by Pfizer and was not available to researchers
at the relevant time. But researchers did obtain samples of other PDE
inhibitors, notably zaprinast produced by May & Baker, to conduct studies. There
was no monopoly at the time on the use of sildenafil for research although a
patent application was pending. There is no evidence that any request was made
to Pfizer for samples of sildenafil to perform research in this area.
[68]
In
my view, based on the evidence, the more likely reason why it was not tried by
other researchers is that sildenafil was known as a drug that lowered blood
pressure. ED was associated with low blood pressure. As argued by the
applicants, it would have been counterintuitive to use it to treat ED by oral
administration. That this use occurred to Pfizer’s in-house experts conducting
research into sildenafil’s possible applications does not establish
obviousness.
[69]
It
is clear from the evidence that the search was on for effective treatments for
ED but science had not as yet come up with the solution of a PDE inhibitor,
orally administered. Looking back upon the research today, it is not difficult
for experts to find signposts that point them in the direction of the invention.
[70]
As
was further highlighted by the Court in Eli Lilly:
299 The
problem of ex post facto
analysis was also well explained by the Supreme Court of Canada in Farbwerke Hoechst AG Vormals Meister
Lucius & Bruning v. Halocarbon [1979] 2 S.C.R.
929:
Very few inventions are
unexpected discoveries. Practically all research work is done by looking in
directions where the "state of the art" points. On that basis and
with hindsight, it could be said in most cases that there was no inventive
ingenuity in the new development because every one would then see the previous
accomplishments pointed the way.
The
Expert Evidence:
[71]
The parties have submitted affidavit evidence
from the usual impressive array of expert witnesses who differ sharply on the question
of the central issue of obviousness. Again, while the applicants bear the legal
burden of persuasion, the respondent must demonstrate that there is an air of
reality to its allegation.
[72]
The principal expert for the respondent is Dr. Inigo Saenz de
Tejada: Director of the Institute for Sexual Medicine, Madrid. From 1986 until
1995 he held the position of Director of Research of the Urology Research
Laboratory at the Boston University Medical Centre. Dr. de Tejada and his
colleagues at Boston laid some of the groundwork for subsequent developments in
California that will be discussed below and are cited in the prior art literature.
He has remained active in the field and up to date with research and clinical
developments. However, he readily conceded on cross-examination that his focus
has been more on treatment than research.
[73]
Also supporting the respondent’s position are Dr.
Jackie Corbin, Professor of Molecular Physiology and Biophysics at the
Vanderbilt School of Medicine, Dr. Donald Maurice, Associate Professor
at Queen’s University, Faculty of Health Sciences, and Dr. Alexander Klibanov,
Professor of Chemistry and of Bioengineering at the Massachusetts Institute
of Technology; all of whom are distinguished experts in their fields.
[74]
Over the last 35 years, Dr. Corbin has studied cAMP, cGMP, and a
variety of related topics. In 1976 he was the first to discover PDE5 as a cGMP-binding
protein, and this enzyme continues to play a major role in his research to the
present day. Dr. Maurice is an expert in the area of PDEs. Dr. Klibanov specializes
in enzyme engineering. He says he worked on PDEs in Russia in the 1970’s but
has not published on the subject.
[75]
The applicants relied upon the
evidence of Dr. Gerald Brock, Associate Professor of Surgery in the
Faculty of Medicine at the University of Western Ontario. From 1991 to 1993 he
was a fellow at the University of California at San Francisco, where his
studies under the direction of Drs. Tom Lue and Emile Tanagho, both leading
researchers in the area of ED, focused on the causes and treatments of ED. In
particular, Dr. Brock focused on the NANC pathway. Key research in the months before
the priority date, on which the respondent relies as evidence of the state of
the art, was taking place at the University of California at Los Angeles and at
U.C. San Francisco while Dr. Brock was there and there was collaboration
between the two institutions in this field.
[76]
In Dr. Brock’s view, the discovery of the ability of a selective
PDE5 inhibitor, such as sildenafil, to be an effective and safe oral agent to
enhance erectile function in man was fortuitous and insightful. The fact that
hundreds of active investigators had studied ED for decades without this
realization, in his opinion, strongly supports this conclusion.
[77]
Dr. Brock’s opinion is supported by Dr. George Christ, Professor
at the Wake Forest Institute for Regenerative Medicine, Dr. Jeremy Heaton, Professor
of Urology, Faculty of Medicine, and also Professor of Pharmacology and
Toxicology at Queen’s University and Dr. Richard Palmer, Chief Executive
Officer of Alizyme plc., a drug development company based at Cambridge University
in the United Kingdom. In addition, the description by Dr. Peter Ellis,
Pfizer’s Director of Exploratory Biology, and one of the three named inventors,
of the process by which they arrived at the discovery supports the applicants’ characterization
of the state of the art in the early 1990s.
[78]
There is considerable
commonality to the evidence of each of these witnesses which has been informed,
properly so, by Apotex’ selection of the pertinent prior art documents and
description of their relevance in its NOA. While I found the evidence of all of
the experts to be helpful in understanding the development of the science in
this area, it did not lead me to the conclusion that the state of the art as of
the priority date was as clear as the respondent’s experts now assert in
interpreting results published in 1992 and 1993. In my view, they have done so
with the benefit of hindsight. Where the evidence of the parties’ experts
conflicted, I generally preferred that of the applicants’ experts as it seemed
to me to be more consistent with the tentative and speculative tenor of the
literature as the science was evolving.
[79]
In his affidavit, Dr. de Tejada summarized what in his opinion
was the common general knowledge of a person skilled in the art as of June 9,
1993 based on the cited literature. This list also largely reflects the views
of the other experts for the respondent:
·
the role of the NO/cGMP pathway in penile erection,
·
the importance of cGMP in penile smooth muscle relaxation,
·
the existence of PDE5 in penile tissue,
·
that an inhibition of PDE5 facilitated penile smooth muscle
relaxation,
·
that the disruption of the NO/cGMP pathway was the underlying
mechanism for ED in many men,
·
the desire for an oral treatment for ED,
·
the oral-systemic use of PDE5 inhibitors for the treatment of
specific diseases,
·
the potential use of PDE5 inhibitors - including systemic
administration, for the treatment of ED, and
·
the fact that sildenafil is an example of a potent and selective
cGMP PDE5 inhibitor.
