Date:
20130204
Docket:
T-556-11
Citation:
2013 FC 120
Toronto, Ontario,
February 4, 2013
PRESENT: The
Honourable Mr. Justice Hughes
BETWEEN:
|
PFIZER CANADA INC., AND
WARNER-LAMBERT COMPANY LLC
|
|
|
Applicants
|
and
|
|
PHARMASCIENCE INC. AND
THE MINISTER OF HEALTH
|
|
|
Respondents
|
|
|
|
REASONS FOR JUDGMENT
AND JUDGMENT
[1]
This
is an application brought under the provisions of the Patented Medicines
(Notice of Compliance) Regulations SOR/93-133, as amended (NOC
Regulations) to prohibit the Minister of Health from issuing a Notice of
Compliance to Pharmascience Inc. in respect of its PMS-Pregabalin capsules of
25 mg, 50 mg, 75 mg, 150 mg, and 300 mg dosage strengths until the expiry of
Canadian Letters Patent No. 2,255,652 ('652 patent). The original Notice of
Application was filed April 1, 2011, which means that this matter must be
determined by April 1, 2013.
[2]
For
the reasons that follow, I find that the Application is dismissed, with costs.
INDEX
[3]
The
following is an Index to these Reasons by paragraph numbers:
THE PARTIES
|
Paras
4 to 8
|
THE '652
PATENT GENERALLY
|
Paras
9 to 15
|
THE EVIDENCE
|
Paras
16 to 20
|
ISSUES
|
Paras
21 to 23
|
BURDEN
|
Paras
24 to 27
|
PERSON SKILLED
IN THE ART
|
Paras
28 to 35
|
THE '652
PATENT IN DETAIL
a)
The Specification
|
Paras
36 to 58
Paras
36 to 58
|
CLAIM 3
|
Paras
59 - 62
|
CONSTRUCTION
OF CLAIM 3 – PAIN
|
Paras
63 to 82
|
CLAIMS
BROADER THAN THE INVENTION MADE OR DISCLOSED
|
Paras
83 to 95
|
SOUND
PREDICTION – UTILITY DISCLOSURE
Pharmaceutical Claims
Invention
History
of the Jurisprudence
Where
does all this leave us?
In
the present case:
|
Paras
96 to 163
Paras
102 to 105
Paras
106 to 111
Paras
112 to 158
Para 159
Paras
160 to 163
|
UTILITY
– SOUND PREDICTION –
CLAIM
3
- Pregabalin
does not treat all types of pain
- The
patent fails to disclose any utility of the racemate or any basis for a
sound prediction that the racemate would treat all or even some types of
pain:
|
Paras
164 to 185
Paras
168 to 178
Paras 179 to
185
|
OBVIOUSNESS
|
Paras 186 to
205
|
REISSUE
APPLICATION
|
Paras 206 to
215
|
CONCLUSIONS
AND COSTS
|
Paras 216 to
218
|
THE PARTIES
[4]
The
Applicant Pfizer Canada Inc. (Pfizer) is a “first person” as so described in
the NOC Regulations. It has listed the '652 patent in accordance with
those Regulations. Pfizer has obtained from the Minister of Health a
Notice of Compliance to sell tablets containing pregabalin in 25, 50, 75, 150,
and 300 mg. strengths, which it does under the brand name LYRICA.
[5]
The
Applicant Warner-Lambert Company LLC (Warner-Lambert) claims to be the owner of
the '652 patent. This claim is not contested in these proceedings.
[6]
The
Respondent Pharmascience Inc. (Pharmascience) is a “second person” as so
described in the NOC Regulations. It seeks to sell a generic version of
Pfizer’s LYRICA drug. To do so, it must receive a Notice of Compliance from the
Minister of Health. In accordance with the NOC Regulations,
Pharmascience has served Pfizer with a Notice of Allegation dated February 11,
2011.
[7]
In
that Notice of Allegation, Pharmascience alleged that claims 4, 6-12, 14 and 15
of the ‘652 patent would not be infringed, and that the patent is invalid on
the grounds of anticipation, obviousness, inutility, lack of sound prediction,
ambiguity and claims broader than the invention made or disclosed; all as more
particularly set out in the enclosed Detailed Statement.
[8]
The
Respondent Minister of Health is charged with various duties under the NOC
Regulations, including the issuance of a Notice of Compliance to a “second
person” such as Pharmascience in appropriate circumstances. The Minister took
no active role in these proceedings.
THE '652 PATENT
GENERALLY
[9]
Canadian
Letters Patent No. 2,255,652 (the '652 patent) was applied for by an
application deemed to be filed with the Canadian Patent Office on July 16,
1997. Therefore, that patent is governed by the provisions of the “new” Patent
Act, RSC 1985, c. P-4, applicable to patents applied for after October 1,
1989.
[10]
The
application was filed under the provisions of the Patent Cooperation Treaty
(PCT) and claims priority from a first application filed in the United States
Patent Office on July 24, 1996. This is the date upon which issues of
obviousness and anticipation will be determined.
[11]
Under
the provisions of the PCT the application for the patent was deemed to be filed
in the Canadian Patent Office on July 16, 1997. This is the date from which the
term of the patent is to be calculated and upon which the issue of sound
prediction is to be considered.
[12]
The
application was laid open for public inspection under the provisions of the Patent
Cooperation Treaty on January 29, 1998. This is the date that is to be used
for purposes of construing the patent and its claims.
[13]
The
'652 patent names Lakhbir Singh of Great Britain as inventor. He filed an affidavit
in these proceedings and was cross-examined.
[14]
The
'652 patent was issued and granted to Warner-Lambert Company of the United
States on July 13, 2004. The term of the patent, unless the patent is declared
to be invalid in an appropriate action, will expire twenty (20) years from the
date that the application was filed in Canada; that is, on July 16, 2017.
[15]
It
is agreed that only one claim, claim 3, of the '652 patent is at issue in this
proceeding. The construction of that claim and the patent will be considered
later in these Reasons.
THE EVIDENCE
[16]
As
is usual in these proceedings, the evidence took the form of affidavits,
exhibits to affidavits, transcripts of cross-examination, and exhibits to
cross-examination. The Court had no opportunity to see or hear the witnesses or
to observe their demeanour.
[17]
The
Applicants
have filed the affidavits, with exhibits, of the following persons:
•
Dr.
Kenneth E. McCarson: Associate Professor of Pharmacology
at the University of Kansas Medical Centre, Kansas City, Kansas. He claims
expertise in respect of the formalin test, carrageenin test, and post-surgical
model all as reported in the '652 patent. He submitted an affidavit in chief
and a reply affidavit, and was cross-examined.
•
Dr.
Stephen McMahon: Professor of Physiology at King’s College London,
and Director of the London Pain Consortium. He claims expertise in the fields
of neuroscience, somatosensory neurobiology, and particularly, pain. Dr.
McMahon submitted an affidavit in chief and a reply affidavit, and was
cross-examined.
•
Dr.
Roman Jovey: A medical doctor trained as a general
practitioner and is the Medical Director at CPM Centres for Pain Management in Mississauga, Ontario, and Physician-Director of the Addictions & Concurrent Disorders
Centre at the Credit Valley Hospital in Mississauga. He claims expertise, as a
medical doctor, in the areas of chronic pain management and substance abuse. Dr.
Jovey filed an affidavit and was cross-examined.
•
Dr.
Lakhbir Singh: He is the person named as inventor in the '652
patent. Dr. Singh filed an affidavit and was cross-examined.
•
Dr.
Ann G. Hayes: A pharmacologist acting as an independent
pharmaceutical consultant to the pharmaceutical industry, particularly in the
area of central nervous system diseases. Her affidavit was filed in reply to
the affidavit of Dr. Jamali (which I will note later). She was cross-examined.
•
Dianne
Zimmerman:
A law clerk in the offices of the Applicants’ solicitors. Her affidavit served
to place a large number of documents in the record. She was not cross-examined.
[18]
Pharmascience
raised challenges as to the extent of the expertise as claimed by Drs.
McCarson, McMahon, and Jovey. I find that they have extensive expertise
sufficient to be of assistance here.
[19]
The
Respondent Pharmascience filed the affidavits, with exhibits, of
the following persons:
•
Dr.
Alan Cowan:
A Professor of Pharmacology and Anaesthesiology at Temple University, Pennsylvania. He claims expertise in the treatment of pain and use of various animal models
of pain. He filed an affidavit in chief and a sur-reply affidavit. He was
cross-examined.
•
Dr.
C. Peter Watson: An Assistant Professor of Medicine, Division of
Neurology, at the University of Toronto. He is a medical doctor and claims expertise
in the treatment and diagnosis of neuropathic pain. Dr. Watson submitted an affidavit
and was cross-examined.
•
Dr.
Fakhreddin Jamali: Professor in the Faculty of Pharmacy
and Pharmaceutical Services, University of Alberta. He claims expertise in the
field of pharmacokinetics and pharmacodynamics, onset of analgesia and
inflammation. He filed an affidavit in chief and another in sur-reply. He was
cross-examined.
•
Rebecca
Hayley:
A law clerk in the offices of Pharmascience’s solicitors. Her affidavit served
to place certain documents in the record. She was not cross-examined.
[20]
The
Applicant challenges the expertise as claimed by Dr.Watson to the extent that
he is a medical doctor and not expert in animal models. I reject that challenge
as I will find that the patent is directed to persons skilled in the art
including medical doctors experienced in the treatment of pain such as Dr
Watson.
ISSUES
[21]
The
principal issue for determination by the Court is whether or not to grant an
Order prohibiting the Minister from granting a Notice of Compliance to
Pharmascience for its generic pregabalin tablets until the expiry of the '652
patent. The basis for doing so is whether the various allegations raised by
Pharmascience as to invalidity of the '652 patent, are justified. Those
allegations, though many were raised in the Notice of Allegation, have been
reduced in the written and oral arguments made by Pharmascience, to the
following:
•
Claims
Broader than the Invention Made or Disclosed
•
Sound
Prediction
•
Actual
Inutility
•
Obviousness
[22]
It
must be noted that while Pharmascience raised the issues of anticipation and
ambiguity in its Notice of Allegation these issues were not pursued in its
written argument submitted to the Court. The Notice of Allegation did raise the
point that Pfizer had applied to reissue the ‘652 patent so as to include a
number of very specific claims but ultimately abandoned that application. This
point was not included in Pharmascience’s written argument but was addressed in
its oral argument. Pharmascience raised a question of sufficiency in Dr Cowan’s
affidavit (paragraphs 105-107) however sufficiency was not raised in the Notice
of Allegation.
[23]
In
order to address the active issues, the Court must address the following issues
first:
•
Burden
•
Person
Skilled in the Art
•
Claim
Construction
BURDEN
[24]
The
main issue is whether Pharmascience’s allegations as to invalidity of the ‘652
patent are justified. Infringement is not an issue.
[25]
There
have been many decisions addressing the question of burden when the issue in
NOC proceedings is that of patent validity. I refer
for instance to Pfizer Canada Inc v Apotex Inc, 2007 FC 26 at paras 9
and 12, and 2007 FCA 195, leave to appeal to Supreme Court refused; Pfizer
Canada Inc v Canada (Minister of Health), 2012 FC 767 at para 42, affirmed
in the result 2012 FCA 308.
[26]
To
put the matter briefly, the Patent Act, subsection 43(2) affords a
patent a presumption of validity. In NOC proceedings the “second person” must
lead some evidence to rebut that presumption. Once such evidence has been led
the Court must determine the issue of validity on the usual civil burden of
proof having regard to all the relevant evidence.
[27]
In
this case Pharmascience has led evidence as to validity as has Pfizer. The
matter will be considered on the usual civil burden which rests upon
Pharmascience.
PERSON SKILLED
IN THE ART
[28]
The
person skilled in the art, or as sometimes described, the person of ordinary
skill in the art (POSITA) is the notional person, which may include a team of
persons, through whose eyes a patent is to be construed, the prior art is to be
considered. This notional person may be pertinent to other issues that arise in
respect of a patent under consideration by the Court.
[29]
In
the present case the parties are agreed, to a certain extent, as to the
qualifications as to the person skilled in the art. They are agreed that such a
person includes a scientist with advanced education and experience in
pharmaceuticals used in the treatment of pain. Pharmascience urges that such a
person should be in addition should be a physician who treats patients
suffering from pain.
[30]
Assistance
can be derived from the wording of the ‘652 patent. The opening paragraph
states:
The present invention is the use of analogs of
glutamic acid and gamma-aminobutyric acid (GABA) in pain therapy, as the
compounds exhibit analgesic/antihyperalgesic action. Advantages of the use of
the compounds includes the finding that repeated use does not lead to tolerance
nor is there a cross-tolerance between morphine and the compounds.
[31]
The
‘652 patent acknowledges, at page 1, lines 9 to 15 that the compounds
themselves are known and have been previously used to treat certain disorders
of the central nervous system.
[32]
Much
of the description of the patent deals with tests administered to rats in order
to determine or predict the ability of the compounds to alleviate pain.
[33]
I
note that the named inventor, Dr. Singh, in cross-examination in reply to
questions 79 to 82 said that he was not a chemist but that his contribution was
as a pharmacologist.
[34]
I
am satisfied that a person skilled in the art is a team including a scientist
such as a pharmacologist with experience in animal modeling with compounds of
interest and a physician with experience in the selection and use of compounds
likely or believed to be likely to be effective in the alleviation of pain.
[35]
I
am able, in varying degrees, to receive assistance from all the expert
witnesses whose evidence has been provided in these proceedings.
THE '652 PATENT
IN DETAIL
a) The
Specification
[36]
The
specification or descriptive portion of the patent begins at page 1 with a
general statement of the invention; namely, the use of certain compounds in
pain therapy, because they exhibit certain action. The advantage is stated to
be that they do not lead to tolerance or cross-tolerance with morphine.
The present invention is the use
of analogs of glutamic acid and gamma-aminobutyric acid (GABA) in pain therapy,
as the compounds exhibit analgesic/antihyperalgesic action. Advantages of the
use of the compounds includes the finding that repeated use does not lead to
tolerance nor is there a cross-tolerance between morphine and the compounds.
[37]
The
next paragraph at page 1 acknowledges that these are known compounds previously
used to treat certain central nervous system disorders; a number of patents
disclosing the compounds and such uses are cited; the WP 93/23383 patent should
be noted as it is referred to by some of the expert witnesses:
The compounds of the invention
are known agents useful in antiseizure therapy for central nervous system disorders
such as epilepsy, Huntington’s chorea, cerebral ischemia, Parkinson’s disease,
tardive dyskinesia, and spasticity. It has also been suggested that the
compounds can be used as antidepressants, anxiolytics, and antipsychotics. See
WO 92/09560 (United States Serial Number 618,692 filed November 27, 1990) and
WP 93/23383 (United States Serial Number 886,080 filed May 20, 1992).
[38]
There
follows at page 1 a summary of the invention; namely, the use of a certain
compound in the treatment of pain “especially for chronic pain”, including “but
not limited to” a long list of particular types of pain, including a type of
“acute” pain:
SUMMARY OF THE
INVENTION
The instant invention is a method of
using a compound of Formula I below in the treatment of pain, especially for
treatment of chronic pain disorders. Such disorders include, but are not
limited to, inflammatory pain, postoperative pain, osteoarthritis pain
associated with metastatic cancer, trigeminal neuralgia, acute herpetic and
postherpetic neuralgia, diabetic neuropathy, causalgia, brachial plexus
avulsion, occipital neuralgia, reflex sympathetic dystrophy, fibromyalgia,
gout, phantom limb pain, burn pain, and other forms of neuralgic, neuropathic,
and idiopathic pain syndromes.
