Prestige Group
(Australia) Pty Ltd v Dart Industries Inc [1990]
FCA 406
FEDERAL
COURT OF AUSTRALIA
NORTHROP, LOCKHART & GUMMOW JJ
NORTHROP
J:
I
concur with the reasons published by Gummow J. and with the orders proposed by
him. I have nothing further to add.
LOCKHART:
I have had the advantage of reading the reasons for
judgment of Gummow J. I agree with what his Honour says with respect to the
United States doctrine of file wrapper estoppel including his conclusion that
Prestige Group (Australia) Pty. Limited ("Prestige") could not
succeed with its attempt to rely on that doctrine even if it were part of
Australian law and that the relevant paragraphs of its pleading were properly struck
out. His Honour expressed his provisional views as to the existence of any file
wrapper estoppel doctrine in Australian patent law. He said that, although he
would not regard that question as other than still open for decision by the
courts of this country, nevertheless there appeared to be significant
difficulties in the path of the acceptance of the doctrine of file wrapper
estoppel either as an admission or as estoppel by representation. Like Gummow
J. I regard the question of the application of file wrapper estoppel in
Australia as still open for decision, but I prefer to express no view as to
what, if any, difficulties may lie in the path of the acceptance of that
doctrine.
The second issue in the appeal is whether the
learned primary Judge (King J.) erred in striking out paragraphs 5(c) and (d)
of the further amended defence of Prestige, and it is to that issue that I now
turn.
The respondent, Dart Industries Inc.
("Dart"), seeks to assert that the patent in suit was "obtained
on a false suggestion or representation" within the meaning of s.
100(1)(k) of the Patents Act
1952 ("the Act") and is therefore invalid (see ss. 100(1)(k)
and 105)).
Paragraphs 5(c) and (d) of the further amended
defence of Prestige provides particulars of this ground of alleged invalidity
and they are set out in the reasons of judgment of Gummow J., so I need not
repeat them. The substance of those particulars is that Dart obtained the grant
of the letters patent in suit having previously represented to the relevant authorities
that its invention was narrower in scope than the invention claimed in that it
was limited to a closure with corrugations as distinct from the broader concept
of a "biased" closure, that "biased" meant
"corrugated" and that the representation was made to satisfy the
examiners that the invention claimed was an advance over the prior art, and
that Dart's conduct constituted the obtaining of the patent in suit on a false
suggestion or representation.
King J. found that to make good an allegation of
this kind it is necessary to allege and establish that were it not for the
false suggestion or representation the patent would not have been granted in
the form which it in fact took, and that as an allegation of this kind was not
made the relevant paragraphs of the further amended statement of defence must
be struck out. It is from these orders of the Supreme Court that Prestige
brings this appeal by leave.
The history of the expression "false
suggestion or representation" in relation to the law of patents and to the
remedy of the writ of scire facias is
discussed by Gummow J. in his reasons for judgment.
The words "false suggestion or
representation" are of wide import. The statutory ground of revocation and
invalidity expressed in s. 100(1)(k) is based on equitable notions of good
faith, fairness, conscionable conduct and honesty. If an applicant for a patent
has misled the Commissioner in a material respect in the course of procedures
which led to the grant of the patent, he should not have the benefit of his
misleading conduct. It is true that s. 100 separately defines other grounds of
revocation, some of which are apt to include conduct which might otherwise fall
within the concept of false suggestion or representation: for example,
inutility (s. 100(1)(h)), absence of the entitlement of the applicant to apply
for the patent (s. 100(1)(a)), valid claim of an earlier priority date (s.
100(1)(f)) and s. 100(1)(c) which includes non-compliance
with s. 40 itself as a ground of revocation. It is possible that
there is little work for s. 100(1)(k) to do; but that it has some work to do is
recognised by its presence in the section as a separate ground of revocation.
It is a good example of the kind of objection which should not be narrowed or
circumscribed by judicial decision, but left to develop in the light of
changing circumstances and as each case arises. Indeed, in many cases the
material on which a defendant may seek to rely in support of a defence of file
wrapper estoppel would be admissible as evidence of false suggestion or
representation.
There are, at this stage in the development of the
law relating to false suggestion or representation (but the categories must not
be regarded as closed), two types of conduct which may fall within s.
100(1)(k): first, promises made by the patentee in the specification itself as
to the results which he asserts are obtainable by the invention and second,
conduct of the patentee during the process of application for grant.
The reported cases on s. 100(1)(k) and its equivalent
in the Patents Act 1949 (U.K.) (s.
32(1)(j)) generally relate to false suggestion or representation of the first
kind. This ground of revocation is similar to an objection of inutility (s.
100(1)(h)): see Blanco White, Patents for
Inventions, 5th ed. paras. 4-1001 and 4-405; Ricketson, The Law of Intellectual Property, para.