[80]
Many
of the leading researchers and clinicians working in the field attended what
was called a Consensus Conference on Impotence convened by the U.S. National
Institutes of Health in December 1992. This was intended to provide a “snapshot
in time” of the state of the knowledge on the conference topic. A panel of
distinguished scientists heard presentations from which they produced a
“Consensus Statement” on what was known and accepted. While this does not
purport to be an exhaustive review of the literature, it is useful as a
reference to what was commonly known and was not known at the time by highly
trained physicians and scientists experienced in the field of ED research and
therapy. What is clear from the document is that important information was
lacking and that more work needed to be done to fully understand penile
physiology. In my view, the content of this document can’t be reconciled with
what the respondent’s experts claimed to be the state of the art at the time.
[81]
I also think it significant
that none of the respondents’ experts were able to apply their knowledge to
come up with the solution Pfizer discovered. Dr. Corbin was conducting research
on PDE5 inhibitors but did not find it. Dr. de Tejada published nothing
suggesting the possibility of using PDE inhibition to treat ED until after the
‘446 patent had come out and he had attended a 1996 conference at which Pfizer
presented its findings. He then filed patent applications for PDE inhibitors
with an NO donor. Dr. Maurice was the PDE specialist on a team of ED
researchers which included the applicants’ expert, Dr. Heaton. They published a
paper in 1997 which is skeptical of the role of NO in mediating erections. Dr. Klibanov
has never published an article on erectile dysfunction or PDE inhibitors.
[82]
Referring to the literature
upon which Apotex and its experts rely, Dr. Brock says it reported basic
research designed to elucidate the physiological pathway that mediates
erection, not to propose the use of a PDE inhibitor for the treatment of ED.
Identification of the NANC pathway as the predominant pathway that mediated the
erectile process remained controversial and there was no consensus at the
relevant time. All of the literature left open the cause of erectile
dysfunction. Was it caused by impairment of the NANC pathway or some other
pathway? If it was the NANC pathway, where did the impairment lie? In Dr.
Brock’s view, these questions required answers that the cited literature did
not provide. If the defect lay in the ability to generate nitric oxide, the use
of a PDE inhibitor might not have been useful.
[83]
Dr. Christ was actively researching erectile
physiology and mechanisms of erectile dysfunction in the late 1980s and early
1990s. He states that prior to the publication of Pfizer’s positive results
with sildenafil citrate, it was not obvious to scientists working in the field
that a PDE5 inhibitor could be used to treat ED and it also was not obvious
that oral administration of a PDE5 inhibitor would work. Indeed, he says, many
remained skeptical even after publication of the Pfizer results. The focus was
on intracavernous drug injections and other therapies. It was counterintuitive
and surprising that a PDE5 inhibitor administered orally could have a localized
effect. The
focus of discussion at a 1997 conference of the International Society of
Impotence Research, as described by Dr. Christ, some four years later, was
whether NO was the major pathway mediating penile erection or not. Studies were
discussed that pointed away from this conclusion.
[84]
Dr. Palmer holds a Ph.D. in
pharmacology and was formerly a research scientist and project manager for the
Wellcome Research Laboratories in the United
Kingdom specializing in the study of
nitric oxide. In his affidavit he recounts the history of the physiology of NO
and its role as a chemical messenger. Palmer says that while by the early 1990s
much was known about this, the surrounding complexity tended to blur what now
appears clear in hindsight. He states that it was not commonly and generally
accepted at the relevant time that the NANC pathway was the right pathway to
target for treatment of impotence, citing a compilation of abstracts from the
first meeting of the European Society for Impotence Research in September 1995.
In particular, Palmer refers to an abstract of research by a leading group at
the Hanover Medical School
(Taher, Stief et al.,) which describes the continuing controversy regarding the
involvement of cyclic nucleotide monophosphates in the process of penile
erection in males. The research of the Hanover group into the potential of inhibiting PDEs as a
treatment for impotence led them away from PDE5 to PDE3.
[85]
Dr. Heaton was conducting research on neural
stimulation of the NANC pathway for ED from about 1990 and attended an
international impotence research conference at Singapore in 1994 where developments in the field were presented. He describes
his first reaction when he heard that Pfizer had an oral PDE inhibitor compound
for ED as "real surprise and skepticism". He and many other
scientists at the time doubted that the selectivity of sildenafil would be
enough to avoid significant systemic effects at clinically useful doses. They
found it surprising and "revolutionary" that sildenafil worked when
an erection was wanted and worked through oral administration as opposed to local
injection. He saw this development as a paradigm shift in the field of ED
treatment. I think it helpful to quote paragraph 26 of his affidavit in its
entirety.
Apotex’s arguments on obviousness are really based on
knowing now, after the fact, what the invention is and tracing back from it
into the prior art. Apotex has created a retrospective scientific landscape
that did not exist as Apotex describes it. There was no teaching that a cGMP
PDE inhibitor would work for ED, let alone that sildenafil was the
specific PDE inhibitor that would work for erection. There was no teaching
that such compounds could in fact be administered orally for ED. The field has
changed so radically since the time of release of sildenafil and BECAUSE of the
release of sildenafil, that it is difficult to recapture the state of
understanding of the pre-sildenafil era. I was vitally interested because of
my invention of Apomorphine - a potentially competing drug -at about the same
time. I had experience of the NO/cGMP system and considered myself on the
cutting edge for vascular knowledge in ED. I recall the events and thinking of
the time. In my opinion, Apotex’s arguments about the state of the art are
wrong. [Emphasis in the original]
[86]
It is useful, at this point, to
take a closer look at the prior art on which Apotex relies.
The
Prior Art:
[87]
As is common in these
applications, the respondent cited a considerable number of documents in
support of its plea of obviousness. The primary items relied upon in argument and
in the opinions provided by its experts and upon which I will focus are these
three papers:
"Nitric oxide as a mediator of relaxation of the corpus
cavernosum in respect to nonadrenergic, noncholinergic neurotransmission"
by Rajfer et al - New England Journal of Medicine Vol. 362 No. 2 at p.
90 (9 January 1992) ("Rajfer"),
"Phosphodiesterase VA Inhibitors" by K. J. Murray in Drug
News and Perspectives (DN&P) at Vol 6(3) p150-156 (April 1993) ("Murray") and
"The Role of the L-arginine-Nitric Oxide-Cyclic GMP pathway in
Relaxation of Corpus Cavernosum Smooth Muscle" a PhD dissertation of Dr
Margaret Ann Bush of the University of California ("Bush").