[39]
At
the top of page 2, the compound is described by a general formula called
Formula I, which is later claimed in claim 1; a set of preferred compounds are
set out, which are claimed in claim 2, and more preferred compounds – two of
them – are set out; these two compounds are claimed in claim 3, which is the
claim at issue.
[40]
I
digress at this point to deal with the concept of racemates, as the above
description deals with diastereomers and enantiomers. A brief discussion of
racemates and enantiomers can be found in the affidavits of Dr. Hayes and the
reply affidavit of Dr. Jamali. I repeat what I wrote in Janssen-Ortho Inc v
Novopharm Limited, 2006 FC 1234 (aff’d 2007 FCA 217) at paragraphs 28 to
31:
28 Molecular compounds although often written
out as a series of letters, number and symbols or depicted on a flat sheet of
paper, do not exist that way in reality. They are three dimensional structures.
Some compounds only assume one three dimensional shape, others such as those
that are racemic, do not.
29 Racemic compounds, also called racemates,
exist as comprising the same atoms in the same sequence, but bent at joints
called chiral centres so as to assume what has been called left handed (levo)
or right handed (dextro) configurations. Levo is sometimes simply depicted as
(-) and dextro as (+). The left handed configuration is the mirror image of the
right.
30 A racemate is said to contain an equal number
of left and right handed configurations of the molecule. This concept is
sometimes depicted (+/-) although that is unnecessary when a competent chemist
would be able to detect a chiral centre.
31 Knowing that a compound is racemic is to know
that, if there is only one chiral centre as there is in this case of Ofloxacin,
there is a left hand and a right hand version of the molecule. Each version can
be detected optically by a device such as a polarimeter. That device will
detect which of the two configurations turns light to the left (levo or -) and
which turns light to the right (dextro or +). Depending on the prevailing
conditions different researchers may detect the molecules differently.
[41]
To
this I would add that sometimes, instead of using (+) or (-), or dextro or levo,
to identify one or other of the enantiomers, the letters R and S are used.
[42]
In
the language of the '652 patent, the two compounds that are said to be “more
preferred’, the racemate (having equal parts of the S and R enantiomers) is
written as “3-aminomethyl-5-methyl-hexanoic acid” and the enantiomer of
interest is the “S” enantiomer, which is written as
“(S)-3-(aminomethyl)-5-methylhexanoic acid”. This “S” enantiomer is also
identified in the patent as “CI-1008 (S)”. In the evidence and argument in this
case, and in general scientific parlance, the S enantiomer is referred to as
pregabalin. Thus, the two “more preferred” compounds, as set out in the
description and in claim 3, can more easily be referred to as pregabalin and
its racemate.
[43]
I
further note that in some of the scientific literature in evidence the R
enantiomer is referred to as R-Isobutyl gaba.
[44]
To
return to the text of the ‘652 patent and commencing at the lower portion of
page 2 and continuing to the top portion of page 5 of the '652 patent, six
tests conducted using rats are described, together with reference to the
drawings attached to the back of the patent. While the description refers to
3-aminomethyl-5-methyl-hexanoic acid (the racemate) as one of the compounds
tested it is agreed by Counsel for the parties that what in fact was tested and
being reported is a compound which is the R enantiomer and not the racemate.
[45]
The
first test, Figure 1, compares gabapentin, pregabalin (CI-1008) and the R
enantiomer administered to rats in what has been described as a formalin test.
The second and third tests, Figures 2 and 3, compares gabapentin and pregabalin
administered to rats in what has been described as a carrageenin test; in one
pressure is applied to a rat’s paw in the other heat is applied. In the fourth
test, Figure 4, morphine, gabapentin and pregabalin are administered to rats
before surgery is conducted. The fifth test, Figure 5, is similar but it
measures allodynia, a painful response to a mild stimulus such as brushing. The
sixth and final test reported, Figure 6 tests only pregabalin administered to
rats in respect of thermal hyperalgesia, an increased response to a painful
stimulus, and allodynia. It must be noted that no tests in respect of the
racemate are reported in the ‘652 patent.
[46]
At
page 5, a “Detailed Description” of the invention is provided. It reiterates
that the invention is a method of using a compound of Formula I as an analgesic
in the treatment of pain. A variety of types of pain are listed. This list is
not co-extensive with the list at page 1; for instance, the two types of
“acute” pain are not listed. The pain is limited to neuropathic pain. A list of
such pain is provided; however, it is stated that the pain is “not limited to”
the pain as listed. A one sentence paragraph follows which also includes
fibromyalgia pain. A paragraph follows stating that currently-marketed
analgesics (not named) treat such pain poorly due to insufficient efficacy or
limiting side effects. No statement is provided saying that the compounds of
the invention are better than existing compounds; nor are test results provided
to support a claim of superiority.
DETAILED DESCRIPTION
The instant invention is a method of
using a compound of Formula I above as an analgesic in the treatment of pain as
listed above. Pain such as inflammatory pain, neuropathic pain, cancer pain,
postoperative pain, and idiopathic pain which is pain of unknown origin, for
example, phantom limb paid are included especially. Neuropathic pain is caused
by injury or infection of peripheral sensory nerves. It includes, but is not
limited to pain from peripheral nerve trauma, herpes virus infection, diabetes
mellitus, causalgia, plexus avulsion, neuroma, limb amputation, and vasculitis.
Neuropathic pain is also caused by nerve damage from chronic alcoholism, human
immunodeficiency virus infection, hypothyroidism, uremia, or vitamin
deficiencies. Neuropathic pain includes, but is not limited to pain caused by
nerve injury such as, for example, the pain diabetics suffer from.
Compounds of Formula I are also useful
in the treatment of fibromyalgia pain.
The conditions listed above are known to
be poorly treated by currently marketed analgesics such as narcotics or
nonsteroidal anti-inflammatory drugs (NSAID) due to insufficient efficacy or
limiting side effects.
[47]
The
remaining portion of page 5, all of page 6 and the first paragraph of page 7 of
the '652 patent is directed to chemistry, which is not of interest in respect
of the matters at issue here.
[48]
The
next three paragraphs on page 7 of the '652 patent are directed to the
formulation of the compounds into pharmaceutical compositions and to dosages
and administration to mammals, including humans.
[49]
At
the bottom of page 7 and top half of page 8 is a report of a test upon rats
injected with formalin, in which the effects of gabapentin, pregabalin and the
racemate are measured.
[50]
At
the lower half of page 8 over to line 11 of page 9, there is a report of a test
upon rats injected with carrageenin in which the effects of gabapentin and
pregabalin are measured.
[51]
At
lines 13 and 14 of page 9, it is stated, in respect of these tests:
These data show that gabapentin and CI-1008 (pregabalin) are
effective in the treatment of inflammatory pain.
[52]
At
line 14 to 19 of page 9, there is mention of a Bennett test and a Kim test; but
no data, results or conclusions are presented.
[53]
At
line 20, and following at page 9, there is a description of a Brennan test
involving surgery to the hind paw of a rat. Following that description and to
the bottom of page 11, the surgical procedures and subsequent tests conducted
on the rats are described in detail.
[54]
The
first two tests set out at page 12 describe administration to the rats, before
surgery, of gababentin, pregabalin and morphine; and their reaction to heat and
brushing. The third test, described at the bottom of page 12 and over to page
13, reports testing on rats after surgery, who have been administered
pregabalin.
[55]
The
conclusions in respect of these results is set out at page 13:
Gabapentin and
S-(+)-3-isoburylgaba did not affect PWL in the thermal hyperalgesia test or
tactile allodynia scores in the contralateral paw up to the highest dose tested
in any of the experiments. In contrast, morphine (6 mg, s.c.) increased PWL of
the contralateral paw in the thermal hyperalgesia test (data not shown).
The results presented here show
that incision of the rat plantaris muscle induces thermal hyperalgesia and
tactile allodynia lasting at least 3 days. The major findings of the present
study are that gabapentin and S-(+)-3-isoburylgaba are equally effective at
blocking both nociceptive responses. In contrast, morphine was found to be more
effective against thermal hyperalgesia than tactile allodynia. Furthermore, S-(+)-3-isoburylgaba
completely blocked induction and maintenance of allodynia and hyperalgesia.
[56]
The
claims and drawings follow.
[57]
There
are 16 claims in all. All are directed to a compound for use in treating pain
in a mammal. Claim 1 claims the compound in very broad terms. Claim 2 narrows
those terms somewhat. Claim 3 restricts the compounds to two; pregabalin and
the racemate. Claims 4 to 16, inclusive, all depend upon claim 1, which is the
claim directed to a very broad number of compounds, and restrict the pain which
the compound is to treat to very specific pain; claim 4 is inflammatory pain,
claim 5 is neuropathic pain; claim 6 is cancer pain; claim 7 is postoperative
pain; claim 8 is phantom limb pain; claim 9 is burn pain; claim 10 is gout
pain; claim 11 is osteoarthritic pain; claim 12 is trigeminal neuralgia pain;
claim 13 is acute herpetic and postherpetic pain; claim 14 is causalgia pain;
claim 15 is idiopathic pain; claim 16 is fibromyalgia pain.
[58]
Claim
3 is the only claim at issue here.
CLAIM 3
[59]
Claim
3 is a dependent claim. It depends on claim 1. Claims 1 and 3 read as follows:
1. For use in treating pain, in a mammal, a
therapeutically effective amount of a compound of Formula I
Or a pharmaceutically acceptable salt, diastereomer,
or enantiomer thereof
Wherein
R1 is a straight or branched alkyl of from 1 to 6
carbon atoms, phenyl, or cycloalkyl of from 3 to 6 carbon atoms;
R2 is hydrogen or methyl; and
R3 is hydrogen, methyl, or carboxyl.
. . .
3. A compound according to claim 1 which is
(S)-3-(aminomethyl)-S-
methylhexanoic acid or
3-aminomethyl-5-methyl-hexanoic acid.
[60]
Incorporating
claim 1 into claim 3, claim 3 reads as follows:
3. For use in treating
pain, in a mammal, a therapeutically effective amount of a compound which is
(S)-3-(aminomethyl)-5-methylhexanoic acid or 3-aminomethyl-5-methyl-hexanoic
acid.
[61]
Using
the terminology for the compounds as used in the evidence and argument in this
case, claim 3 can be simplified to read:
3. For use in treating
pain, in a mammal, a therapeutically effective amount of pregabalin or its
racemate.
[62]
There
is no dispute raised that a mammal includes a human (see page 7, line 8 of the
patent) and that the claim includes pregabalin or its racemate. The dispute
between the parties is what is included in “pain”.
CONSTRUCTION OF CLAIM 3 - PAIN
[63]
Claim
3 as set out above is directed to the use of pregabalin or its racemate in a
mammal, including humans, in treating pain. Unlike claims 5 to 16, no
particular pain or classification of pain is specified. The court has been
called upon by the parties to construe claim 3 and, in particular, what is
meant by “pain”.
[64]
There
have been many judicial instructions as to the construction of a claim. To
summarize:
•
construction
must be done before considering the issues of validity and infringement;
•
construction
is done by the Court alone, as a matter of law;
•
the
Court is to construe the claim through the eyes of the person skilled in the
art to which the patent pertains;
•
the
Court may obtain the assistance of experts to explain the meaning of particular
words and phrases, and as to the state of the art as of the date the claim was
published;
•
the
Court should read the claim in the context of the patent as a whole, including
the description and other claims;
•
The
Court should avoid importing this or that gloss from the description;
•
the
Court should not restrict the claim to specific examples in the patent;
•
the
Court should endeavour to interpret the claim in a way that gives effect to the
intention of the inventor;
•
the
Court should endeavour to support a meritorious invention.
[65]
I
reviewed at length in Merck & Co, Inc v Pharmascience Inc, 2010 FC
510, the development of patent claims from the beginning of the time when
patents were first granted for inventions. At first, there were no claims at
all. Then, there were generalized statements such as “I claim the invention of
X as described herein”. Then, there came the stricter requirements, such as
those set out in section 27 of the Patent Act, RSC 1987, c P-4.
[66]
The
current state of the law has been expressed in the unanimous reasons of the
Supreme Court of Canada, written by Justice Binnie, in Free World Trust v
Électro-Santé Inc., [2000] 2 S.C.R. 1024, where he described claims as fences,
and that the task of the Court is to separate the essential from the
inessential. He wrote at paragraph 15:
15 In reality, the "fences" often
consist of complex layers of definitions of different elements (or
"components" or "features" or "integers") of
differing complexity, substitutability and ingenuity. A matrix of descriptive
words and phrases defines the monopoly, warns the public and ensnares the infringer.
In some instances, the precise elements of the "fence" may be crucial
or "essential" to the working of the invention as claimed; in others
the inventor may contemplate, and the reader skilled in the art appreciate,
that variants could easily be used or substituted without making any material
difference to the working of the invention. The interpretative task of the
court in claims construction is to separate the one from the other, to
distinguish the essential from the inessential, and to give to the
"field" framed by the former the legal protection to which the holder
of a valid patent is entitled.
[67]
At
paragraph 33 and following, Justice Binnie considered two approaches to claim
construction; the central claim drafting principle, and the peripheral claiming
principle. Canadian courts have preferred the latter, which emphasizes the
language of the claims as defining not the underlying technical idea, but the
legal boundary of the state-conferred monopoly. He wrote at paragraph 33:
33 The Patent Act requires the letters patent
granting a patent monopoly to include a specification which sets out a correct
and full "disclosure" of the invention, i.e., "correctly and
fully describe[s] the invention and its operation or use as contemplated by the
inventor" (s. 34(1)(a)). The disclosure is followed by "a claim or
claims stating distinctly and in explicit terms the things or combinations that
the applicant regards as new and in which he claims an exclusive property or
privilege" (s. 34(2)). It is the invention thus claimed to which the
patentee receives the "exclusive right, privilege and liberty" of
exploitation (s. 44). These provisions, and similar provisions in other
jurisdictions, have given rise to two schools of thought. One school holds that
the claim embodies a technical idea and claims construction ought to look to
substance rather than form to protect the inventive idea underlying the claim
language. This is sometimes called the "central claim drafting
principle" [page1045] and is associated with the German and Japanese
patent systems: T. Takenaka, "Doctrine of Equivalents after Hilton Davis:
A Comparative Law Analysis" (1996), 22 Rutgers Computer & Tech. L. J.
479, at pp. 491, 502 and 519. The other school of thought supporting what is
sometimes called the "peripheral claiming principle" emphasizes the
language of the claims as defining not the underlying technical idea but the
legal boundary of the state-conferred monopoly. Traditionally, for reasons of
fairness and predictability, Canadian courts have preferred the latter
approach.
[68]
The
conclusions were set out at paragraphs 42 and 43. Discretionary or subjective
interpretation is to be kept to a minimum. A claim must be interpreted in an
informed and purposive way:
42 The patent system is designed to advance
research and development and to encourage broader economic activity.
Achievement of these objectives is undermined however if competitors fear to
tread in the vicinity of the patent because its scope lacks a reasonable
measure of precision and certainty. A patent of uncertain scope becomes "a
public nuisance" (R.C.A. Photophone, Ld. v. Gaumont-British Picture Corp.
(1936), 53 R.P.C. 167 (Eng. C.A.), at p. 195). Potential competitors are
deterred from working in areas that are not in fact covered by the patent even
though costly and protracted litigation (which in the case of patent disputes
can be very costly and protracted indeed) might confirm that what the
competitors propose to do is entirely lawful. Potential investment is lost or otherwise
directed. Competition is "chilled". The patent owner is getting more
of a monopoly than the public bargained for. There is a high economic cost
attached to uncertainty and it is the proper policy of patent law to keep it to
a minimum.