49-102.
The rationale of this basis for revocation is that
it is not generally necessary that the inventor make statements of this kind to
have the grant of a valid patent. But if he asserts an inventive merit of his
invention and promises a particularly beneficial or useful result, this may
persuade members of the public into believing his claims are valid and act on
the faith of that by, for example, becoming a licensee or by not using the
alleged invention. The point was put thus by Parker J. in Alsop's Patent (1907) 24 RPC 733 at 752-3:
"In considering
the validity of a Patent for a process, it is therefore material to ascertain
precisely what the patentee claims to be the result of the process for which
the Patent has been granted; the real consideration which he gives for the
grant is the disclosure of a process which produces a result, and not the
disclosure of a process which may or may not produce any result at all. If the
patentee claims protection for a process for producing a result, and that
result cannot be produced by the process, in my opinion the consideration
fails. Similarly if the patentee claims for a process producing two results
combined and only one of these results is in fact produced by the process,
there is a partial failure of consideration . . . and such partial failure of
consideration is sufficient to avoid the Patent."
This passage from Parker J.'s judgment was quoted
with approval by the House of Lords in Hatmaker
v Joseph Nathan and Co. Limited (1919) 36 RPC 231 in the speech
of Lord Birkenhead at 237. Lord Birkenhead L.C. summarised the point
succinctly in the following passage, also at 237:
"In other
words, protection is purchased by the promise of results. It does not, and
ought not to, survive the proved failure of the promise to produce the
results."
See also Raleigh
Cycle Company Limited v H. Miller and Company Limited (1948) 65 RPC
141 per Lord Simonds at 149 and Lord Normand at 154.
Alsop's Case is also a useful example of the distinction between a promise of
results and a wrong statement of the purposes for which the results can be
used. Parker J. said at 753:
"Further, there
may be cases in which the result which the patentee claims to have produced can
in fact be produced, but the patentee has gone on to detail the useful purposes
to which such result can be applied, and that in fact the result produced
cannot be applied to one or more of such purposes. In such a case I do not think
the Patent is necessarily void, provided there are purposes for which the
result is useful. If it be avoided it can only be because it contains a
misrepresentation so material that it can be said the Crown has been deceived.
The importance of drawing a distinction between what the patentee claims to
have effected by the invention for which he claims protection, and a statement
of the additional purposes to which the invention can be applied is well
illustrated by the case of Lyon v Goddard
(10 RPC 121 and 334, and 11 RPC 334)."
In Lyon v
Goddard the patentee claimed a disinfecting apparatus enabling the use of
steam subjected to high pressure in an inner chamber, but pointed out that his
apparatus could be used for disinfection by dry heat without steam. The second
method did not differ from that of a previously known apparatus, but the patent
was held nevertheless to be valid.
As Blanco White pointed out at para. 4-405:
"It is not easy
to distinguish between the sort of failure to fulfil a promise of results made
in the specification that will amount to lack of utility and the sort that
merely amounts to a false representation and accordingly will invalidate only
if the patent has been 'obtained' upon it. The distinction has been phrased as
one between a promise of results and a mere wrong statement of the purposes for
which that which is attained can be used; also as one between a promise of
results and a 'mere puff', or between a false representation of the attributes
of the product claimed and an accurate representation as to its attributes
coupled with an expression of an 'oversanguine and erroneous view of its
character'. The drawing of this distinction in particular cases is by no means
easy, unless some result to be attained is set out in the claim; if this is so,
it will normally negative any implication that some different result, set out
in the body of the specification, is to be attained by the invention."
It is only material, as distinct from non-material,
false suggestions or representations that invalidate the patent under s.
100(1)(k): see Raleigh Cycle Company
Limited per Lord MacDermott at 162; Terrell
on The Law of Patents 13th ed., para. 5.48 and Bannon, Australian Patent Law, para. 159.
Although most of the cases involving "false
suggestion or representation" are concerned with statements in the
complete specification there is another class of case where the suggestion is
not found in the specification itself; but is conduct which occurred in the
application for the patent: Kromschroder's
Patent (1960) RPC 75 per Lord Evershed M.R., Pearce and Upjohn
L.JJ. at 83. See also Martin v
Scribal Pty. Limited (1956) RPC 215 per Lord Morton of Henryton
who delivered the opinion of the Privy Council at 224; Patent Concern N.V. v Melotte Sales Company
Limited (1968) RPC 263; Blanco White, para. 4-1001; Ricketson, para.
49.102; Terrell, para. 5.48 and the cases there cited.