[88]
The respondent’s experts are all of the opinion
that clear direction to the use of selective cGMP PDE5 inhibitors for the
treatment of erectile dysfunction had been published before the claimed
priority date, through the Murray review article and the Bush thesis, based on
the experimental work of Rajfer et al. as reported in the January 1992
paper. The applicants submit that the Murray article and the Bush thesis would
not have been known to a person of ordinary skill in the art as they would not
have been found by a reasonably diligent search. Further, the applicants submit
that the Bush thesis is not properly in evidence and should not be considered. I
will deal with each of the three papers in turn.
Rajfer:
[89]
Dr. Jacob Rajfer was a member of a team of researchers at
the University of
California, Los
Angeles,
led by a Dr. Louis Ignarro and which included Dr. Peggy Bush, both of whose
names also appear as authors. Dr. Ignarro and his team had developed a
hypothesis about the role of a pathway in ED that involved the first messenger
NO and the second messenger cGMP.
[90]
The
January 1992 paper attracted considerable attention at the time it was
published in the prestigious New England Journal of Medicine. It informed
Dr. Murray’s April 1993 review article and when read by Dr. Ringrose at Pfizer,
led to his suggestion to give sildenafil a try in treating impotence. It was
rightfully, therefore, the focus of much of the evidence and argument in these
proceedings.
[91]
The
stated objective of the study the paper reports upon was to ascertain whether
nitric oxide played a role in relaxation of the corpus cavernosum in humans and
therefore in penile erection. The research was conducted in vitro using
strips of smooth muscle tissue from the corpus cavernosum of men in whom a
penile prosthesis had been inserted because of impotence. They used, among
other agents, a selective PDE5 inhibitor, zaprinast, to release NO to enhance
the relaxation effect in muscle stimulated by electric current.
[92]
The
abstract of the report states:
Our findings supported the
hypothesis that nitric oxide is involved in the nonadrenergic, noncholinergic
neurotransmission that leads to the smooth-muscle relaxation in the corpus
cavernosum that permits penile erection. Defects in this pathway may cause
some forms of impotence. [Emphasis added]
[93]
This
was an important finding and attracted considerable attention, including
informed speculation by Drs. Murray and Ringrose as to the potential
application of PDE inhibitors to the treatment of ED.
[94]
But,
as stated by Dr. Brock, there were no definitive conclusions in the report. At
page 93, the authors sum up the results of the experiment:
Thus, the
present observations suggest that nonadrenergic, noncholinergic
neurotransmission is coupled in some manner to the activation of the
L-arginine-nitric oxide pathway in human corpus cavernosum. These findings in
humans parallel those made in rabbits.
And at page 94:
It is
conceivable that impairment of this pathway could account for
the impairment in relaxation elicited by electrical field stimulation that has
been described in certain impotent men… In view of the previous finding that
electrically elicited relaxation of the corpus cavernosum is impaired in men
with diabetes and impotence, interference with the l-arginine-nitric oxide
pathway could be one cause of impotence that is treatable by the
administration of direct acting vasodilators. [Emphasis added]
[95]
In
Dr. Brock’s opinion, there was no basis for a skilled person to believe that this
reported research identified that the use of a cGMP PDE5 inhibitor would be
useful in the treatment of ED. Rather it pointed to the use of NO donor drugs
such as papaverine, prostaglandin and nitroglycerine. The focus of the paper is
on nitric oxide’s role, not the role of PDE inhibition. They were not testing
the use of zaprinast but using it as a tool to augment the amount of cGMP in
the tissue. In Dr. Brock’s lab, which was at or near the epicentre of research
in the field at the time, there was considerable discussion about this study.
He says that they speculated that the use of a patch impregnated with a NO
donor drug might be effective. They were not led to the oral administration of
a PDE5 inhibitor.
[96]
The
respondent’s experts rely heavily upon the Rajfer paper, another study
published by the same group in June 1992 reporting on results achieved with
rabbits (Bush 1992) and further work by the Ignarro group together with a team
of researchers at San Francisco led by Dr. Flavio Trigo-Rocha. The Bush
1992 study concluded that while convincing evidence was provided of the role of
NO as the inhibitory NANC neurotransmitter, the “definitive experiments to
prove this hypothesis remain to be conducted.” The Trigo-Rocha papers,
published in February and April 1993, reported on studies which applied the
Rajfer findings to in vivo studies of healthy animals.
[97]
Dr.
de Tejada concludes at paragraph 86 of his affidavit that “[b]y June 1993, on
the basis of all of the work on endothelium-derived NO, and NO from the NANC
nerves… there was no serious doubt that cGMP is the essential mediator of
penile smooth muscle relaxation, and thus of penile erection.”
[98]
With
respect to the esteemed physician, that is, I believe, a view, informed by
hindsight, that is not supported by either the reports of the studies or the evidence
as a whole which indicates that considerable doubt remained and alternatives
continued to be explored. Indeed Dr. Rajfer himself did not try to develop PDE5
inhibitors as a drug therapy for ED and pursued the potential use of NO donors,
which ultimately proved unsuccessful. Dr. Rajfer’s comment in the 1992 paper
that defects in the NANC pathway may cause some forms of impotence was not
substantiated by his findings. The text of the paper goes no further than
stating that "the failure of penile erection could be due to impaired
relaxation of the smooth muscle of the corpus cavernosum."
[99]
What
I take from the evidence as a whole is that as late as 1997 there remained
conjecture as to whether the NO/cGMP pathway was the major factor in penile
erection. And there continued to be concerns about the safety of oral treatment
with PDE5 inhibitors in contrast to local drug injections as was illustrated by
an article Dr. de Tejada wrote that year which was put to him on
cross-examination.
[100] As stated by
Dr. Heaton, if the use of cGMP PDE inhibitors for ED was obvious from the Rajfer
paper (and I would add, the Trigo-Rocha papers), then why didn't one of the
researchers in the field do it before Pfizer or at least try it? Indeed, why
didn't Dr. Rajfer?