43 The patent owner, competitors, potential
infringers and the public generally are thus entitled to clear and definite
rules as to the extent of the [page1050] monopoly conferred. This in turn
requires that the subjective or discretionary element of claims interpretation
(e.g., the elusive quest for "the spirit of the invention") be kept
to the minimum, consistent with giving "the inventor protection for that
which he has actually in good faith invented" (Western Electric Co. v.
Baldwin International Radio of Canada, [1934] S.C.R. 570, at p. 574).
Predictability is achieved by tying the patentee to its claims; fairness is
achieved by interpreting those claims in an informed and purposive way.
[69]
The
effect of a purposive construction was set out at paragraph 50, it disciplines
the scope of substantive claim construction:
50 I do not suggest that the two-stage approach
necessarily ends at a different destination than the one-stage approach, or
that the two-stage approach has resulted in abuse. I think we should now
recognize, however, that the greater the level of discretion left to courts to
peer below the language of the claims in a search for "the spirit of the
invention", the less the claims can perform their public notice function,
and the greater the resulting level of unwelcome uncertainty and
unpredictability. "Purposive construction" does away with the first
step of purely literal interpretation but disciplines the scope of
"substantive" claims construction in the interest of fairness to both
the patentee and the public. In my view its endorsement by the Federal Court of
Appeal in O'Hara was correct.
[70]
Thus,
I will turn to claim 3, and in particular, “pain”, and endeavour to construe
“pain” in the context of that claim in an informed and purposive way.
[71]
First,
I note that claims 4 to 16 are each directed to a specific type of pain. An
informed and purposive construction must, therefore, mean that the “pain” of
claim 3 must include at least the specific “pains” claimed in claims 4 to 16.
[72]
Next,
I turn to the description. At page 1, in the SUMMARY OF THE INVENTION, there
are a variety of types of pain set out as those which may be treated by the
claimed compounds. That variety is greater than those claimed in claims 4 to
16. That variety is somewhat constrained by the initial words “…especially for
treatment of chronic pain disorders”, but is subsequently broadened by the
words “but are not limited to”, and the inclusion of at least one type of acute
pain - “acute herpetic and postherpetic neuralgia” - which particular pain is
the subject of claim 13.
[73]
‘Pain”
is again discussed under the caption DETAILED DESCRIPTION at page 5 of the
patent. The description includes “pain as listed above”, clearly a reference to
the description at page 1. A number of types of pain not listed in page 1 are
included and some are omitted. The words “but not limited” reappear.
[74]
It
appears that the patent draughtsman is endeavouring to take advantage of two
worlds; narrow and broad. In patent academic circles, this has sometimes been
referred to as the “Angora Cat” approach as noted by Lord Justice Jacob in European
Central Bank v Document Security Systems Inc, [2008] EWCA Civ 192, where he
said, at paragraph 5 of the report:
Professor Mario Franzosi likens a patentee to an
Angora cat. When validity is challenged, the patentee says his patent is very
small: the cat with its fur smoothed down, cuddly and sleepy. But when the
patentee goes on the attack, the fur bristles, the cat is twice the size with
teeth bared and eyes ablaze”.
[75]
A
full description of Professor Franzosi’s recipe respecting parties and Angora cats can be found at:
http://ipkitten.blogspot.com-uk/2010/01/more-on-that-angora-cat.html
[76]
The
experts are, as expected, divided as to their interpretation of “pain”. I take
the answer of Dr. McMahon as given in his cross-examination, found at Volume 4,
page 859 of the Record:
…I think again the affidavits all try to explain
some or the potential confusion around nomenclature in this field.
[77]
The
Applicants, at paragraphs 16 to 19 of their Memorandum of Fact and Law, as
found in Volume 24 of the Record, concede that there are many forms of pain,
acute and chronic, that do not comfortably fit within one category or the
other.
[78]
Dr.
McMahon, at paragraphs 24 and 25 of his first affidavit as found at Volume 3,
page 505 of the Record, sets out four different types of pain and concludes:
These different types of classifications necessarily
mean that a patient’s pain cannot be given a single label.
[79]
Dr.
McCarson, at page 82 of his affidavit as found at Volume 1, page 114 of the
Record says:
Claim 3 of the Patent would therefore be understood
by a person of skill in the art to encompass a broad spectrum of human pain,
all of which have features of inflammatory or neuropathic pain or both.
[80]
Dr.
McMahon argues a somewhat narrower definition at paragraph 58 of his affidavit
as found at Volume 3, page 514:
A skilled person would thus have understood that
claim 3 of the 652 Patent claims that pregabalin will be useful in treating a
wide variety of pain states that have a central sensitization as a feature, and
in particular those pain states listed at page 1 of the Patent.
[81]
The
central sensitization theory or commonality is nowhere set out in the '652
patent. Dr. McCarson, in his cross-examination, at Volume 2, page 270 of the
Record; and Dr.Cowan at paragraph 90 of his affidavit, Volume 20, page 6001, in
the Record; state that, at least for idiopathic and fibromyalgia pain, no
animal model existed in 1996. Dr. McCarson, in his Reply Affidavit, paragraphs
13 and 15, found in the Record at Volume 1, pages 194 and 195, states that the
central sensitization theory was, except for a few individuals, widely accepted
by 1997.
[82]
Given
all of the aforesaid, I construe that the meaning of “pain” as found in claim 3
of the '652 patent is to be a broad one. It encompasses all of the specific
pains claimed in claims 4 to 16, and all of the specific pains mentioned at
page 1, and at page 5 of the Patent. When the pains listed at pages 1 and 5 are
broadened by the words “…but not limited to”, I find that the broadening would
be limited to those pains that, as of January 1998, would be reasonably related
to the named pains.
CLAIMS
BROADER THAN THE INVENTION MADE OR DISCLOSED
[83]
The
first ground upon which Pharmascience alleges that claim 3 of the '652 patent
is invalid is that it is broader than the invention made or disclosed.
[84]
The
classic statement of the law is that of Thurlow JA, for the Court, in Leithiiser
v Pengo Hydra-Pull of Canada Ltd, [1974] 2 FC 954 at para 21:
The first is whether the claims
of the appellant’s patent claim more than he invented. The second is whether
the claims are broader than the invention which is described in the
specification. If the answer to either question is in the affirmative, as I understand
the law, the claims are invalid.
[85]
The
genesis of the law on this patent is the statement of Lord MacMillan in Mullard
Radio Valve Co v Phelan Radio & Television Corp of Great Britain Ltd
(1936), 53 RPC 323 (HC) at page 347:
…If an inventor claims an article as his invention
but the article will only achieve his avowed object in a particular
juxtaposition and his inventive idea consists in the discovery that in the
particular juxtaposition it will give new and useful results, I do not think
that he is entitled to claim the article at large apart from the juxtaposition
which is essential to the achievement of those results.
[86]
These
principles have been followed in many decisions of this Court and the Federal
Court of Appeal, including: Amfac Foods Inc v Irving Pulp & Paper Ltd
(1986), 12 CPR (3d) 193 (FCA) at pages 202 to 204; Eli Lilly Canada Inc v
Apotex Inc, 2008 FC 142 at paras 180 to 182; and Biovail Pharmaceuticals
Inc v Canada (Minister of National Health and Welfare), 2005 FC 9, at
paragraphs 59 to 61, to name a few.
[87]
The
obvious corollary to this proposition was stated by Thorson P in Lovell
Manufacturing Co v Beatty Bros Ltd (1962), 41 CPR 18 (Ex Ct) at page 66:
If the claims fairly read on what has been disclosed
and illustrated in the specification and drawings…they are not wider than the
invention.
[88]
Turning
to claim 3 as I have construed it, it claims that either pregabalin or its
racemate may be used in the treatment of a variety of pains as disclosed in the
descriptive portion of the patent including those pains, which as of 1997,
would be considered by a person skilled in the art to be reasonably related to
those pains, in a mammal, including a human.
[89]
The
Applicants, in their memorandum, Volume 24 of the Record at paragraph 85,
describe the “inventive concept” of the '652 patent as:
…the novel therapeutic usefulness of pregabalin to
treat pain.
[90]
It
must be noted that this description ignores the fact that claim 3 includes not
only pregabalin, but also the racemate. Nowhere in the description of the
patent (taking into account the agreed-upon error) is there any reference to
the racemate. Pfizer argues that a “person skilled in the art” would “infer” a
reference to the racemate. I will return to this assertion.
[91]
With
respect to “pain”, the Applicants argue at paragraph 68 of their Memorandum
that the “pain” referred to in claim 3 is “chronic or persistent pain
disorders; and in particular, pain disorders listed on page 1 of the '652
Patent”. This assertion ignores the fact that the description also includes “acute
herpetic and postherpetic neuralgia” (which is also claimed in claim 13;
and thus, as I have construed it, is one of the “pains” included in the more
generalized term “pain” in claim 3.
[92]
I
turn to the evidence of the inventor himself, Dr. Singh. At paragraph 10 of his
affidavit, he makes it clear that his objective was to test pregabalin, as it
was a compound already in development by the company that he worked for, for
epilepsy. Nowhere does he state that he ever tested or even thought of testing
the racemate. From paragraphs 10 to 21 of his affidavit, Dr. Singh explains how
he tested pregabalin for chronic or persistent pain. There is no mention of
acute pain. He goes further in his cross-examination in answer to questions 125
to 147, where he again explains that he tested only for chronic pain and, most
importantly, in answer to question 147, he says:
Pregabalin only blocks or works in the presence of
some nasty stimulus. It doesn’t block acute pain.
[93]
The
evidence shows, therefore, that the inventor never tested or contemplated the
testing of the racemate. The inventor stated that pregabalin is useful only in
respect of chronic or persistent pain, not acute pain.
[94]
The
Applicants argue that the effectiveness of the racemate can be inferred as
predicted from the disclosure of the patent. I disagree for reasons that I will
set out in dealing with sound prediction. The Applicants make no argument in
respect of the acute pain listed at page 1, and claimed in claim 13, of the
patent.
[95]
I
find that Pharmascience’s allegation that claim 3 of the '652 patent is invalid
as being broader than the invention made or disclosed, is justified.
SOUND
PREDICTION-UTILITY-DISCLOSURE
[96]
Much
argument in this case focused on the question of sound prediction. The decision
of the Supreme Court of Canada in Teva Canada Limited v Pfizer Canada Inc,
2012 SCC 60,(referred to as Viagra) is the most recent pronouncement of
that Court on the subject. The manner in which our Courts have dealt with the
matter of sound prediction has appeared to cause some to raise concerns, in Canada and elsewhere, as to how the subject is treated.
[97]
The
Patent Act, section 2, defines “invention” as:
“invention”
means any new and useful art, process, machine, manufacture or composition of
matter, or any new and useful improvement in any art, process, machine,
manufacture or composition of matter;
|
«
invention » Toute réalisation, tout procédé, toute machine, fabrication ou
composition de matières, ainsi que tout perfectionnement de l’un d’eux,
présentant le caractère de la nouveauté et de l’utilité.
|
[98]
Subsection
27(1) of the Patent Act states that the Commissioner of Patents shall
grant a patent to a person who has filed an application that is “in
accordance with this Act” and meets “all other requirements for
the issuance of a patent under this Act”. Subsection 27(2) requires that an
application for a patent “must contain a petition and a specification of the
invention”.
[99]
Subsection
27(3) sets out what a specification must contain:
Specification
(3)
The specification of an invention must
(a)
correctly and fully describe the invention and its operation or use as
contemplated by the inventor;
(b)
set out clearly the various steps in a process, or the method of
constructing, making, compounding or using a machine, manufacture or
composition of matter, in such full, clear, concise and exact terms as to
enable any person skilled in the art or science to which it pertains, or with
which it is most closely connected, to make, construct, compound or use it;
(c)
in the case of a machine, explain the principle of the machine and the best
mode in which the inventor has contemplated the application of that
principle; and
(d)
in the case of a process, explain the necessary sequence, if any, of the
various steps, so as to distinguish the invention from other inventions.
(4)
The specification must end with a claim or claims defining distinctly and in
explicit terms the subject-matter of the invention for which an exclusive
privilege or property is claimed.
(5)
For greater certainty, where a claim defines the subject-matter of an
invention in the alternative, each alternative is a separate claim for the
purposes of sections 2, 28.1 to 28.3 and 78.3.
(6)
Where an application does not completely meet the requirements of subsection
(2) on its filing date, the Commissioner shall, by notice to the applicant,
require the application to be completed on or before the date specified in
the notice.
(7) The specified date must be at least three
months after the date of the notice and at least twelve months after the
filing date of the application.
Marginal
note: What may not be patented
(8)
No patent shall be granted for any mere scientific principle or abstract
theorem.
|
Mémoire
descriptif
(3)
Le mémoire descriptif doit :
a)
décrire d’une façon exacte et complète l’invention et son application ou
exploitation, telles que les a conçues son inventeur;
b)
exposer clairement les diverses phases d’un procédé, ou le mode de
construction, de confection, de composition ou d’utilisation d’une machine,
d’un objet manufacturé ou d’un composé de matières, dans des termes complets,
clairs, concis et exacts qui permettent à toute personne versée dans l’art ou
la science dont relève l’invention, ou dans l’art ou la science qui s’en
rapproche le plus, de confectionner, construire, composer ou utiliser
l’invention;
c)
s’il s’agit d’une machine, en expliquer clairement le principe et la
meilleure manière dont son inventeur en a conçu l’application;
d)
s’il s’agit d’un procédé, expliquer la suite nécessaire, le cas échéant, des
diverses phases du procédé, de façon à distinguer l’invention en cause
d’autres inventions.
(4)
Le mémoire descriptif se termine par une ou plusieurs revendications
définissant distinctement et en des termes explicites l’objet de l’invention
dont le demandeur revendique la propriété ou le privilège exclusif.
(5)
Il est entendu que, pour l’application des articles 2, 28.1 à 28.3 et 78.3,
si une revendication définit, par variantes, l’objet de l’invention, chacune
d’elles constitue une revendication distincte.
(6)
Si, à la date de dépôt, la demande ne remplit pas les conditions prévues au
paragraphe (2), le commissaire doit, par avis, requérir le demandeur de la
compléter au plus tard à la date qui y est mentionnée.
(7)
Ce délai est d’au moins trois mois à compter de l’avis et d’au moins douze
mois à compter de la date de dépôt de la demande.
Note
marginale : Ce qui n’est pas brevetable
(8)
Il ne peut être octroyé de brevet pour de simples principes scientifiques ou
conceptions théoriques.
|
[100] It is noteworthy
to point out that :
•
subsection
27(3)(a) requires that the specification must correctly and fully
describe the invention and its operation and use as contemplated by the
inventor
•
subsection
27(3)(b) requires that the various steps in a process or method
be set out in full, clear and exact terms
•
subsection
27(3)(c) requires in a case of a machine, that the principles and
best mode be set out
•
subsection
27(3)(d) requires in the case of a process that the various steps be set
out
[101] Subsection
27(4) of the Patent Act requires that the specification end with a claim
or claims defining distinctly and in explicit terms the subject
matter of the invention.
Pharmaceutical
Claims
[102] In the
circumstances of this case, we are dealing with a pharmaceutical substance. It
is not a process or method; it is not a machine.
Therefore, subsections 27(3)(b), (c) and (d) of the Patent Act do not
apply. Only subsections 27(3)(a) and 27(4) apply.
[103] The law is clear
that where a new compound, such as a pharmaceutical, is the invention,
the specification must state the utility of that compound so as to satisfy the
definition of “invention” in section 2 of the Patent Act; however, the
utility need not be part of the claim. The claim may be directed simply to the
compound itself. Where, however, the invention lies in the new use of a known
compound, then the claim must include that use (Apotex Inc v Wellcome
Foundation Ltd, [2001] 1 FC 495, at para 81 (FCA); aff’d [2002] 4 S.C.R. 153).