[101] In the view
of the applicants’ experts, and as supported by cross-examination of the
respondent’s experts, what the 1992 Rajfer article did was essentially to
confirm further previous work that the NO/cGMP pathway in the corpus cavernosum
was involved in penile erection. It did not suggest the use of cGMP inhibitors
for the treatment of ED. This conclusion is not altered by the subsequent
Trigo-Rocha studies from the same group. They do not, as Apotex argues,
disclose that the solution to ED is to use a cGMP PDE inhibitor. Rather they present
an in vivo parallel of the Rajfer findings in healthy dogs, not what
might be expected in either impotent dogs or impotent men. They do not point
specifically to, or even suggest, the use of cGMP PDE inhibitors as a therapeutic
remedy but provide further evidence for the involvement of the NO pathway in
vivo.
Murray:
[102] Kenneth
Murray was a senior biologist with SmithKline Beecham Pharmaceuticals in England. His review
article appeared in an industry publication, Drug News and Perspectives, not a
peer reviewed journal. Dr. Brock, working in one of the leading laboratories
conducting research in the field, had never heard of Dr. Murray or the
publication. Dr. de Tejada learned of it for the first time when it was
provided to him for litigation purposes.
[103] Based on this
lack of awareness, the applicants advanced a fairly weak argument that the Murray article
should not be considered prior art as it would not have been found by a
reasonably diligent search by a person of ordinary skill. They presented no
evidence that it could not have been found in the usual sources such as
libraries. Dr. Murray was known to at least two of the other experts, Drs. Corbin
and Heaton, as knowledgeable about PDEs. Most telling in this regard, however,
is the evidence of an internal Pfizer memorandum that pointed to the Murray article as
limiting the scope of the claims the company could make for the therapeutic use
of PDE inhibitors. I am satisfied that it is properly before the court as an
illustration of the state of the knowledge available to the person of ordinary
skill at the relevant time.
[104] In the
article, Dr. Murray identifies the then current selective PDE5 inhibitors and
their relationship to smooth muscle relaxation. In reviewing their possible use
as drug therapy for humans, one of the several potential uses he identifies is
impotence. He notes that zaprinast was the most frequently studied PDE5
inhibitor and much of his commentary is based on the reported effects of that
compound. But Murray never
suggests that zaprinast be considered as a candidate for
treatment of ED. One of the compounds he
describes had been developed by his own company but there is no indication of
any intent to explore any potential use of that compound in relation to ED. He
states that the therapeutic potential would become clearer when other
“rationally designed PDE5 inhibitors become available”. In Dr. Brock’s view, with
which I agree, this was all “blue sky” thinking.
[105] None of the
PDE inhibitors Dr. Murray listed had any established clinical utility in treating
ED. Zaprinast had been developed for treating asthma. Based on Dr. Murray’s review,
zaprinast should have been a candidate for clinical testing in human ED. As Dr.
Heaton noted, this was not done because, amongst other things, zaprinast lowers
blood pressure, as Dr. Murray pointed out. This side effect was the expected
disadvantage of any PDE5 inhibitor. There would be concerns about the effects
on other body systems. At best, the Murray article can be taken to
suggest that there is a possibility that cGMP PDE5 inhibitors could be
developed for ED, subject to human testing. In any event, Dr. Murray points to
the potential utility of zaprinast, not sildenafil.
[106] According to Dr.
de Tejada, on cross-examination in reference to Dr. Murray’s comments about therapeutic
potential and speaking of zaprinast: “[o]bviously, I mean there is a
development that has to occur…It is obvious it should be tried.” But try what?
Zaprinast? Murray does not point to trying sildenafil but even if he did, the
test for obviousness in Canadian law, being mindful that one should not rely on
catchphrases as legal standards, is not whether something should be tried or is
“worth a try”: Eli Lilly, above at para. 301.
Bush:
[107] As noted above, Dr. Peggy
Bush was a member of the Ignarro team at U.C.L.A. during the relevant period. Her
Doctoral thesis is cited in the NOA as item 33 and is attached as an exhibit to
an affidavit listing all of the documents referenced by the respondent’s
experts. As a preliminary issue, the applicants’ question whether this document
was in the public domain at the priority date.
[108] With
obviousness, the invention need not be disclosed in one single patent or piece
of prior art, as is the case for anticipation. The Court is entitled to look at
all the patents and other publications that a skilled technician would discover
in a "reasonable and diligent search" to determine whether the
resulting "mosaic" leads directly to the invention: Illinois Tool Works
Inc. v. Cobra Fixations Cie., 2002
FCT 829, [2002] F.C.J. No. 1104 at para. 100, aff'd on this point, varied only
with respect to costs: 2003 FCA 358 [Illinois Tool Works].
[109] As stated by Justice Roger Hughes in
Novopharm, above at paragraph 57, the test is whether the document at issue is “something which, on the
evidence, was available to a person skilled in the art or could reasonably be
assumed to have knowledge of as of [the priority date]” citing Mahurkar
v. Vas-Cath Canada Ltd. (1988), 16
F.T.R. 48, 18 C.P.R. (3d) 417 at 432-36 (F.C.), aff'd 32 C.P.R. (3d)
409 (F.C.A.). This is, therefore, an objective standard and requires
some factual evidence, either direct or from which an inference may be drawn as
to availability.
[110] Where publication of alleged
prior art is questioned, as in this case, it seems to me that the respondent has to provide some
admissible evidence that the document was available to a person skilled in the
art at the relevant time. It then falls to the applicant to demonstrate that
the document in question does not meet the “reasonable and diligent search”
test as part of its legal burden to demonstrate that the applicant’s allegation
regarding obviousness is not justified.
[111] Apotex relies upon two exhibits attached
to Dr. de Tejada’s affidavit. These exhibits are two affidavits that were filed
in proceedings in the United
Kingdom. The first UK affidavit was, on its face, made by Dr.
Bush and attests to the presentation and defence of her dissertation in the fall of 1992
and its filing with the thesis and dissertation advisor at UCLA. The second UK affidavit was made by the thesis advisor attesting
to the filing of Dr. Bush's dissertation on December 3, 1992. She states that
on May 19, 1993 one of the copies provided by Dr. Bush was forwarded to the
UCLA biomedical library and the second, a few weeks later, to a commercial
organization, University Microfilms International, which stores abstracts. The
dissertation was also apparently available to anyone who might attend at the
advisor’s office and ask to read it.
[112] Rule 81(1) of the Federal Courts
Rules sets out the general requirement that affidavits be confined to facts
within the personal knowledge of the deponent. This embodies the common law
rule against hearsay, the rationale being that evidence in an affidavit must be
capable of being tested by cross-examination of the affiant: Bressette v.
Kettle & Stony Point First Nations Band Council, [1997] F.C.J. No. 1130, 137 F.T.R.
189 (T.D.) at para. 3. The same can be said for exhibits attached to an affidavit
as all evidence is subject to the hearsay rule unless an exception is met: Merck
& Co., Inc. v. Apotex Inc.,
[1998] 3 F.C. 400, [1998] F.C.J. No. 448 (T.D.) [Merck 1998]. None of
the information in the two UK
affidavits would have been within Dr. de Tejada’s personal knowledge and indeed
he was not familiar with the thesis until it was presented to him.
[113] There was no
attempt in these proceedings to rely upon s. 23 of the Canada Evidence Act to
seek to have the UK evidence
admitted under that statutory exception to the hearsay rule. Even where s.23 is
engaged, relevance and admissibility must still be established: Merck & Co. v. Apotex Inc., 2005 FC 755, 41 C.P.R. (4th) 35
at para. 60-61.
[114] As was noted by the Court of Appeal in Éthier
v. Canada (R.C.M.P. Commr.), [1993] 2 F.C. 659, [1993] F.C.J. No. 183
at paras. 1-2, the decisions of the Supreme Court in R. v. Khan, [1990]
2 S.C.R. 531, [1990] S.C.J. No. 81 and R. v. Smith, [1992] 2 S.C.R. 915,
94 D.L.R. (4th) 590 have dramatically clarified and simplified the law of
hearsay. The governing principles are reliability and necessity. In the present case, reliability
is not at issue. The question is whether it is necessary to receive it in this
form. There was no procedural
bar to Dr. Bush, the dissertation advisor or another witness having submitted affidavits
in this proceeding to establish when the thesis was published or otherwise made
available to the scientific community.
[115]
In my view, Apotex has
sought to circumvent the rules by taking advantage of evidence filed in a
foreign court without offering a reasonable justification for why it is
necessary to do so. When pressed on this point during oral argument, counsel
stated that these are summary and expedited proceedings and some consideration
should be given to relaxing the rules of evidence. That may be, but Apotex has submitted no evidence
that it was impossible or difficult to secure direct evidence regarding the
availability of this thesis at the relevant time. And given the volume of
evidence that Apotex filed in these proceedings, that would not seem to have been
an onerous burden.
[116]
I
conclude that the affidavits filed in the UK proceedings
are not admissible on this application as evidence that the Bush thesis was
available to the skilled technician prior to the claim date, or that it could have
been found by a reasonable and diligent search.
[117]
Could it be
reasonably inferred without this evidence that the thesis would have been
available to the skilled technician at the priority date? The respondent
submits that given Dr. Bush’s involvement with the Ignarro group and status as
lead author on two of their earlier research papers, it would have made sense
for any skilled technician to check to see whether she had written anything
else on the subject.
[118]
Dr. Brock,
who was working in California at the relevant time, was
aware of Dr. Bush’s work as a graduate student but had not seen the thesis
before this litigation. Dr. Christ acknowledged on cross-examination that Dr.
Bush’s role as a member of the Ignarro team was well known and that “her thesis
has gotten around.” But the evidence does not show when that might have happened.
The thesis was defended and filed just a few months before the claim date. It
may well have circulated within the scientific community in later months but
the evidence does not clearly establish even that possibility. The respondent’s
experts, Drs. de Tejada, Corbin and Maurice, conceded on cross-examination that
they first became aware of the thesis when it was provided to them by counsel
for Apotex. The evidence, in my view, is not sufficient to support the
inference that the thesis would have been found by a diligent and reasonable
search.
[119]
I
am satisfied that the applicants have established on a balance of probabilities
that the thesis
was not available to the skilled technician as of the priority date. But even if
I were to assume the contrary, I am also satisfied that the thesis does not
support an obviousness finding in this case. I would note, in passing, that I
have read the UK decisions which placed greater reliance upon the Bush thesis
in support of such a finding than I think is warranted by a fair reading of the
document.
[120]
Dr. Bush’s thesis
includes a careful description of the work done in experiments on the use of
zaprinast in human and rabbit corpus cavernosum tissue that she was conducting
as part of the Ignarro group’s research. The objective of this research was to
determine whether the L.arginine-nitric oxide-cGMP pathway is involved in NANC
stimulated relaxation of the corpus cavernosum, and to elucidate the mechanism
of relaxation. The conclusions she expressed as resulting directly from those
experiments were, as Dr. de Tejada put it, "relatively narrow" and
very similar to those reported by the same group in the Rajfer and Trigo-Rocha
papers on which she had also worked. However, Dr. Bush was able to take a wider
view in the summary and conclusions section of her thesis. In that section,
among other things, she stated the following:
The results of this research are probably
most important in terms of practical application to the treatment of urological
disorders such as impotence and priapism. Now that the physiological mechanism
for corporal smooth muscle relaxation has been established, this mechanism can
be used as a framework to systematically study the problem of
impotence. The geology of the vasculogenic and\or neurogenic importance may
be linked to a defect somewhere in the L.arginine nitric oxide cyclic GMP
pathway… Clinical development of a specific cyclic GMP phosphodiesterase
inhibitor should be considered for the treatment of impotence. A
specific cyclic GMP phosphodiesterase inhibitor could enhance corporal
smooth muscle relaxation and produce erection by inhibiting the breakdown of
cyclic GMP, thus having a direct and specific effect on the L-arginine-nitric
oxide-cyclic GMP mediated relaxation process. Agents that are currently being
used to treat impotence, the mechanisms of which do not appear to have the
physiological basis, should probably be reevaluated, and less efficacy has been
clearly established. A number of interesting directions for future research
can be identified.... Elucidation of the mechanism of relaxation and corpus
cavernosum will set the groundwork for future studies of the mechanism
of erection as well as the etiology and treatment of impotence. [Emphasis
added]
[121] In Dr.
Brock's opinion, when a skilled person read this passage in context, he would
not have understood that a specific cyclic GMP PDE inhibitor would successfully
treat erectile dysfunction. It was a possibility to be considered and further
researched, which is consistent with the views of the other experts at the time
such as Rajfer and Trigo-Rocha.