[104] Where the
invention lies in the selection of certain compounds out of a group of known
compounds as being exceptionally useful for the known purpose, the claim must
be clearly directed to those compounds as selected, and all such compounds
should exhibit the exceptional characteristics ( Re I.G. Farbenindustrie,
infra.).
[105] Lastly, where a
claim is directed to a large number of compounds, all compounds within that
number, possibly with the exception of de minimis, must possess the
utility as set out in the specification and, if claimed, as set out in the
claim ( Olin Matheson, infra.).
Invention
[106] The act of
invention is not defined in the Patent Act. Section 2 defines an “invention”
as “new and useful”.
[107] Subsection 28.1
defines a “claim date” as the date of filing an application in Canada or filing in a foreign country in respect of which priority up to twelve months may
be claimed. Subsection 28.2 states, in respect of the requirement that the
subject matter be “new”, that it shall not have been “disclosed”
by any third party before the claim date. Subsection 28.3 requires that in
order that there be an “invention”, the subject matter shall not, as of
the claim date, have been “obvious”.
[108] Thus, the act of
invention does not normally give rise to an inquiry as to the activities of the
inventor. All that is relevant is that, as of the “claim date”, the subject
matter has not been previously disclosed, and is not obvious.
[109] There are,
however, situations where the act of invention may become relevant. One is
where persons other than those named as inventors, or in addition to those so
named, seek to be substituted or added as inventors. There the activities of
the named inventors and those others may well come under scrutiny by the
Commissioner of Patents or the Court.
[110] Another
exception arose under the provisions of the Patent Act as it existed
prior to the October 1, 1989 amendments. There the act of invention would
become relevant in considering obviousness, as obviousness was to be considered
as of the “date of the invention”. While that date, in the absence of other
evidence, was presumed to be the filing date of the application in Canada - or
the priority date, if any - a patentee may have wished to establish an even
earlier date; for instance, so as to make a certain intervening publication
irrelevant as to the issue of obviousness. In such a circumstance, the Courts
have said that the “date of the invention” is the date when the invention was
reduced to a definite and practical shape by building it or by fully describing
how it will be practiced and showing that it has utility (e.g. Weatherford
Canada Inc v Corlac Inc (2010), 84 CPR (4th) 237, at para 239,
aff’d 95 CPR (4th) 101, (FCA) leave to appeal to SCC denied).
[111] Another
instance, arising from the pre-October 1, 1989 provisions of the Patent Act,
was conflict proceedings where a patent (unlike the new provisions where a
patent is granted to the first person to file for a patent on the same
invention) was granted to the “first to invent”. Where two or more persons
filed applications for a patent for the same invention, the Commissioner of
Patents, and subsequently the Courts, were required to determine who was the
“first to invent”; thus, be the person entitled to the patent. The same test as
to date of invention as discussed previously, applies.
History of the Jurisprudence
[112] With this
background, the relevant jurisprudence respecting patents directed to
pharmaceutical compounds and the like, and the emergence of the “sound
prediction” concept can be examined.
[113] A good starting
place is the decision of Justice Maugham of the English Chancery Division in In
the Matter of I.G. Farbenindustrie A.G.’s Patent, (1930), 47 RPC 289. In
that case, Farbenindustrie had been granted a patent for the manufacture of
dyestuff by coupling chemical A with chemical B. Another company, Imperial
Chemical, sought to invalidate the patent on a variety of grounds, including
arguing that not all members of the family of chemicals A and B would achieve
the resulting dyestuff. Maugham J held the patent to be invalid on this as well
as other grounds. He said as reported at pages 322 to 323:
Three general propositions may,
however, I think, be asserted as true: - First, a selection patent to be valid
must be based on some substantial advantage to be secured by the use of the
selected members. (The phrase will be understood to include the case of a
substantial disadvantage to be thereby avoided.) Secondly, the whole of the
selected members must possess the advantage in question. Thirdly, the selection
must be in respect of a quality of a special character which can fairly be said
to be peculiar to the selected group. The first proposition is plain (see the
statement of Mr. Justice Parker in Clyde Nail Co. Ld. V. Russell, (1916) 33
R.P.C. 291, at p. 306). I will add that this condition must not be assimilated
with the doctrine of utility as applied to an originating patent. In such a
patent there may well be invention without utility. In a selection patent the
condition that there must be a substantial advantage attributable to the use of
the selected members is inherent in the so-called invention.
The second proposition is derived
from the circumstances that, if the selection embraces selected members which
do not possess the alleged advantages, the selection is defective and the
patent would be misleading and would also fail for insufficiency and
non-utility. It is not, however, intended to suggest that a few exceptions here
and there would be regarded as invalidating to the patent.
The third proposition requires a
little explanation. If there are five thousand possible members of the group,
and a hundred have been selected as possessing some new and definite advantage,
it is not intended to assert that such a selection patent would be bad if it
were shown as the result of further research that there existed another hundred
members possessing the same advantage. If, on the other hand, it were to be
established that there were a thousand unselected members which possessed the
same advantage, I doubt very much whether the patent could be sustained. The
quality must be of a special character. It must not be one which those skilled
in the art will expect to find in a large number of the members. It would be
rash to attempt a closer definition; for the question is ultimately one of
appreciation. Returning to the same old fashioned metaphor I would say that the
citadel must be defended, and that there is no reward if the gates have been
opened at the first blast of the trumpet.
I must add a word on the subject
of the drafting of the specification of such a patent. It should be obvious,
after what I have said as to the essence of the inventive step, that it is
necessary for the patentee to define in clear terms the nature of the
characteristic which he alleges to be possessed by the selection for which he
claims a monopoly. He has in truth disclosed no invention whatever if he merely
says that the selected group possesses advantages. Apart altogether from the
question of what is called sufficiency, he must disclose an invention; he fails
to do this in the case of a selection for special characteristics, if he does
not adequately define them. The cautions repeatedly expressed in the House of
Lords as regards ambiguity have, I think, special weight in relation to
selection patents. (Natural Colour etc. Ld. V. Bioschemes Lt., (1915) 32 R.P.C.
256, at p. 266; and see British Ore etc. Ld. V. Minerals Separation Ld., (1910)
27 R.P.C. 33, at p. 47.)
I will summarize the conclusion
at which I have arrived by saying that in a selection patent the inventive step
lies in the selection for a useful and special property or characteristic
adequately defined; and this is the proposition which has to be kept in mind in
considering the application to amend and the Petition for revocation.
[114] Here we have the
genesis of the current doctrines respecting “selection” patents.
[115] Next comes the
decision of the English Court of Appeal in May & Baker Limited et al v
Boots Pure Drug Company Limited (1950), 67 RPC 23. In that case, the Court
was asked to invalidate a patent which claimed a large number of compounds, sulpha-thiozoles,
which were said to “find application in therapeutics”. It was argued that not
all such compounds could have such utility. The patentee sought to amend the
patent (a procedure available in the United Kingdom, but not Canada) to restrict the patent to two compounds only. The Court refused the amendment, stating that
the result would be a different invention. In his speech, as reported at page
50, Lord MacDermott said:
Before
proceeding to consider the original specification and the nature of the
invention it claims it will be appropriate to mention two matters which, while
this particular art remains in an empirical state, appear to me to be necessary
consequences of that characteristic. In the first place an invention in this
chemo-therapeutic field must be in respect of a substance which has actually
been produced. There cannot be an empirical discovery in respect of a bare
formula. And secondly, the discovery of each new compound having a therapeutic
value is a separate invention. If the inventor is bound to say – “I have made
‘a new substance which I find has therapeutic value, but I cannot be certain that
any ‘other substance, no matter how similar its molecular structure, will have
such a value ‘until I make and test it” then, as it seems to me, the inventive
step he has taken must attach to the single substance he has made and to it
alone. And if he has made and proved several such substances the position must,
I think, remain the same for, while the art retains its empirical nature, the
worth of each new substance is a new discovery. But when the inventor can say
that his inventive step is such that each of the various new products which
manifest it must have therapeutic value, and that although some of them have
never been made, then, as I see the matter, the state of the art will have
changed. It will have lost its empirical nature, at least to some extent, and
the chemist will have found some law or principle by which he may predicate
therapeutic effect in advance.
[116] We see in this
paragraph the genesis of “sound prediction”. Can an inventor “have found some
law or principle by which he may predicate therapeutic effect in advance” for
“each of the various new products”?
[117] This speech of
Lord MacDermott was recast by the English barrister Sir Lionel Heald, as
recited by Justice Graham in Olin Matheson Chemical Corporation et al v
Biorex Laboratories Limited et al, [1970] RPC 157. That case involved a
class of pharmaceutical compounds said to have therapeutic effect. It was
alleged that the claims were invalid as being directed to a large class, not
all of which could be said to have therapeutic effect. The Court found the
patent to be valid.
[118] Justice Graham
used the words “sound prediction” in repeating Sir Lionel Heald’s summary of
what Lord MacDermott said in May & Baker at page 182 of the report:
On
several occasions the argument appeared to go as far as stating that it was
impossible in a drug patent such as this to have a valid claim unless the body
or all the bodies covered by such claim had actually been tested on man and
proved to have at least some therapeutic usefulness as drugs. However, Sir Lionel
submitted that the question of “fairly based” and consideration must be judged
after looking at the specification and all the surrounding circumstances, and
after examination of a number of cases which he cited, and particularly Lord
MacDermott’s speech in the House of Lords in May & Baker case (1950) 67
R.P.C. 23 at 50. Sir Lionel very fairly summarized his position in the
following words:
“If
it is really possible, according to the evidence, to make a sound prediction
about a certain area, then prima facie it would be reasonable that the patentee
should have a claim accordingly, but that is not the case according to the
evidence in this field.”
This,
as will be seen later, I have found to be a most helpful statement in
considering the difficult questions of consideration and width of claim. Sir
Lionel’s argument, on its face, logically, if it is right, must apply to all
claims in the specification, whether of a general formula type or to specific
compounds, except such as have actually been tested and found to be useful in
man – for example, trifluopromazine. It follows, of course, that the basis of
fact which must be proved before the argument can be applied successfully is
that it is impossible fairly to predict that the various compounds included in
areas of several claims in question are likely to have any utility as drugs
until they have actually been so tested.
[119] Hence, the words
“sound prediction”.
[120] Justice Graham
in Olin Matheson continued to consider the arguments in much the same
way as our Courts do today. At pages 192 to 193 of the reported case, he wrote:
(1) The
construction of the claim is the first consideration, and if, as here, the
claim is for a large class of chemical bodies as such, then it is on this basis
that the consideration must first be tested. If it is shown that some bodies
falling within such claim have no utility, then, apart possibly from a de
minimis case where there are only a few exceptions, such as Maugham, J., had in
mind in the case of I.F. Farbenindustrie A.G.’s Patents (1930) 47 R.P.C. 289 at
323, line 14, the claim is bad. It may, of course, be possible to amend it so
as to cut out the useless cases, but that is a different question. But where,
as here, the objection of inutility was originally pleaded and subsequently
withdrawn – and it must be remembered the onus is on the defendants to show
that the patent is invalid and not on the plaintiffs to show that it is valid –
it is quite impossible for the defendants, in the absence of an admission to
that effect, to argue successfully that there is any body covered by the claim
which does not have utility of some sort, whether it be of a therapeutic or
other nature. If the defendants had been able to show that there were some
bodies within the claim which had no utility at all or could not be used as
drugs because they were too toxic, it would have been perfectly simple for them
to have proved it by experiment or otherwise.
(2) From
the point of view of the public and patentees it is desirable that research in
the drug or other fields,, as the case may be, should continue. In the drug
field in particular research is very expensive and the number of “winners”
found is only a minute proportion of those synthesized and tested. Once a
winner is found, however, it is very common also to find that bodies more or
less closely related to it have the same or even greater activity. Here, for
example, trifluoperazine is some five times more active than chlorpromazine,
and fluphenazine some twenty times more active than chlorpromazine. All are
phenothiazine derivatives, all substituted in the “2” position, trifluoperazine
and fluphenazine having the new – CF3 substitution rather than the –
CI substitution of chlorpromazine, and therefore falling within claim 1.
Furthermore, a difference between five and twenty times the activity of
chlorpromazine is achieved in the case of fluphenazine by only the small
alteration of the – NCH3 radical at the end of the chain of
trifluoperazine into – NCH2 CH2 OH – in other words one
H atom in – NCH3 is replaced by – CH2 OH. Unless,
therefore, the original inventor of the – CF3 substitution can
properly be given reasonably broad cover, it is likely that soon after others
hear of his success similar bodies will be made by others having as good or
better activity. Unless he can control such activities, any reward he may
obtain for his invention and research is likely to be of little value.
(3) This
last consideration must be balanced by another, which is that his claim must
not be so broad as unjustifiably to stifle research by others – but here also
it must be remembered that the “abuse of monopoly” sections 37 to 42 in the Act
in proper cases will enable someone who makes a discovery or wishes to sell
something within the field covered by another’s claim to obtain a licence upon
reasonable terms from such other person. Furthermore, if, as here, it is
necessary for a drug company, as potential infringer of two patens belonging to
two other proprietors, to obtain two compulsory licences, one under each
patent, it is to be expected that the Comptroller will apportion the total
royalty which he considers proper equitably between the two patentees having
regard to all the relevant circumstances of the case, whilst at the same time
ensuring that the potential infringer does not have to pay tribute twice over
or at an exorbitant rate, see section 41. Activities or the genuine research
worker and of a drug company, which result in the making of, or desire to use,
an invention already covered by the claim of someone else’s earlier patent are
therefore in proper cases safeguarded. The compulsory licence already grated to
the defendants in this case under patent No. 813,861 is an example of the
working of these sections.
Where,
then, is the line to be drawn between a claim which goes beyond the
consideration and one which equiparates with it? In my judgment this line was
drawn properly by Sir Lionel when he very helpfully stated in the words quoted
above that it depended upon whether or not it was possible to make a sound
prediction. If it is possible for the patentee to make a sound prediction and
to frame a claim which does not go beyond the limits within which the
prediction remains sound, then he is entitled to do so. Of course, in so doing
he takes the risk that a defendant may be able to show that his prediction is
unsound or that some bodies falling within the words he has used have no
utility or are old or obvious or that some promise he has made in his
specification is false in a material respect; but if, when attacked, he
survives the risk successfully, then his claim does not go beyond the
consideration given by his disclosure, his claim is fairly based on such
disclosure in these respects, and is valid.
[121] All of this is
reflected in the decision of the Supreme Court of Canada, Apotex Inc v
Wellcome Foundation Limited, [2002] 4 S.C.R. 153 (referred to as AZT),
which will be discussed later.
[122] First, the
decision of the Supreme Court of Canada in Monsanto Company v The
Commissioner of Patents, [1979] 2 S.C.R. 1108 should be considered. In that
case, Monsanto was seeking a patent claiming a class of some 126 compounds said
to prevent premature vulcanization of rubber. The specification disclosed the
preparation of only three of those compounds. The Commissioner of Patents
refused to grant a patent on the basis that the disclosure of only three
compounds could not justify a claim to one hundred and twenty-six. The Federal
Court of Appeal upheld that refusal. The Supreme Court reversed that decision.
It did so, on the basis that the Commissioner (his decision is referred to as
that of the Board) had the onus of justifying a refusal; the applicant did not
have the onus of justifying sound prediction.
[123] Justice Pigeon
wrote the decision of the Supreme Court. At page 1118 he wrote:
Although the report of the Board
is quite lengthy, in the end with respect to claim 9 all it says after stating
the principle with which I agree, is that a claim has to be restricted to the
area of sound prediction and “we are not satisfied that three specific examples
are adequate.