[122] For Dr.
Heaton, the Bush thesis showed just how much remained unknown that could be the
subject of future research projects. It was not a given that a cGMP PDE
inhibitor would be clinically effective as a treatment for ED and there is no
suggestion in the thesis that such a drug could be administered orally. On
cross examination, Dr. Corbin agreed with the suggestion that what Dr. Bush was
saying is that understanding the mechanism for relaxation will establish a
basis for future research into not only the mechanism of erection but also for
treatment of impotence. But that does not, in my view, point directly to the
invention claimed by the ‘446 patent.
Conclusion
on Obviousness:
[123] Keeping
in mind the strict nature of the obviousness test, and the fact that there is
much which is common in the evidence of all of the experts; what emerges is a
picture of a field of rapidly advancing science which led to the discovery but
which did not point directly to it. It is clear that quite a number of
significant factors were known at the priority date, but this is to be
expected. Seldom will an invention come out of the blue; usually it will be
based on a body of work and incremental progress.
[124]
As
submitted by the applicants, in 1993 there were several biochemical pathways
under study and several first and second messengers disclosed. A few scientists
speculated that PDE inhibition might be a factor in erectile tissue physiology.
None of them, however, arrived at the solution of using oral administration of
sildenafil as a PDE5 inhibitor in the treatment of ED prior to Pfizer.
[125]
Although there was a significant amount of evidence
indicating that cGMP PDE inhibitors should be further explored with regards to
the treatment of ED in the months leading up to the Pfizer discovery, the
evidence does not in my view establish that the solution taught by the patent was obvious at the time. At best there was speculation, which in hindsight proved
to be correct, that PDE5 inhibitors might treat impotence. Experiments with
zaprinast, a cGMP PDE inhibitor, had been performed but in an effort to
understand how the erectile process works, not how to treat ED.
[126] Even if the person of ordinary skill had arrived, based on the art,
at oral administration of sildenafil, and being mindful of the caution stated
in Novopharm above about the use of catchphrases, the most that could
have been said at the priority date is that it would be “worth a try”. Indeed
that is essentially how Dr. Ringrose characterized his view when he suggested
that sildenafil be tried out as a treatment for impotence by the Urogenitals
Group at Pfizer in January, 1992. As we know from the evidence, the initial
tests with monkeys were unsuccessful but subsequent testing in human volunteers
produced reports of spontaneous erections. Those reports, internal to Pfizer,
were not available to the ordinary skilled person. The result was, as the
applicants say, part luck and part deductive science.
[127] While it was surprising to many working in the field at the time
that the oral administration of a PDE5 inhibitor would work, without serious
side effects, the evidence is clear that there was a strong motivation to come
up with a convenient drug treatment for ED. Textbooks and articles published in
the 1990’s and tendered in evidence contain statements such as “[e]very
urologist has been asked at some point by a patient suffering from erectile
dysfunction whether he could just get a “pill” to fix the problem.” As Dr.
Rajfer wrote in a June 1998 editorial in the Journal of Urology: “The
development of an oral pill for impotence has been the dream of many
researchers in the field, myself included.” That this was the “Holy Grail” of
such research is not surprising given the estimates that many millions of men
suffer from the condition. The result of the discovery of sildenafil’s effects
was a profound change in treatment methods, as the experts acknowledged.
[128] The cumulative effect of secondary
indicia such as the commercial success
of the product, its wide use, and the surprise that accompanied its first
publication further support my conclusion. As noted in the British Medical
Journal of September 19,1998:
The popular interest in Viagra
(sildenafil) is not solely the result of media hype and the drug's association
with sex: the demand for treatment has been enormous. Since its launch in the United States in March it has become the
fastest selling drug ever... the level of demand was predictable, given the
prevalence of erectile dysfunction... and the unacceptability, poor
effectiveness, or unavailability of existing treatments, such as implants,
intracavernosal injection, intra-urethral pellets, vacuum devices and sex
therapy. To most sufferers a tablet treatment must've seemed too good to be
true.
[129] I therefore find that on the totality of the
evidence the applicants have proven on a balance of probabilities that the respondent’s allegation of invalidity on the basis of
obviousness is unsubstantiated.
Anticipation:
[130] The allegations of
anticipation directed to claims 7, 8, 10, 18, 22 and 23 are based on two of
Pfizer’s previously published patent applications: EP-A-0463756 and
EP-A-0526004. In my view, neither discloses the use of sildenafil for the
treatment of ED. As such, a skilled person would not, reading either
document, in every case and without possibility of error arrive at the subject
matter of the invention: Beloit, above.
[131] The respondent’s argument
appears to be that it is the composition that is being claimed in the ‘466
Patent. It asserts that claims 10 and 23 of the ‘446 Patent which claim
pharmaceutical compositions of sildenafil (albeit for a restricted use) are
anticipated by the ‘756 application which teaches the pharmaceutical
compositions of sildenafil without reference to the area of treatment. Clearly
it is the use of sildenafil, not sildenafil itself which was claimed
in the ‘466 Patent.
[132] The respondent refers to
the Supreme Court of Canada decision in Hoffman-La Roche & Co Ltd. v.
Commissioner of Patents [1955] S.C.R. 414, 23 C.P.R. 1 at para. 5 (S.C.C.)
[Hoffman], cited positively by the Federal Court in Abbott
Laboratories v. Canada 2005 FC 1332, 45 C.P.R. (4th) 81 at para.
58 (F.C.), aff’d 2007 FCA 153 at paras. 11-14 [Abbott Laboratories 2005].
As was noted by this Court in Abbott Laboratories 2005 at para. 76, the Hoffman case stands for the
principle that “one
cannot obtain a patent on an old product even by use of a new process”. This
however is not what the applicants did in their application for the ‘466
Patent. It is not a new process for an old product they discovered but an
entirely new use.
[133] The respondent
submits that the facts in the present case are different from those in Wellcome,
above and Shell Oil Co. v. Commissioner of Patents, [1982] 2 S.C.R. 536,
142 D.L.R. (3d) 117 [Shell Oil] as in those cases the composition
was new, whereas, at bar, the composition is old.
[134] The relevant
point to be taken from Wellcome is that the Supreme Court made it clear
that “"[H]itherto unrecognized properties" can constitute a
patentable new use for an old
substance: Shell Oil, supra, at p. 549, per Wilson J.” (at
para. 48) [emphasis added]. The compound AZT was at issue in Wellcome.
The Supreme Court held that the respondents did not “invent” AZT; it was a
known compound that had been developed in the context of cancer research. It
was the discovery of the compound’s usefulness for the treatment of HIV and AIDS
that was the subject of the Patent: Wellcome, above at para. 35. As
emphasized by the Supreme Court “[i]t is important to reiterate that the only
contribution made by Glaxo/Wellcome in the case of AZT was to identify a new use”:
[emphasis in original] Wellcome, above at para. 52.
[135] I had no
difficulty in concluding that the respondent has not met its evidentiary
burden to demonstrate that this issue is “in play” in these proceedings. If
necessary, I would also find that the applicants had met their legal burden.
From either perspective, the allegation fails.
Are the Claims broader then the invention made or disclosed?
[136] The
respondent argues that the ‘446 Patent is
invalid on the basis of being broader than the invention (if any) made or disclosed.
This issue is really a matter of claims construction.
It turns on the meaning to be given to the words curative and prophylactic, and
whether they can pertain to a “treatment” as opposed to a “cure” as I have
discussed above.
[137] The findings
of the Supreme Court in Wellcome, above, are of assistance, and
are not distinguishable as asserted by the respondent. At issue in Wellcome was
the appellant’s argument that, although AZT may have “treatment” properties, it
certainly did not have “prophylactic” properties, noting that, generally
speaking, treatment deals with an infection already acquired, whereas
prophylaxis refers to prevention of the disease in the first instance.
[138] The findings
of the Supreme Court make it clear that the respondent’s argument, though
having some linguistic attraction, places too much emphasis on there being a
bright line distinction between treatment and prophylaxis: Wellcome,
above at para. 88. The Supreme Court further referred to the fact that “[d]ictionaries
tend to include prophylaxis as an aspect of treatment”: Wellcome, above at
para. 88. The Supreme Court concluded:
89 If
"prophylactic" treatment of malaria may post-date the initial
infection, it would seem appropriate that prophylaxis can also include
"prevention of the development of signs and symptoms of the disease [AIDS]
without necessarily eradicating the causal factor [HIV]".
[139] In the
present case, multiple examples were given in the evidence submitted by both
parties regarding the use of the words “curative” and “prophylactic”, including
comparative examples. For example, as noted by the respondent, the applicants’ expert
Dr. Brock acknowledged that sildenafil does not “cure” ED. The respondent
failed, however, to highlight that in the same paragraph Dr. Brock goes on to
assert that it is ““curative” in the sense that, when the drug is taken, the
symptoms of the condition are alleviated”. Similarly, he notes that
one definition of prophylaxis cited by the
respondent at page 58 of the NOA is “[t]he
prevention of the development of signs and symptoms of the disease without
necessarily eradicating the causal factor…”. There was also evidence
presented, which was not refuted, that some individuals, after taking
sildenafil for some time, no longer needed to continue taking it. It is further
of note that the claims in the present case refer to “curative or prophylactic”.
[emphasis added]
[140] A patent is
notionally addressed to a person skilled in the art or science of the
subject-matter. It is also to be read as such a person would have read it when it
first became public. I do not believe that a skilled reader would have thought
that the Patent was indicating that sildenafil would “cure” the underlying
condition causing the ED. I think a skilled reader would have read the Patent
as indicating a treatment for ED that was curative or prophylactic
in nature with regard to the symptoms of ED.
[141] As such, on a balance of probabilities the applicants
have demonstrated that this allegation is unsubstantiated.
Failure
to meet the requirements of the legislation
[142] The
respondent submits that claims 7, 8, 18 and 22 of the patent are not eligible
for listing on the patent register as they are “use” claims rather than claims
to a medicine; the use claimed is not use as a medicine, but rather use for the
manufacture of a medicament.
[143] As noted
above, this issue was raised by the respondent in a motion to dismiss the
application made returnable on the opening day of the hearing. Counsel for the
respondent explained that, while the issue had also been raised in their memorandum
of fact and law, they had brought the motion at the 11th hour out of an
abundance of caution because of a comment in Abbott Abbott Laboratories v.
Canada (Minister of Health), 2007 FCA 187, [2007] F.C.J. No. 686, at
paragraph 44, that a motion under paragraph 6(5)(a) of the Regulations
was
the proper means to challenge the eligibility of a patent for listing, in the
context of a prohibition application. There is nothing in section 5 of the Regulations
that specifically provides that the issue can be raised in the NOA.
[144] Subsequent to
the hearing of this matter, the Federal Court of Appeal released its decision
in Ratiopharm Inc. v. Wyeth 2007 FCA 264, [2007] F.C.J. No. 1062 which
clarifies at para. 36 that:
A motion
under paragraph 6(5)(a) is not analogous to a motion for summary judgment or
motion to strike proceedings, and cannot be governed by the principle from David
Bull Laboratories (Canada) Inc. v. Pharmacia
Inc.
[1995] 1 F.C. 588 (F.C.A.) that an application normally will not be struck out
on a motion before the hearing. The purpose of a paragraph 6(5)(a) motion is
to remove from consideration in a prohibition application any patent or patents
that should not have been listed. That purpose can be achieved only if the
motion is made and dealt with prior to the hearing on the merits of the
application
[145] In this
instance, given the late filing of the motion, and as noted at the outset of
these reasons, with the agreement of counsel the subject matter of the motion
was rolled into the hearing on the merits of the application.
[146] As a preliminary matter and although it is not necessary to make
such a determination for this decision, I agree with the applicants that on a
plain language reading of paragraph 6(5)(a), the Court would have no jurisdiction
to dismiss the entire application were it to conclude that some of
the claims of the
‘466 patent do not meet the eligibility requirements. The wording of paragraph
6(5)(a) is clear that it pertains only to “patents that are not eligible”. In
my view, this would require a finding that none of the claims in a particular
patent satisfied the criteria. So long as one or more claims in the patent is
eligible, the patent remains eligible. In any event, I do not accept the
respondent’s argument that the claims at issue are ineligible.
[147] The relevant
claims with respect to this issue, as disclaimed, are set out as follows in
summary form and with emphasis added:
1. The use of a
compound of formula (I) [which is then defined] or a
pharmaceutically acceptable salt thereof, or a pharmaceutical composition
containing either entity, for the manufacture of a medicament for the
curative or prophylactic treatment of an erectile dysfunction in man.