[124] At page 1119 he
wrote:
I have underlined by law
(section 42 of the Patent Act) to stress that this is not a matter of
discretion: the Commissioner has to justify any result.
[125] At pages 1121 to
1122 he wrote:
Under that section the
Commissioner is instructed to refuse the patent when “satisfied that the
applicant is not by law entitled” to it. Here what he has said in approving the
decision of the Board is in effect “I am not satisfied you are entitled to it”.
In my opinion the Commissioner cannot refuse a patent because the inventor has
not fully tested and proved it in all its claimed applications. This is what he
has done in this case by refusing to allow claims 9 and 16 unless restricted to
what had been tested and proved before the application was filed. If the
inventors have claimed more than what they have invented and included
substances which are devoid of utility, their claims will be open to attack.
But in order to succeed, such attack will have to be supported by evidence of
lack of utility. At present there is no such evidence and there is no evidence
that the prediction of utility for every compound named is not sound and
reasonable.
[126] Thus, the Monsanto
case dealt with sound prediction, in the context of who bore the burden of
demonstrating sound prediction when seeking the grant of a patent, the
Commissioner or the applicant?
[127] Now I turn to
the AZT case; first with reference to the decision of the trial judge,
Wetston J, as reported, (1998), 79 CPR (3d) 193. The patent claimed a drug
named AZT, used in the treatment of AIDS. Several issues were raised, which
made the making of the invention and the date of the invention relevant. One
issue was whether the correct inventors were named; another was whether, as of
the “date of the invention”, the inventors had, in fact, made the invention.
[128] Wetston J began
by writing at paragraphs 34 and 35 of his Reasons:
34
As to the matter of timing, there are several points in the patent process
which are of possible relevance to considerations of validity, including: the
date of invention, the application date, the priority date, and the date the
patent is issued.
35
The date of invention is presumed to be the filing date, or the date the
original priority application was filed. However, an inventor is entitled to
claim priority based on an invention date prior to the first filing date.
Usually an inventor will claim an earlier date where a competing inventor is
also seeking to obtain a patent, although the entitlement is not limited to
these circumstances. The test for determining an earlier invention date is,
"the date at which the inventor can prove he has first formulated, either
in writing or verbally, a description which affords the means of making that
which is invented": Christiani & Nielsen v. Rice, [1930] S.C.R. 443 at
456.
[129] The ground of
attack as to whether an invention was made as of the date of the invention was
set out at paragraphs 77 and 78 of his Reasons:
77
A&N allege that the patent is invalid on the grounds that, at the date of
invention, the inventors did not have an invention within the meaning of s. 2
of the Act. Similar to the arguments under subject matter, a key question in
this line of attack is what constitutes an invention for the purposes of s.2.
As previously stated, the invention herein is not a chemical composition,
process or formulation. It is a new use for a previously known compound. The
alleged inventive step was devising the use of AZT as a medicine in respect of
AIDS and related illnesses.
78
A&N argue that there is no invention at the claimed date of invention and
that the claims are overbroad at the claimed date of invention. A&N argue
that the claims may not exceed the invention made or the invention disclosed.
In other words, they assert that the patent claims more than was invented and,
secondly, that the claims are greater than the invention described in the
specification. They contend that a patentee must have more than stated utility,
it must know there is utility. At the claimed date, they contend that the
inventors only had an idea, hypothesis or theory. A&N submit, therefore,
that at the claimed date of invention the named inventors could demonstrate
utility in one of two ways. Namely, they could have: 1) demonstrated utility at
that time; or 2) had a sound basis for predicting the utility of the compound:
Monsanto Co. v. Commissioner of Patents, [1979] 2 S.C.R. 1108 at 1117.
[130] Then, at
paragraphs 84 to 87 of his Reasons, Wetston J set out the basic principles of
law respecting the act of inventing:
84
The act of inventing may be different in different circumstances: Barrigar,
Canadian Patent Act, Annotated, Canada Law Book (1989), p. 5. The range of
expertise required in the pharmaceutical field, the nuances between theoretical
and clinical proof, and the underlying public policy concerns of the safe and
effective development of medicines, all serve to make utility in the
pharmaceutical area highly complex. Certainly, the inventor of such items as a
paper clip or an elastic band will not be required to call upon a multitude of
specialists, or engage in months or years of intensive labratory and clinical
tests in order to claim a useful invention under s. 2 of the Act. The task
incumbant upon such inventors may indeed be no greater than deducing and
setting down in writing conclusions as to the effect that a loop of metal or an
elastic band will bind paper. However, it is clear that more is required of an
invention that is a new use for a known compound in the pharmaceutical field.
Thus, the question is, what is required under s.2 in such circumstances?
85
The determination of whether an invention has utility for the purposes of s. 2
of the Act is a question of fact which the Court determines on the basis of a
person or persons having the technical skills and knowledge as required.
Canadian patent law requires that an inventor reduce an idea to a definite and
practical shape before it can be said that an invention has been made: Permutit
Co. v. Borrowman, [1926] 4 D.L.R. 285 at 287 (J.C.P.C.). An inventor will be
able to demonstrate that the invention will work, or will have reduced it to a
definite and practical shape, by either building it, if an apparatus, using the
process, or fully describing how it is to be practiced: Ernest Scraggs &
Sons Ltd. v. Leesona Corp., supra. There is no patent protection available for
a discovery or mere idea: Comstock Canada v. Electec Ltd. (1991), 38 C.P.R.
(3d) 29 at 51 (F.C.T.D.). Likewise, a mere hypothesis which has not been tested
will not be patentable: Farberwerke Hoechst A/G v. Commissioner of Patents,
[1966] Ex. C.R. 91, at page 97. To that end, the idea which leads to the
invention is not part of the invention: Reynolds v. Herbert Smith & Co.
Ltd. (1903), 20 R.P.C. 123 at 127.
Sound Prediction
86 A&N's submission that
the doctrine of sound prediction should be applied seems compelling on its
face. However, whether the doctrine should be applied is not immediately
apparent. Indeed, as stated, Glaxo contends that the doctrine does not apply.
Therefore, I shall begin by considering whether or not the doctrine will be
beneficial to resolve the question in these circumstances.
87
The doctrine of sound prediction arose where inventors were claiming a number
of compounds within one invention for which only some compounds had been tested
and thus proven to have utility. The unproven compounds were within the scope
of sound prediction, that is, the inventors had to have a sound basis for
predicting, in the face of evidence to the contrary, that the compounds had
utitlity. The resulting principle was that claims for compounds for which there
was no such basis for prediction were invalid and the invention was restricted
to those compounds which had either been tested or for which a sound prediction
could be made.
[131] Wetston J then
made an extensive review of the evidence and law and concluded that, as of the
asserted date of invention, February 6, 1985, the invention had not been made.
He wrote at paragraph 168:
168
I have carefully considered the evidence of the named inventors. In my opinion,
these scientists did not testify that in this time period they understood the
critical aspects of the disease or its pathogenesis. Nor did they claim to
understand the myriad of variables that would affect the eventual outcome of
infected patients treated with AZT including toxicity, metabolism,
pharmacokinetics, and duration of treatment. In other words, they did not state
that they understood the direct relationship between the vitro results and the
clinical manifestation of the disease. As I indicated, belief or conception is
not sufficient, in and of itself, to satisfy the utility requirements of s. 2
of the Act. As such, despite the reduction to writing, no invention as claimed
was made as of February 6, 1985, since the claims, at this time, exceeded the
invention.
[132] Wetston J
proceeded to consider whether as of the priority date, March 5, 1985, one month
later, the invention had been made. He concluded that it had. He concluded at
paragraphs 185 and 186:
185
In my opinion, I cannot, in these circumstances, draw an inference adverse to
invention. Dr. Parniak noted that while the capacity of Dr. Mitsuya's screen
was less than one using MLV, the accuracy and reliability of Dr. Mitsuya's
assay for picking out potentially useful inhibitors of HIV-I replication is
significantly greater than afforded by the MLV screen. He was of the opinion
that the ATH8 cell line allows testing for the toxicity of AZT against the cell
which allows testing for activity against viral replication, which is
desirable. It is clear that Dr. Shannon and Dr. Hughes agree that no antiviral
will be useful unless the drug is a potent inhibitor of viral activity, i.e.,
does the drug block growth of the pathogen (the virus). It did so successfully
in the ATH8 human cell line. There is little doubt that these results flow from
further testing. However, in my view, these results, considered cumulatively,
in conjunction with all of the evidence adduced and considered in this trial,
moves the invention out of the sphere of belief and into the realm of the
inventors having deduced the complete invention.
186
Accordingly, as of March 16, 1985, I find that the patent satisfied, subject to
obviousness, the requirements of s. 2 of the Act and does not exceed the
invention claimed. The idea, hypothesis or theory had, at this time, been
reduced to a definite and practical shape: Permutit Co. v. Borrowman, supra, at
287.
[133] He considered
the issue of inventorship and other issues, and concluded that many of the
claims were valid.
[134] The matter
proceeded to the Federal Court of Appeal. All three judges wrote reasons, each
adding to the last, thus creating a single set of reasons supporting the
decision of the Trial Judge [2001] 1 FC 495. Justice Sexton wrote on the issue
respecting utility and prediction at paragraphs 49 to 53:
49
I now turn to A & N's submission that Glaxo's invention was not complete by
March 16, 1985. The submission was, that because by the filing date of March
16, 1985, the testing that demonstrated the utility of the invention was not
complete, the patent was invalid. To support that proposition, A & N rely
heavily on a sentence contained in Ciba-Geigy AG v. Commissioner of Patents,40
in which Thurlow C.J. held that "[t]he predictability of chemical
reactions should not, ... be confused with the predictability of the
pharmacological effects and thus of the pharmacological utility of new
substances."41 They then build on that statement by citing various decisions
like May & Baker Limited et al. v. Boots Pure Drug Company Limited; 42
Société des Usines Chimiques Rhône-Poulenc et al. v. Jules R. Gilbert Ltd. et
al.;43 Hoechst Pharmaceuticals of Canada Ltd. et al. v. Gilbert & Company
et al.;44 and Boehringer Sohn, C. H. v. Bell- Craig Ltd.45 for the proposition
that a pharmaceutical compound cannot constitute an invention until it is
tested on living human beings. They submit that these decisions stand for the
proposition that absent such testing, there can be no "sound
prediction" sufficient to establish invention. Because AZT was not tested
on living human beings by the patent's priority date of March 16, 1985, A &
N submit that Glaxo could not have known that AZT would be effective in the treatment
or prophylaxis of HIV, and therefore that the '277 patent is invalid.
50
In my view, this Court's decision in Ciba-Geigy stands for the proposition that
even where an invention constitutes a speculation as of the priority date
claimed in the patent, the patent will not be invalid if it turns out that the
speculation is valid at the time the patent is attacked. In Ciba-Geigy, this
Court held that "if indeed what is in the patent specification was mere
speculation or prediction, the speculation or prediction having turned out to
be true, ought to be considered to have been well founded at the time it was
made."46 Similarly, in Ciba-Geigy, this Court rejected the proposition
that a patent applicant "should not be permitted to retain claims on the
basis of something done after the filing of the application and not part of
[page519] the original disclosure."47
51
In other words, so long as an inventor can demonstrate utility or a sound
prediction at the time a patent is attacked, the patent will not fail for lack
of utility. The time at which usefulness is to be established is when required
by the Commissioner of Patents or in court proceedings when the validity of the
patent is challenged on that ground. The Commissioner may require a patent's
utility to be demonstrated pursuant to section 38 [as am. by R.S.C., 1985 (3rd
Supp.), c. 33, s. 13] of the Act, which permits the Commissioner to require an
applicant to "furnish specimens of the ingredients [of a composition of
matter], and of the composition, sufficient in quantity for the purpose of
experiment."
52
To conclude that evidence of actual utility subsequent to a patent's priority
date may not be introduced to demonstrate that an invention meets the
requirements of the Patent Act would produce illogical results. For instance,
suppose that on December 10, 1903, Wilbur and Orville Wright obtained a patent
for an airplane, and that by that date, neither brother had successfully flown
the plane or could be said to have a "sound prediction" that a machine
heavier than air could fly. Suppose further that one week later, the Wright
brothers managed to successfully fly their plane. If the Wright brothers'
patent was later attacked, and if uncontradicted expert testimony was provided
by the attackers to demonstrate that by December 10, 1903, machines heavier
than air could not fly, would their patent be invalid even though all would
concede that by the time the attack was brought, such machines could fly? In my
view, to so conclude would require a Court to close its eyes to continuing
scientific advancements, and would disentitle patentees to rely on the
instinctive sparks that so often engender great discoveries. In Dr. Rideout's
words, one of the co-inventors of AZT, combinations of "instinct and
intuition [and] gut reaction",48 supported by actual evidence of utility
at [page520] the time the patent is attacked, would not be sufficient to
support a patent.
53
The decisions cited by A & N in support of the proposition that all
pharmaceuticals must invariably be tested on living human beings prior to the
priority date claimed in a patent are not applicable to the instant appeal.
Firstly, as the Trial Judge held, the decisions deal with the notion of
"sound prediction," a doctrine that applies only to cases in which a
few claimed compounds are tested but many are untested even at the time when
the patent is attacked. Such testing requirements simply do not apply where, at
the time the patent is attacked, there is evidence of actual utility (i.e. that
the pharmaceutical does what the patent promises). Where such utility is
demonstrated, there is no need to fall back on the "sound prediction"
doctrine and the experiments that are required to make such predictions. Since
A & N do not dispute that AZT is indeed useful to treat HIV, the '277
patent meets the "actual utility" test.
[135] The Supreme Court
heard the matter on appeal. Justice Binnie, for the Court, wrote the decision, often
referred to as the AZT decision.
[136] Justice Binnie
discussed the concept of utility within the meaning of the Patent Act at
paragraphs 51, 52, 55 and 56. With respect to paragraph 56, it is to be noted
that the Court did not say that the basis for sound prediction must be set out
in the patent; rather, it discussed sound prediction from the point of view of
“if challenged”:
51
The Patent Act defines an "invention" as, amongst other criteria,
"new and useful" (s. 2). If it is not useful, it is not an invention
within the meaning of the Act.
52
It is important to reiterate that the only contribution made by Glaxo/Wellcome
in the case of AZT was to identify a new use. The compound itself was not
novel. Its chemical composition had been described 20 years earlier by Dr.
Jerome Horwitz. Glaxo/Wellcome claimed a hitherto unrecognized utility but if
it had not established such utility by tests or sound prediction at the time it
applied for its patent, then it was offering nothing to the public but wishful
thinking in exchange for locking up potentially valuable research turf for
(then) 17 years. As Jackett C.J. observed in Procter & Gamble Co. v.
Bristol-Myers Canada Ltd. (1979), 42 C.P.R. (2d) 33 (F.C.A.), at p. 39:
By
definition an "invention" includes a "new and useful
process". A "new" process is not an invention unless it is
"useful" in some practical sense. Knowing a new process without
knowing its utility is not in my view knowledge of an "invention".
. . .
55
In the present case, by contrast, if the utility of AZT for the treatment of
HIV/AIDS was unpredictable at the time of the patent application, then the
inventors had not made an invention and had offered nothing to the public in
exchange for a 17-year monopoly except wishful thinking.
56
Where the new use is the gravamen of the invention, the utility required for
patentability (s. 2) must, as of the priority date, either be demonstrated or
be a sound prediction based on the information and expertise then available. If
a patent sought to be supported on the basis of sound prediction is
subsequently challenged, the challenge will succeed if, per Pigeon J. in
Monsanto Co. v. Commissioner of Patents, [1979] 2 S.C.R. 1108, at p. 1117, the
prediction at the date of application was not sound, or, irrespective of the
soundness of the prediction, "[t]here is evidence of lack of utility in
respect of some of the area covered".
[137] Justice Binnie
then reviewed much of the jurisprudence, as I have done here. At paragraph 66,
he concluded:
66
The doctrine of "sound prediction" balances the public interest in
early disclosure of new and useful inventions, even before their utility has
been verified by tests (which in the case of pharmaceutical products may take
years) and the public interest in avoiding cluttering the public domain with
useless patents, and granting monopoly rights in exchange for misinformation.
[138] At paragraphs 70
and 71 Justice Binnie articulated what was required to establish sound
prediction, emphasizing that it consisted of three components; first, a factual
basis for the prediction; second, an articulable and sound line of reasoning
from which the desired result can be inferred from the factual basis; third,
proper disclosure. All of this is to be dealt with as a question of fact:
70
The doctrine of sound prediction has three components. Firstly, as here, there
must be a factual basis for the prediction. In Monsanto and Burton Parsons, the
factual basis was supplied by the tested compounds, but other factual
underpinnings, depending on the nature of the invention, may suffice. Secondly,
the inventor must have at the date of the patent application an articulable and
"sound" line of reasoning from which the desired result can be
inferred from the factual basis. In Monsanto and Burton Parsons, the line of
reasoning was grounded in the known "architecture of chemical compounds"
(Monsanto, at p. 1119), but other lines of reasoning, again depending on the
subject matter, may be legitimate. Thirdly, there must be proper disclosure.
Normally, it is sufficient if the specification provides a full, clear and
exact description of the nature of the invention and the manner in which it can
be practised: H. G. Fox, The Canadian Law and Practice Relating to Letters
Patent for Inventions (4th ed. 1969), at p. 167. It is generally not necessary
for an inventor to provide a theory of why the invention works. Practical
readers merely want to know that it does work and how to work it. In this sort
of case, however, the sound prediction is to some extent the quid pro quo the
applicant offers in exchange for the patent monopoly. Precise disclosure
requirements in this regard do not arise for decision in this case because both
the underlying facts (the test data) and the line of reasoning (the chain
terminator effect) were in fact disclosed, and disclosure in this respect did
not become an issue between the parties. I therefore say no more about it.
71
It bears repetition that the soundness (or otherwise) of the prediction is a
question of fact. Evidence must be led about what was known or not known at the
priority date, as was done here. Each case will turn on the particularities of
the discipline to which it relates. In this case, the findings of fact
necessary for the application of "sound prediction" were made and the
appellants have not, in my view, demonstrated any overriding or palpable error.
[139] In the context
of a pharmaceutical, Justice Binnie cautioned, at paragraphs 77 and 78, that a
distinction must be made as between testing for patent purposes, and for
purposes of approval by the Minister of Health:
77
The appellants take issue with the trial judge's conclusion. In their factum
(though not in oral argument), they argue that utility must be demonstrated by
prior human clinical trials establishing toxicity, metabolic features,
bioavailability and other factors. These factors track the requirements of the
Minister of Health when dealing with a new drug submission to assess its
"safety" and "effectiveness". See now: Food and Drug
Regulations, C.R.C. 1978, c. 870, s. C.08.002(2), as amended by SOR/95-411, s.
4(2), which provides in part:
A
new drug submission shall contain sufficient information and material to enable
the Minister to assess the safety and effectiveness of the new drug ... .
The
prerequisites of proof for a manufacturer who wishes to market a new drug are
directed to a different purpose than patent law. The former deals with safety
and effectiveness. The latter looks at utility, but in the context of
inventiveness. The doctrine of sound prediction, in its nature, presupposes
that further work remains to be done.
C.
Glaxo/Wellcome's After-the-Fact Validation Theory
78
Glaxo/Wellcome contends that because AZT turned out to have both treatment and
(limited) prophylactic properties, its prediction must necessarily have been
sound, and the patent upheld on that basis. This argument presupposes that the
critical date to establish utility is the state of knowledge when the patent is
attacked, even though the attack may come years after its issuance, rather than
as of the date the patent application is filed. The patent in this case was
applied for in 1986, and issued in 1988. The trial did not occur until 1997,
almost a decade after the grant of the AZT patent in Canada.
[140] At paragraphs 81
and 82, Justice Binnie addressed the Wright aircraft example raised by the
Federal Court of Appeal. This example should be treated with caution, for, as
previously discussed, only in the case of a machine does section 27(3)
require that the principle and best mode be set out in the
specification.
[141] At paragraphs 84
and 85, Justice Binnie warned against speculation, even if later it turns out
to be correct:
84 The Federal Court of
Appeal claimed support for its position in a statement by Thurlow C.J. in
Ciba-Geigy, supra, at p. 77:
...
if indeed what is in the patent specification was mere speculation or
prediction, the speculation or prediction having turned out to be true, ought
to be considered to have been well founded at the time it was made. Even at the
time it was made it is not improbable that it would have been considered well
founded.
It
is unfortunate that Thurlow C.J. speaks of "speculation or
prediction" in the same breath without distinguishing between the two
concepts. The two sentences, standing alone, give some support to the position
taken in this case by the Federal Court of Appeal. However, the two sentences
do not stand alone. Thurlow C.J. purported to be applying Monsanto, supra, and
in the passage from Monsanto that he quotes Pigeon J. says (at p. 1119) it is
central to the analysis that he is dealing with
a
matter which is not of speculation but of exact science. We are no longer in
the days when the architecture of chemical compounds was a mystery. [Emphasis
added.]
The
point of Pigeon J.'s reasons is that a wide gulf separates speculation from
"exact science" and it is the latter that may (or may not, depending
on the expert evidence) permit sound prediction. Moreover, on the facts of
Ciba-Geigy itself, Thurlow C.J. says, as quoted above, that "[e]ven at the
time it was made it is not improbable [i.e., it is probable] that it [the
invention] would have been considered well founded [i.e., a sound
prediction]". In the broader context of the Patent Act, as well, there is
good reason to reject the proposition that bare speculation, even if it
afterwards turns out to be correct, is sufficient. An applicant does not merit
a patent on an almost-invention, where the public receives only a promise that
a hypothesis might later prove useful; this would permit, and encourage,
applicants to put placeholders on intriguing ideas to wait for the science to
catch up and make it so. The patentee would enjoy the property right of
excluding others from making, selling, using or improving that idea without the
public's having derived anything useful in return.
85
Accordingly, to the extent Ciba-Geigy stands for a contrary position, I do not
think it should be followed.
[142] Justice Binnie
concluded, in the circumstances of that case, that the prediction was sound. At
paragraph 93, he wrote:
93
In the particular circumstances of this case, I think Glaxo/Wellcome's
prediction that the "chain terminator" effect disclosed in the patent
specification had prophylactic as well as post-infection treatment application
was sound. The Commissioner so ruled, and his decision to allow both treatment
and prophylaxis was upheld in the courts below. The onus was on the appellants
to show that the patent is invalid, not on Glaxo/Wellcome to show that it is
valid. I agree with the trial judge and the Federal Court of Appeal that the
appellants have not discharged this onus.
[143] Following the AZT
decision, there have been many decisions in this Court and the Court of
Appeal dealing with the issue of sound prediction.
[144] I turn to my
decision in Eli Lilly Canada Ltd v Apotex Inc, 2008 FC 142, 63 CPR (4th)
406 and that of the Federal Court of Appeal in the same case, 2009 FCA 97, 78
CPR (4th) 388, often called the “raloxifene” case.
[145] In that case,
the patent claimed a drug, raloxifene, said to be useful in treating
osteoporosis. The specification disclosed tests on mice, which, on the
evidence, were determined not to be predictive of utility on humans. The
specification further stated that tests on humans would be made at a future
time, which were “expected” to show that the drug had the utility asserted. The
patent did not disclose the results of those tests.
[146] In fact, those
tests were conducted and reported in what was called the Hong Kong study. That
study was published after the priority date but a few months before the
application for the patent was filed in Canada. That study was not disclosed in
that application. It was found, on the evidence, that the Hong Kong study would
have enabled a person skilled in the art to soundly predict the utility of
raloxifene in treating osteoporosis.
[147] I held, as affirmed
by the Federal Court of Appeal, that the patent was invalid for failing to
disclose the Hong Kong study; thus, failing to provide, in the patent itself, a
basis upon which a person skilled in the art could soundly predict utility.
[148] I wrote at
paragraphs 162 and 163 of my decision in Eli Lilly Canada Inc v Apotex Inc,
supra:, ( Raloxifene)
162
As I have found, as of the priority date in this case, there was a good basis
for the prediction and, as of the Canadian filing date, given the Hong Kong study,
a sound line of reasoning. The Supreme Court used the words "priority
date" in its reasons. The Federal Court and the Federal Court of Appeal
had the occasion to consider the matter further and concluded that the Canadian
filing date was more appropriate (Aventis Pharma Inc. v. Apotex Inc. (2005), 43
C.P.R. (4th) 161 at 184 (F.C.) affirmed (2006), 46 C.P.R. (4th) 401 at 409).
Thus, if the date was the priority date, there could have been no sound
prediction based on the first two criteria of the Supreme Court but as of the
Canadian filing date those two criteria would have been met. I do not need to
consider which date is more appropriate in view of my findings below as to
disclosure.
163
The third criterion however is that of disclosure. It is clear that the '356
patent does not disclose the study described in the Hong Kong abstract. The
patent does not disclose any more than Jordan did. The person skilled in the
art was given, by way of disclosure, no more than such person already had. No
"hard coinage" had been paid for the claimed monopoly. Thus, for lack
of disclosure, there was no sound prediction.
[149] The Federal
Court of Appeal agreed. Noel JA for the Court, wrote at paragraphs 11 to 15:
11
The appellant further argues that the Federal Court Judge erred in holding that
the '356 Patent lacks adequate disclosure. In this respect, the appellant
essentially alleges that there is no requirement that the underlying data
supporting a sound prediction be disclosed in the patent. It contends that the
Federal Court Judge misconstrued recent judicial pronouncements on the issue of
sound prediction.
12
In making this argument, the appellant at the hearing accepted for purposes of
the appeal the conclusion reached by the Federal Court Judge at paragraphs 155
and 156 of his reasons that the Hong Kong study was required in order to turn
the prediction on which the '356 Patent was predicated into a sound one.
According to the Federal Court Judge, the Hong Kong abstract of the study
conducted by the appellant on 251 post-menopausal women which concluded that
"raloxifene show[ed] promise as a skeletal anti-resorptive" would
have been a sufficient factual basis upon which a sound prediction of utility
for raloxifene could have been made as of the filing date. However, this study
was not disclosed in the '356 Patent with the result that the underlying
factual basis for the prediction and the sound line of reasoning that grounded
the inventors' prediction were not disclosed.
13
The importance of the disclosure obligation in applying for a patent has been
emphasized by the Supreme Court of Canada on a number of occasions in recent
years (Pioneer Hi Bred Ltd. v. Canada (Commissioner of Patents), [1989] 1
S.C.R. 1623 at paragraph 23; Cadbury Schweppes Inc. v. FBI Foods Ltd., [1999] 1
S.C.R. 142 at paragraph 46; Free World Trust v. Électro Santé Inc. 2000 SCC 66,
[2000] 2 S.C.R. 1024 at paragraph 13; Apotex Inc. v. Wellcome Foundation Ltd.,
2002 SCC 77, [2002] 4 S.C.R. 153 at paragraph 37 (commonly referred to as AZT
and hereinafter referred to as such)).
14
The decision of the Supreme Court in AZT is particularly significant to the
disposition of this appeal. According to AZT, the requirements of sound
prediction are three-fold: there must be a factual basis for the prediction;
the inventor must have at the date of the patent application an articulable and
sound line of reasoning from which the derived result can be inferred from the
factual basis; and third, there must be proper disclosure (AZT, supra, at paragraph
70). As was said in that case (para. 70): "the sound prediction is to some
extent the quid pro quo the applicant offers in exchange for the patent
monopoly". In sound prediction cases there is a heightened obligation to
disclose the underlying facts and the line of reasoning for inventions that
comprise the prediction.
15
In my respectful view, the Federal Court Judge proceeded on proper principle
when he held, relying on AZT, that when a patent is based on a sound
prediction, the disclosure must include the prediction. As the prediction was
made sound by the Hong Kong study, this study had to be disclosed.
[150] This line of
reasoning has been followed in other decisions. For instance, the late
Layden-Stevenson JA of the Federal Court of Appeal, in Eli Lilly Canada Inc
v Novopharm Limited, 2010 FCA 197, at paragraph 121, wrote:
121
The trial judge used what he considered to be the AZT requirement to determine
the sufficiency of the disclosure. He concluded that the disclosure was
insufficient because it did not meet the AZT hurdle. This approach is not
consistent with the statutory requirements for sufficiency as set out in the
Act and it is not consistent with the interpretation of those requirements set
out in Ranbaxy. To reiterate, the patent must contain a disclosure of the
compound and its advantage or advantages and a teaching of how it works.
[151] Justice Snider
of this Court in Sanofi-Aventis Canada Inc v Apotex Inc, 2009 FC 676,
wrote at paragraph 216:
216
Raloxifene (FCA) arose from an application under the NOC Regulations. The
underlying patent was for the use of certain chemical compounds for the
treatment of osteoporosis. Nevertheless, I can see no reason why the legal
principles applied by the Court of Appeal in that NOC proceeding on the
question of sound prediction should not apply in the case before me. Nor can I
accept the Plaintiffs' apparent argument that this "heightened
obligation" for disclosure only applies when we are dealing with a use
patent, as was the case in Wellcome AZT (SCC) and Raloxifene (FCA). Indeed, the
Federal Court of Appeal has stated unequivocally that the doctrine of sound
prediction applies to a claim for a new compound (Pfizer Canada Inc. v. Apotex
Inc., 2007 FCA 195, 60 C.P.R. (4th) 177 at para. 3).
[152] At this point,
it is useful to point to the decision of the Federal Court of Appeal in Pfizer
Canada Inc v Novopharm Limited, 2010 FCA 242, where Nadon JA, for the
Court, wrote at paragraph 90 that the requirements for demonstrated utility
can be fulfilled by referencing a study in the description of the patent:
90
The appellant's argument that Pfizer was required to include evidence of
demonstrated utility in the patent disclosure is without merit. The
requirements for demonstrated utility can be provided in evidence during
invalidity proceedings as opposed to in the patent itself. So long as the
disclosure makes reference to a study demonstrating utility, there do not
appear to be any other requirements to fulfill section 2.
[153] Thus, prior to
the release of the Viagra decision by the Supreme Court of Canada, (Teva
Canada Limited v Pfizer Canada Inc, 2012 SCC 60), the law was well
established that:
•
where
utility of a pharmaceutical has been established before the application for a
patent was filed in Canada, it was sufficient to reference a study in the
patent description;
•
where
utility had not been established before the date of filing the application in Canada, the statutory requirement for utility still could be established by soundly
predicting that utility provided that a factual basis for that prediction and a
sound line of reasoning had been set out in the description in the patent.
[154] When the matter
recently came before the Supreme Court of Canada in Viagara, the
argument was made that a patent would be invalid because there was insufficient
disclosure in the patent to support a sound prediction that certain compounds
or group of compounds would be useful in treating erectile dysfunction. The
Supreme Court, in a unanimous decision written by Justice LeBel (who was also
on the panel in AZT), said that there was no heightened requirement for
disclosure in cases where utility is based on sound prediction. Utility can be
demonstrated, for example, by conducting tests; but this does not mean that
there is a separate requirement for the disclosure of utility. Where utility
has been demonstrated as of the time of filing of the patent application, the
matter is taken out of the realm of sound prediction.