Claims 2-4 in essence claim
“The use according to claim 1” and give more narrow definitions for formula (I).
7. The use according to claim 4
wherein the compound of formula (I) is 5-[2-ethoxy-5-(4-methyl-1-piperazinylsulphonyl)phenyl]-1-methyl-3-n-propyl-1,6-dihydro-7Hpyrazolo[4,3-d]pyrimidin-7-one]
(i.e. sildenafil) or a pharmaceutically acceptable salt thereof (i.e.
sildenafil salt), [italicized notations added]
8. The use according to any one
of claims 1 to 7 for the manufacture of a medicament for the curative or
prophylactic treatment of erectile dysfunction in man.
10. A pharmaceutical composition
for the curative or prophylactic treatment of erectile dysfunction in man,
comprising a compound of formula (I) according to any one of claims 1 to 7, or
a pharmaceutically acceptable salt thereof, together with a pharmaceutically
acceptable diluent or carrier.
18. The use of a compound of
formula (I) according to any one of claims 1 to 7, or a pharmaceutically
acceptable salt thereof, for the curative or prophylactic treatment of erectile
dysfunction in man.
22. The use according to any one
of claims 1 to 8 wherein the medicament is adapted for oral treatment.
23.
A pharmaceutical
composition according to claim 10 which is adapted for oral treatment.
[Emphasis added]
[148] As noted by
the respondent, claims 7, 8, 18, and 22 are “use” claims. The respondent
asserts that they are not, however, use claims that fall within the
Regulations, because the “use” claimed is not “use of the medicine” as defined
therein, but “use for the manufacture of a medicament”, it being the manufactured
medicament and not the sildenafil itself, that is intended for curative and
prophylactic purposes.
[149] The
applicants assert that all claims in the ‘446 Patent, including 7, 8, 18 and 22
are proper claims within the Regulations, arguing that the respondent has
misconstrued them, particularly claim 18. In refuting the argument of the
respondent that claim 18 is “not a claim for the use of the medicine within the
meaning of the Regulations, and that it is instead a claim for the
manufacture of a medicament”, the applicants do however seem to distinguish
between the “use of the medicine” set out in claims 1 to 7 being “for the
manufacture of a medicament”, and claim 18, which is a claim for the use of a
compound for the “curative or prophylactic treatment of erectile dysfunction in
man”, and not a claim for the manufacture of a medicament. The applicants
specify that the “cross-reference in claim 18 to claims 1 to 7 is not to the
use described in those claims, but to the compound (i.e. sildenafil)”, and it
is therefore clearly a proper claim within the meaning of the
Regulations. With respect to claims 7, 8,
and 22, the applicants assert that they too, when properly construed are also
“claims for the use of sildenafil”, seeming to imply that what is claimed is
the use of sildenafil for the manufacture of a medicament, and therefore a use
of sildenafil. .
[150] Having regard
to the principle of purposive construction, and that the key is the
identification by the Court, with the assistance of the skilled reader, of the
particular words or phrases in the claims that describe what the inventor
considered to be the "essential" elements of his invention, I do not
think that the “use” in claims 1 to 7 should be interpreted as being the “use”
of sildenafil simply “for the manufacture of a medicament”.
[151] The entire
validity of the patent rests on a new use being discovered for sildenafil, that
being its use for the curative or prophylactic treatment of ED in man. In no
way does the use of sildenafil merely for the manufacture of a medicament in
any way suggest a new use, unless this is seen as secondary to the “use… for the
curative or prophylactic treatment of an erectile dysfunction in man”.
[152] All of the
claims clearly refer to the use of sildenafil, regardless of form. In each
instance, in my view, the claims address the use of the medicine. As defined in
section 2 of the Regulations
“claim for the use of medicine” and “medicine” are defined as follows:
"claim for the use of the
medicine" means a claim for the use of the medicine for the diagnosis, treatment,
mitigation or prevention of a disease, disorder or abnormal physical state,
or the symptoms thereof; (revendication pour l'utilisation du
médicament)
" medicine " means a
substance intended or capable of being used for the diagnosis, treatment,
mitigation or prevention of a disease, disorder or abnormal physical state,
or the symptoms thereof; (médicament)
[Emphasis added]
[153] To my mind,
it is clear from the claims at issue that multiple forms of sildenafil,
including a compound of formula (I), a pharmaceutically acceptable salt
thereof, or a pharmaceutical composition containing either, are claimed as
being useful for the treatment of ED in man, and that this may require the
manufacture of a medicament to be achieved. The use being spoken of is
therefore the use of sildenafil (which is a medicine, as defined above, i.e. “a
substance”) for the curative or prophylactic treatment of erectile dysfunction
in man, and the manufacture of a medicament or the adaptation for oral
treatment are merely secondary aspects to the essential claimed use.
[154] On
the balance of probabilities the applicants have demonstrated that this
allegation is unsubstantiated.
CONCLUSION
[155] In
conclusion, I am satisfied on the evidence in this case that Pfizer’s discovery
was truly inventive and that none of the respondent’s attacks on the patent
should succeed. The applicants have met their legal burden to establish the
validity of the ‘466 patent on a balance of probabilities and the application
for an Order to prohibit the Minister of Health from issuing a Notice of
Compliance to the respondent until after the expiry of the patent shall be
granted. The applicants shall have their costs on both the application and the
motion. If the parties cannot reach agreement on the quantum, the question of
costs can be brought forward by Notice of Motion.
JUDGMENT
IT IS THE JUDGMENT OF
THIS COURT that
- The respondent’s motion to dismiss the
within application for prohibition dated May 22, 2007 is dismissed with
costs to the applicant.
- The application
is granted and the Minister
of Health is prohibited from issuing a Notice of Compliance to the
respondent in accordance with section 6(1) of the Patented Medicines
(Notice of Compliance) Regulations, S.O.R./93-133 for sildenafil, sildenafil citrate,
or for any drug for which there is a connection to the drug known as
sildenafil citrate as described in section 5(1) or section 5(1.1) of the
Regulations, until after the expiry of Canadian Patent No. 2,163,446.
- The applicants
are entitled to their costs on the ordinary scale to be determined by
Notice of Motion, if required
“Richard G. Mosley”