[155] Justice LeBel
wrote at paragraphs 36 to 43:
36
Before turning to the main issue in this appeal, I wish to address Teva's
argument that Claim 7 is invalid for insufficient disclosure of sound
prediction. As I stated at the outset, I am of the view that this is not a case
about sound prediction and that Teva's argument on this point must fail.
37
For a patent to be valid, the invention it purports to protect must be useful.
This requirement of utility comes from the definition of "invention"
in s. 2 of the Act, which requires that the purported invention be "new
and useful". Sound prediction is a concept that becomes relevant only when
an invention's utility cannot actually be demonstrated by way of tests or
experiments, but can nevertheless be successfully predicted: see, e.g., AZT.
The lack of certainty that comes from predicting rather than demonstrating an
invention's utility has led some courts to conclude that there is a
"heightened" or "enhanced" disclosure requirement in cases
in which a claim of utility is based on sound prediction: see e.g. Eli Lilly
Canada Inc. v. Apotex Inc., 2009 FCA 97, 78 C.P.R. (4th) 388 (F.C.A.), at
paras. 14-15. Teva submits that this heightened requirement was not met in the
case at bar.
38
As the courts below noted, all that is required to meet the utility requirement
in s. 2 is that the invention described in the patent do what the patent says
it will do, that is, that the promise of the invention be fulfilled: see also
S. J. Perry and T. A. Currier, Canadian Patent Law, (2012), at s.7.11. Patent
'446 states that the claimed compounds, including sildenafil, will be useful in
treating ED. At the time the application was filed, sildenafil could assist in
treating ED. This is all that is required. The fact that Pfizer did not
disclose that the tested compound was sildenafil goes to the issue of
disclosure of the invention, not to that of disclosure of the invention's
utility.
39
That the invention must be useful as of the date of the claim or as of the time
of filing is consistent with this Court's comments in AZT, at para. 56:
Where the new use is the gravamen of the invention, the utility required for
patentability (s. 2) must, as of the priority date, either be demonstrated or
be a sound prediction based on the information and expertise then available. If
a patent sought to be supported on the basis of sound prediction is
subsequently challenged, the challenge will succeed if ... the prediction at
the date of application was not sound, or, irrespective of the soundness of the
prediction, "[t]here is evidence of lack of utility in respect of some of
the area covered". [Emphasis added.]
40
Nothing in this passage suggests that utility is a disclosure requirement; all
it says is that "the utility required for patentability (s. 2) must, as of
the priority date, either be demonstrated or be a sound prediction".
Utility can be demonstrated by, for example, conducting tests, but this does
not mean that there is a separate requirement for the disclosure of utility. In
fact, there is no requirement whatsoever in s. 27(3) to disclose the utility of
the invention: see, e.g., Consolboard, at p. 521, per Dickson J.: "I am
further of the opinion that s. 36(1) [now s. 27(3)] does not impose upon a
patentee the obligation of establishing the utility of the invention".
41
In any event, Pfizer disclosed the utility of sildenafil by disclosing that
tests had been conducted. Sildenafil was found to be useful before the priority
date, which means that the requirement in AZT is met. Further, "[e]vidence
as to utility may be found in the reception of the invention by the public.
Enthusiastic reception by those to whom it is directed will tend to indicate
that the invention is useful": Perry and Currier, at s.7.12.
42
There is no question that sildenafil's utility had been demonstrated, in Study
350, as of the time of filing of the patent application. This takes the
invention out of the realm of sound prediction. The claims that were determined
not to be useful in the clinical study are in any event invalid -- which is not
contested -- but this does not affect the validity of the claims that are
useful: see s. 58 of the Act.
43
Since sound prediction is not an issue, the question whether there is an
"enhanced" or "heightened" disclosure requirement with
respect to sound predictions does not arise in this case and need not be
addressed. I will now turn to the issue at the heart of this appeal: whether
Patent '446 meets the requirements of s. 27(3) of the Act.
[156] This discussion
must be treated with some care. The final paragraph, paragraph 43, must be
taken at its word; the comments as to sound prediction are strictly obiter.
The matter is to be left to another day.
[157] Further, the
reference to the Consolboard case (Consolboard Inc v MacMillan
Bloedel (Sask) Ltd, [1981] 1 S.C.R. 504) in the above comments must be
carefully considered. The patents at issue there dealt with machinery used to
make a product known as waferboard. At page 525 of the decision, Dickson J, for
the Supreme Court, held that a skilled person reading the patents would know
the utility without having to be told. The question he addressed at pages 520
to 526 was whether, in that case, where the utility was apparent and an
adequate description of the machinery was given, was there nonetheless a
requirement to state the utility in the description. He held there was not.
[158] Given that the
Supreme Court of Canada in Viagra expressly left the question of sound
prediction open for another day, I find that the law as expressed by that Court
in AZT and followed by this Court and the Federal Court of Appeal is
still good law. The basis for sound prediction, at least in respect of a
pharmaceutical, must be disclosed in the descriptive part of the patent.
Where does all this leave us?
[159] In taking all of
the foregoing into consideration, in circumstances where a patent claims a
pharmaceutical that is useful for a particular treatment or therapy:
•
the
Patent Act and the jurisprudence require that the particular utility be
stated in the specification;
•
the
particular utility needs to be stated in the claim only where the compound is a
previously known compound for which a new use is the invention;
•
there
is a requirement in the jurisprudence that that the specification disclose
information from which the utility can be confirmed or be said to be soundly
predicted;
•
where
a challenge has been raised as to whether the compound claimed in fact has
utility, or whether the utility could have been soundly predicted as of the
filing date, the Court may enter into a factual determination as to whether
utility had been established or soundly predicted as of that date.
In the present case:
[160] In the present
case, Pharmascience has raised the issue as to whether, as of the relevant
date, the named invention had established or soundly predicted that the claimed
compounds had the claimed utility. Thus, impetus for doing so was created by
the description contained in the specification, which described certain tests
done on rats, but not on humans. The issue became whether those tests were
enough to establish or soundly predict the utility of the claimed compounds to
deal with pain as of the deemed Canadian filing date, July 16, 1997.
[161] The matter is
one of proof.
[162] However, since
examples were given in the specification, Pharmascience has raised the issues
of utility and sound prediction, stating that what was set out in the
specification is not enough. Pfizer has chosen to meet those issues by filing
evidence of the inventor and of experts.
[163] Thus, I must
make a factual determination, based on the evidence, as to whether, as of the
deemed Canadian filing date, the inventor had established utility or had
soundly predicted it and whether the patent gives an adequate description.
UTILITY – SOUND
PREDICTION – CLAIM 3
[164] Claim 3, as I
have interpreted it, claims that either pregabalin or its racemate may be used
in the treatment of a variety of pains as disclosed in the descriptive portion
of the patent including pains which, as of 1997, would be considered by a
person skilled in the art to be reasonably related to such pains, in a mammal,
including a human.
[165] The evidence is
that, as of the date of filing the application in Canada, July 16, 1997,
neither pregabalin nor its racemate had been tested on humans for the purposes
of determining their effectiveness in pain relief. The evidence is that while
pregabalin has gone on to commercial success in treating some types of pain,
the racemate has not. There are no published scientific papers reporting the
effect of the racemate in treating pain in humans or any other mammal. The
patent itself, after correcting the acknowledged misnomers, makes no mention of
any test conducted using the racemate.
[166] The arguments
made by Pharmascience as to lack of utility are two:
i.
Pregabalin
does not treat all types of pain.
ii.
The
patent fails to disclose any utility of the racemate or any basis for a sound
prediction that the racemate would treat all or even some types of pain.
[167] I will address
each argument in turn.
1. Pregabalin does not treat
all types of pain:
[168] “Pain”, as the
term is used in claim 3, has been construed to mean “pain” as listed at pages 1
and 5 of the '652 patent, together with those types which, as of January 1997,
would have been reasonably associated with such pay by a person skilled in the
art.
[169] The tests
described in the '652 patent, as Dr. McCarson sets out at paragraphs 134 to 137
of his affidavit, demonstrate that pregabalin is effective in treating
persistent inflammatory pain and persistent post-operative pain. These are two
of the types of pain described in the patent.
[170] The patent, at
pages 1 and 5, indicates idiopathic pain. Dr. Watson, at paragraph 38 of his
affidavit, states that this pain has no known cause and is difficult to bear.
Dr. McCarson, at page 64 of his cross-examination, states that as of 1996, there
was essentially no model for idiopathic pain.
[171] The patent, at
page 1, includes fibromyalgia. Dr. Carson, at paragraph 90 of his affidavit and
questions 256 to 258 of his cross-examination states that as of 1996, or even
today, there was no animal pain model for fibromyalgia. Dr. McMahon said much
the same at questions 341 to 347 of his cross-examination.
[172] Cancer pain is
listed at page 5 of the patent, and osteoarthritis pain associated with
metastatic cancer is mentioned at page 1. Dr. McMahon, at question 463 of his
cross-examination, agreed that in 1997 there was no model for bone cancer pain.
[173] More
importantly, Dr. McMahon agreed at question 426 of his cross-examination that
pregabalin is not approved for all types of neuropathic pain. Neuropathic pain
is listed at pages 1 and 5 of the patent.
[174] Most
importantly, as well, the named inventor, Dr. Singh, in answer to question 147
of his cross-examination, said:
Pregabalin
only blocks or works in the presence of some nasty stimulus. It doesn’t
block acute pain. (emphasis added)
[175] The patent, at
page 1, lists among the pains “…acute herpetic and postherpetic
neuralgia”.
[176] There are other
examples as well where, as of 1997, the tests described in the patent could not
have been accepted as predictive of treatment for all the pains listed at pages
1 and 5 of the patent. In many cases, there were, as of 1997, no tests of any
kind that could be predictive.
[177] Further, the
evidence shows that there are some types of pain listed at pages 1 and 5 that
pregabalin simply does not treat.
[178] Claim 3 is
invalid in that it embraces pain which cannot be treated, as well as pain
which, as of 1997, could not have been predicted as treatable by pregabalin.
2. The patent fails to disclose any
utility of the racemate or any basis for a sound prediction that the racemate
would treat all or even some types of pain:
[179] While the patent
does disclose a number of tests conducted on rats using pregabalin, there is no
disclosure whatsoever as to the racemate (adjusting for the agreed upon error).
[180] There is no
evidence that as of 1997 or even today, that anyone has used or tested for use,
the racemate. At best, the Applicants point to Table 6, published at page 23 of
one of the patent applications, set out at page 1 of the '652 patent, the WO 93/23383
application, to show that the racemate was tested for treatment of central
nervous system disorders. This is a test for pharmaceutical effectiveness of
various compounds for the treatment of seizures in mammals, including humans.
Gabapentin is said to be the most effective. No particular remarks are made in
respect of the racemate. Nothing is said about treating pain.
[181] The evidence on
the subject comes largely from Dr. Hayes for the Applicants, and Dr. Jamali for
Pharmascience.
[182] Dr. Hayes says
at paragraph 17 of her affidavit (Volume 7, pages 1944 to 1945) that a person
of ordinary skill would “expect” the racemate to have analgesic activity at
higher doses. Dr. Jamali, at paragraph 41 of his affidavit (Volume 22, page
6558) says that the pharmacokenetic and pharmacodynamic properties of a
racemate consisting of the enantiomers of interest cannot be predicted based on
knowledge of the properties of an individual enantiomer. He supports this
statement in the following paragraphs, concluding at paragraph 46 that it is
not possible to predict the pharmacokinetic properties of a racemate of
pregabalin and its enantiomer (or any proportion of pregabalin over its
antipode) based on the pharmacokinetic properties of either enantiomer
administered above. Dr. Hayes, in cross-examination at page 47 of the
transcript (Volume 7, page 2027) admitted that, in making her predictions, she
had to go outside the '652 patent and have regard to the WO 93/23383 patent
application.
[183] I have read and
considered not only the evidence of Drs. Hayes and Jamali, but also that of the
other experts; including Drs. McCarson, McMahon and Cowan. I am satisfied that,
as of the relevant date and even as of today, there is no factual basis from
which a sound prediction as to the effectiveness of the racemate could be made.
[184] Further, and in
any event, there is no factual basis and no line of reasoning set out in the
'652 patent from which a person skilled in the art could make a sound
prediction that the racemate would be useful in treating the variety of pain
encompassed by claim 3 or even some of them.
[185] I find that
Pharmascience’s allegations in this respect are justified.
OBVIOUSNESS
[186] The
jurisprudence respecting obviousness has recently been established by the
Supreme Court of Canada in Apotex Inc v Sanofi-Synthelabo Canada Inc,
[2008] 3 S.C.R. 265, 2008 SCC 61. Rothstein J wrote the unanimous reasons of the
Court and, in particular, wrote at paragraphs 67 to 71:
67
It will be useful in an obviousness inquiry to follow the four-step approach
first outlined by Oliver L.J. in Windsurfing International Inc. v. Tabur Marine
(Great Britain) Ltd., [1985] R.P.C. 59 (C.A.). This approach should bring
better structure to the obviousness inquiry and more objectivity and clarity to
the analysis. The Windsurfing approach was recently updated by Jacob L.J. in
Pozzoli SPA v. BDMO SA, [2007] F.S.R. 37 (p. 872), [2007] EWCA Civ 588, at
para. 23:
In
the result I would restate the Windsurfing questions thus:
(1)
(a) Identify the notional "person skilled in the art";
(b)
Identify the relevant common general knowledge of that person;
(2)
Identify the inventive concept of the claim in question or if that cannot
readily be done, construe it;
(3)
Identify what, if any, differences exist between the matter cited as forming
part of the "state of the art" and the inventive concept of the claim
or the claim as construed;
(4)
Viewed without any knowledge of the alleged invention as claimed, do those
differences constitute steps which would have been obvious to the person
skilled in the art or do they require any degree of invention? [Emphasis
added.]
It
will be at the fourth step of the Windsurfing/Pozzoli approach to obviousness
that the issue of "obvious to try" will arise.
i.
When Is the "Obvious to Try" Test Appropriate?
68
In areas of endeavour where advances are often won by experimentation, an
"obvious to try" test might be appropriate. In such areas, there may
be numerous interrelated variables with which to experiment. For example, some
inventions in the pharmaceutical industry might warrant an "obvious
[page294] to try" test since there may be many chemically similar
structures that can elicit different biological responses and offer the
potential for significant therapeutic advances.
ii.
"Obvious to Try" Considerations
69
If an "obvious to try" test is warranted, the following factors
should be taken into consideration at the fourth step of the obviousness
inquiry. As with anticipation, this list is not exhaustive. The factors will
apply in accordance with the evidence in each case.
1.
Is it more or less self-evident that what is being tried ought to work? Are
there a finite number of identified predictable solutions known to persons
skilled in the art?
2.
What is the extent, nature and amount of effort required to achieve the
invention? Are routine trials carried out or is the experimentation prolonged
and arduous, such that the trials would not be considered routine?
3.
Is there a motive provided in the prior art to find the solution the patent
addresses?
70
Another important factor may arise from considering the actual course of
conduct which culminated in the making of the invention. It is true that
obviousness is largely concerned with how a skilled worker would have acted in
the light of the prior art. But this is no reason to exclude evidence of the
history of the invention, particularly where the knowledge of those involved in
finding the invention is no lower than what would be expected of the skilled
person.
71
For example, if the inventor and his or her team reached the invention quickly,
easily, directly and relatively inexpensively, in light of the prior art and
common general knowledge, that may be evidence supporting a finding of
obviousness, unless [page295] the level at which they worked and their
knowledge base was above what should be attributed to the skilled person. Their
course of conduct would suggest that a skilled person, using his/her common
general knowledge and the prior art, would have acted similarly and come up
with the same result. On the other hand, if time, money and effort was expended
in research looking for the result the invention ultimately provided before the
inventor turned or was instructed to turn to search for the invention,
including what turned out to be fruitless "wild goose chases", that
evidence may support a finding of non-obviousness. It would suggest that the
skilled person, using his/her common general knowledge and the prior art, would
have done no better. Indeed, where those involved including the inventor and
his or her team were highly skilled in the particular technology involved, the
evidence may suggest that the skilled person would have done a lot worse and
would not likely have managed to find the invention. It would not have been
obvious to him/her to try the course that led to the invention.
[187] This test was
amplified by the Federal Court of Appeal in Apotex Inc v Pfizer Canada Inc,
2009 FCA 8, where Noel JA, for the Court, distinguished between mere
possibilities and speculation, which is not the test; and more or less
self-evident, which is the test. He wrote at paragraphs 28 to 30:
28
I take it from this that the test adopted by the Supreme Court is not the test
loosely referred to as [page235] "worth a try". After having noted
Apotex' argument that the "worth a try" test should be accepted (at
paragraph 55), Rothstein J. never again uses the expression "worth a
try" and the error which he identifies in the matter before him is the
failure to apply the "obvious to try" test (at paragraph 82).
29
The test recognized is "obvious to try" where the word
"obvious" means "very plain". According to this test, an
invention is not made obvious because the prior art would have alerted the
person skilled in the art to the possibility that something might be worth
trying. The invention must be more or less self-evident. The issue which must
be decided in this appeal is whether the Federal Court Judge failed to apply
this test.
30
In my respectful view, he did not. While the Federal Court Judge does not use
the phrase "obvious to try", his reasons show that he conducted his
analysis along the dividing line drawn in Sanofi-Synthelabo. Specifically, he
rejected the contention that the invention was obvious based on mere possibilities
or speculation and looked for evidence that the invention was more or less
self-evident.
[188] The test adopted
by the Supreme Court of Canada is based on two United Kingdom decisions and is
often referred to as the Windsurfing/Pozzoli test. This test was recently
considered by the United Kingdom Court of Appeal (Civil Division) in MedImmune
Limited v Novartis Pharmaceuticals UK Limited, [2012] EWCA Civ 1234. Lord
Justice Kitchin wrote at paragraphs 85 to 90:
[85]
It is often convenient, but by no means essential, to consider an allegation of
obviousness using the structured approach explained by this court in Pozzoli v
BDMO SA [2007] EWCA Civ 588, [2007] Bus LR D117, [2007] FSR 37 at 23:
“(1) (a)
Identify the notional 'person skilled in the art';
(b)
Identify the relevant common general knowledge of that person;
(2)
Identify the inventive concept of the claim in question or if that cannot
readily be done, construe it;
(3)
Identify what, if any, differences exist between the matter cited as forming
part of the 'state of the art' and the inventive concept of the claim or the
claim as construed;
(4)
Viewed without any knowledge of the alleged invention as claimed, do those
differences constitute steps which would have been obvious to the person
skilled in the art or do they require any degree of invention?”
[86]
Step (2) may pose some problems. In some cases, as in this one, the parties
agree what the inventive concept is. This has the advantage of limiting the
obviousness analysis to the essence of the invention. But often the parties do
not agree and in such cases it will usually be a futile exercise for the court
to seek to resolve their disagreement, for ultimately all that matters is what
the patentee has claimed. As Lord Hoffmann said in Conor v Angiotech [2008]
UKHL 49, [2008] 4 All ER 621, [2008] RPC 716 at 19 “. . . the patentee is
entitled to have the question of obviousness determined by reference to the
claim and not to some vague paraphrase based upon the extent of his disclosure
in the description”.
[87]
I would add, so too is the Defendant. The patentee may have drawn his claim so
broadly that it includes products or processes that owe nothing to the
inventive contribution he has made, rendering the claim particularly vulnerable
to an allegation of obviousness.
[88]
Step (3) presents little conceptual difficulty. It simply requires the court to
identify the differences between the prior art and the claim.
[89]
It is step (4) which is key and requires the court to consider whether the
claimed invention was obvious to the skilled but unimaginative addressee at the
priority date. He is equipped with the common general knowledge; he is deemed
to have read or listened to the prior disclosure properly and in that sense
with interest; he has the prejudices, preferences and attitudes of those in the
field; and he has no knowledge of the invention.
[90]
One of the matters which it may be appropriate to take into account is whether
it was obvious to try a particular route to an improved product or process. There
may be no certainty of success but the skilled person might nevertheless assess
the prospects of success as being sufficient to warrant a trial. In some
circumstances this may be sufficient to render an invention obvious. On the
other hand, there are areas of technology such as pharmaceuticals and
biotechnology which are heavily dependent on research, and where workers are
faced with many possible avenues to explore but have little idea if any one of
them will prove fruitful. Nevertheless they do pursue them in the hope that
they will find new and useful products. They plainly would not carry out this
work if the prospects of success were so low as not to make them worthwhile.
But denial of patent protection in all such cases would act as a significant
deterrent to research.
[189] Lord Justice
Lewiston agreed and added at paragraph 184:
[184]
In many “obvious to try” cases, it is the idea of trying that constitutes the
inventive step. It was no doubt this that led Sir Donald Nicholls V-C to say in
Molnlycke AB v Procter & Gamble Ltd [1994] RPC 49 that “. . . obviousness
connotes something which would at once occur to a person skilled in the art who
was desirous of accomplishing the end”. (Emphasis added)
[190] Lord Justice
Moore-Bick agreed with both.
[191] In the present
case, I turn to the test established by the Supreme Court in Sanofi with
reference to the numbers assigned by Justice Rothstein:
[192] 1(a) The notional
“person skilled in the art” has already been identified in these reasons.
[193] 1(b) The
relevant common general knowledge as acknowledged at page 1 of the '652
patent is that the compounds of the invention are already known, but used for
another purpose; namely, as an anti-epileptic. Pharmascience relies
particularly on the evidence of Dr. Watson, their expert, a physician
specializing in pain, who says that as of 1996 physicians would try or expect
that anticonvulsants would be useful in treating some forms of pain and that
gabapentin was among those compounds. I repeat in particular paragraph 103 of
his affidavit where he says, in part:
103. As
with all drugs, physicians knew that gabapentin would not be useful for all
patients, and they knew that it would not be useful for all types of pain. They
also knew that safety issues could emerge, although the initial reports
indicated lower incidents of side effects than other anti-convulsants.
[194] The Applicants,
on the other hand, rely on the evidence of their experts, including Dr.
McCarson and Dr. Jovey. Dr. McCarson says, in part, at paragraph 20 of his
affidavit:
Finally,
even if a person skilled in the art were to consider pregabalin’s analgesic
potential…they would not have an expectation that pregabalin would be useful to
treat pain without making and testing it.
[195] Dr. Jovey
states, in part, at paragraph 20 of his affidavit:
The
fact that some anticonvulsants were known to treat pain, that there were a
small number of case reports suggesting that gabapentin might be useful for the
treatment of neuropathic pain in some patients, and the knowledge that
gabapentin and pregabalin shared a binding site would not have made it more or
less self-evident as of July, 1996 that pregabalin would not be useful in the
treatment of pain.
[196] I find that, as
of July 1996, the state of the art was that pregabalin, gabapentin and other
anticonvulsants were known and used for central nervous system disorders such
as anti-convulsants, and that there were reported tests that gabapentin had
been successfully used in the treatment of some types of pain.
[197] 2. The second of the criteria
established in Sanofi is to identify the inventive concept in the
claim. I emphasize the words in the claim and repeat the words of
Lord Hoffmann in Conor v Angiotech, [2008] UKHL 19, at paragraph 19:
…the
patentee is entitled to have the question of obviousness determined by
reference to the claim and not some vague paraphrase based upon the extent of
his disclosure in the description.
[198] Here, the
inventive concept of claim 3 is not simply that pregabalin can be used
to treat some types of pain. The inventive concept is that pregabalin or its
racemate can be used to treat a variety of types of pain.
[199] 3. The third of the criteria
is to identify the differences between the “state of the art” and the inventive
concept. Here, those differences are that two compounds, pregabalin or its
racemate, can be put to a new use; the treatment of a variety of types of pain.
[200] 4. The fourth criteria is to
determine if those differences would have been obvious; that is, having regard
to the Federal Court of Appeal, would have been not a mere possibility, but
more or less self-evident.
[201] The Applicants,
and in my opinion, with some force, point out what Dr. Watson said, in part, in
answer to question 158 of his cross-examination:
What
we were doing was we would try and pray that every new anticonvulsant that came
on the market would work better than any existing one.
[202] Pharmascience
argues that this answer was directed only to a “better” pain drug; however, I
accept that, looking at all the evidence of all the experts, that while anticonvulsants
were looked at - at least by some researchers - as a fruitful field to try and
see if any of them worked with respect to pain, one would not know, until it
was tested, whether it worked in fact, and without any harmful effects. The
statements of Lord Justice Kitchin at paragraph 90 of his Reasons in MedImmune,
supra, are appropriate:
…there
are areas of technology such as pharmaceuticals and biotechnology which are
heavily dependant on research, where workers are faced with many possible
answers to explore but have little idea if any one of them will prove fruitful.
Nevertheless they do pursue them in the hope that they will find new and useful
products. They plainly would not carry out this work if the prospects of
success were so low as not to make them worthwhile. But denial of patent
protection in all such cases would act as a significant deterrent to research.
[203] Therefore, I
find that Pharmascience’s allegation as to obviousness is not justified.
[204] I am mindful, in
coming to this conclusion, that I have concluded that it was not obvious to use
pregabalin for a variety of pains, including some acute pains, and that
likewise the racemate was not obvious for such uses. I am mindful, as well, as
to my findings in this respect as to utility and sound prediction. The
questions are different. For instance, it may not be obvious that the racemate
can treat a variety of pain, but it may not be useful for that purpose.
[205] One must also be
mindful that the parties have argued to all intents and purposes, on different
sides of essentially the same issue. Was pregabalin obvious for pain, yet the
racemate not soundly predicted? It is not uncommon for a party to argue in the
alternative. They have done so here.
REISSUE
APPLICATION
[206] The Patent Act,
section 47, provides that where a patent is deemed defective or inoperative in
certain specified respects, the patentee may, within four years from the date
the patent is granted, apply for a re-issue of that patent. That is what
Warner-Lambert sought to do with respect to the '652 patent.
[207] On December 20,
2005, patent agents acting for Warner-Lambert filed a request with the Canadian
Patent Office seeking re-issue of the '652 patent. Specifically, Warner-Lambert
sought to add fifteen new claims, numbered 16 through 31, in which only
pregabalin, not the racemate, was claimed. Claim 16 was directed to treatment
of “pain”; each of the remaining claims were directed to specific types of
pain, including, in claim 27, acute herpetic pain. These claims are to be found
at Volume 8 of the Record, pages 2269 and 2270.
[208] The reason for
seeking re-issue was set out at paragraph 4 of the application for re-issue
(page 2251 of the Record) as:
…the patent attorney in the United States, Charles W. Ashbrook, acting on behalf of the original applicant,
inadvertently, accidentally or mistakenly failed to instruct its Canadian
agent, or failed to ensure that its Canadian agent understood, and/or the
Canadian agent failed to understand, that the Patentee’s commercial product,
the compound (pregabalin) should itself be specifically claimed…
[209] An affidavit of
Ashbrook was later filed in support of the application for re-issue (pages 2358
to 2360). It attested to, among other things:
3.
I did
not draft the '652 Application…
4.
August
to October 2000 was a particularly busy time for me…
5.
When I
assumed responsibility for the '652 Application, I did not focus in detail on
its prosecution. I do not know why I failed to do so…
. . .
8.
…there
is no record of my having instructed, nor can I recall having instructed
the Canadian agent to include any independent claims directed solely to
the use of (pregabalin)…
10.
Following
the grant of the Patent, in the fall of 2005, I took part in a review…it was
then discovered that the Patent did not have any independent claims directed
to (pregabalin).
[210] The Patent
Office issued a response to the application for re-issue on January 24, 2008.
It found the application not acceptable. Among the reasons for so finding was
that the evidence did not convincingly demonstrate original intent to protect
the subject matter of claims 17 to 31. Further evidence was requested.
[211] The patent agent
responded on June 23, 2008 by providing the affidavit of Ashbrook, aforesaid,
and referenced a similar application for re-issue made in the United States
Patent Office respecting “related U.S. Patent No. 6,001,876”.
[212] Further
correspondence ensued. The application for re-issue was ultimately allowed
(pages 2494 to 2496) provided the original patent was surrendered; see page
2497 of the Record, as indicated by a letter from the Patent Office dated July
20, 2009. The evidence ends there. There is no record of the surrender of the
original patent or the grant of a re-issued patent. On October 15, 2009, the
request for re-issue apparently was withdrawn. This present proceeding deals
with the '652 patent as originally granted; that is, without claims 17 to 31.
[213] In its Notice of
Allegation, Pharmascience makes reference to this re-issue application saying
that the application supports its position with respect to the various
allegations as to invalidity raised in that Notice. Pharmascience did not make
submissions in its written argument in respect to the re-issue; however, it did
so in oral argument, presumably having been prompted to do so since I raised
the matter with Counsel near the beginning of the oral hearing.
[214] The Applicants’
Counsel argued that the re-issue did not seek to amend claim 3; it simply
sought to add further claims; thus, the re-issue application is immaterial when
it comes to any consideration of claim 3. Pharmascience’s Counsel argues that,
had the Applicants secured a re-issue of the '652 patent with the addition of
claim 17 to 31, they would have instituted proceedings based on one or more of
claims 17 to 31 and simply disregarded claim 3 just as they have disregarded
claims 1, 2 and 4 to 16 in the present proceedings, presumably because they are
all too broad; particularly in the number of compounds embraced by those claims.
Pharmascience provided me with the Reasons for Judgment (Memorandum) of the
Chief Justice of the United States District Court for the District of Delaware
(Chief Justice Sleet) in which the re-issued United States patent (Re '920) as
referred to in the Canadian re-issue application, was asserted in an infringement
action, C.A. No. 09-cv-307, July 19, 2012. The claims asserted were specific to
pregabalin only. Claim 1 was in respect to pain, whereas the other asserted
claims were directed to a specific pain. Those claims were found not to be
invalid for obviousness or anticipation. I am advised that the matter is being
appealed.
[215] This re-issue
application and these United States proceedings formed no part in the decision
to which I have come in this matter, largely because Pharmascience did not
raise these matters e in their written argument. I do, however, point out that
my decision may well have been different had the claims at issue been directed
only to pregabalin and only to certain specific types of pain.
CONCLUSIONS AND COSTS
[216] As a result of
all the aforesaid, I have found that certain of the allegations made by
Pharmascience as to invalidity of claim 3 of the '652 patent are justified. In
particular, the following are justified:
•
claim
3 is broader than the invention made or disclosed
•
claim
3 lacks utility with respect to the range of pain included within that claim as
I have construed it
•
there
is no sound prediction set out in the patent or anywhere such that the racemate
included within claim 3 can be predicted to have utility
[217] Thus, I will
dismiss this application, with costs.
[218] As to costs, the
Respondent Pharmascience is entitled to be paid costs, reasonable disbursements
and applicable taxes by the Applicant, both jointly and severally. As is
usually in these proceedings, costs are awarded at the middle of Column IV.
Assessment for two Counsel at trial, a junior and a senior, are allowed. Fees
for Pharmascience’s experts may be taxed, provided that their rates shall not
exceed the rates charged, per hour, or per day, by Pharmascience’s senior
Counsel.
JUDGMENT
FOR
THE REASONS PROVIDED:
THIS
COURT’S JUDGMENT is that:
1.
The
application is dismissed; and
2.
The
Respondent Pharmascience is entitled to its costs on the terms set out in the
Reasons.
"Roger T.
Hughes"