Although s. 100(1)(k) uses the words "false
suggestion" I derive no principle from the authorities to support the
proposition that fraud in the sense of deliberate intent to deceive is
necessarily involved. Indeed, quite the contrary, as the cases speak of the
relevant conduct in terms akin to equitable fraud: see, for example, Morgan v Seaward (1837) 2 M and W 544 at
561, 150 E.R. 874 at 880-1; Kromschroder's
Patent per Lord Evershed M.R., Pearce and Upjohn LJJ. at 83-4; Re Parry-Husbands' Application (1965)
RPC 382 per Lloyd-Jacob J. at 386; Terrell, para. 5.48.
The next question that arises is whether the
conduct constituting the false suggestion or representation must be such that
in its absence the patent would not have been granted or, as it was put by
counsel for the respondent in argument: "the false representation must be
material in the sense that without it the patent would not have proceeded to
grant" and that it was not enough to be merely one of a number of inducing
factors.
Blanco White says at para. 4-1002 that the words
"obtained on" if given their natural meaning would produce the result
that the representation "must be one in whose absence the patent would not
have been granted", but the learned author goes on to say:
"one may
suppose that any court would broaden this cover to cover any representation
calculated substantially to influence the Comptroller's decision whether or not
to grant the patent."
The use of the words "obtained on" in
paragraph (k) plainly connote some causal nexus between the conduct
constituting the false suggestion or representation and the grant by the Crown
of the letters patent; but it does not follow in my opinion that the conduct
must be such that in its absence the patent would not have been granted.
I agree in substance with the statement in Blanco
White that conduct "calculated substantially to influence the
(Commissioner's) decision under the Act whether or not to grant the
patent" is the proper test. I would state the test, however, in different
terms, namely, whether the conduct constituting the false suggestion or
representation materially contributed to the Commissioner's decision to grant
the patent even if other circumstances or causes also played a part in the
making of that decision. It is sufficient if the conduct is a material inducing
factor which led to the grant. It goes too far to say that the false suggestion
or representation must be material in the sense that without it the patent
would not have proceeded to grant.
As mentioned earlier, the words "obtained
on" certainly suggest a causal link between the false suggestion or
representation and the grant of the patent; but they do not in my view
necessarily suggest, according to their natural meaning, that without the false
suggestion or representation the patent would not have been granted. I do not
agree with Blanco White's statement to the contrary, a statement which was
adopted by counsel for Prestige.
I summarised earlier the allegations of Prestige as
to Dart's false suggestion or representation. It is not, in my view, asserted
as a representation about the construction of the claims made in the patent.
Dart is not asseting that statements were made as to the true construction of
the claims, but that Prestige made assertions about its invention the subject
of the application for the patent in relation to the prior art, namely, that
the presence of corrugations in the closure was an advance over the prior art
in order to lend resiliency to the construction of the article the subject of
the invention. This seems to me to be a representation of fact and not of law.
In my opinion Prestige should be entitled to
assert, in support of its allegation of false suggestion or representation,
matters of the kind to which paragraph 5(c) and (d) of its pleading are
directed and such allegations should proceed to trial in support of the issue
of invalidity under s. 100 (1) (k) of the Act. As discussion between the
bench and counsel revealed on the hearing of the appeal, there are some
difficulties with these paragraphs of Prestige's pleading as presently framed
and they ought to be patched up.
I agree with the orders proposed by Gummow J.
GUMMOW
J:
Introduction
This is an appeal, by leave, from an order of a
Judge of the Supreme Court of Victoria (King J.) striking out certain
paragraphs in the Further Amended Defence by the appellant
("Prestige") to the Statement of Claim by the respondent ("Dart")
in which it alleges infringement of Australian standard patent No. 462612
("the Patent"). His Honour was exercising powers of the nature
described in General Steel Industries
Inc. v Commissioner for Railways (N.S.W.) 112 CLR
125 at 129-130, and the other well known authorities there
referred to. On the appeal, Prestige submitted that King J. should have held
that there were real questions to be determined upon the paragraphs which were
struck out.
Dart was the registered proprietor of the Patent at
all material times prior to 18 February 1988, the date on which the patent
expired. The application had been lodged on 18 February 1972 and had been
accepted on 12 June 1975. In the proceedings in the Supreme Court of Victoria,
Dart seeks an inquiry as to damages or, at its option, an account of profits
made by Prestige.
Plastic food storage containers have been available
for many years and have generally employed a bowl, cylinder, pitcher or
similarly shaped vessel with a separate closure or lid made of a relatively
flexible material. The invention, the subject of the Patent, concerned
distortable, re-usable, plastic closures or lids for open-mouthed containers
which were quickly and easily operable and which assured a reliable hermetic
seal.
The Complete Specification was entitled
"Three-Part Press Type Seal" and contained six claims defining the
invention. Some claims were for closures and others for combinations of closure
and container. The Patent was granted upon a convention application to which
Part XVI of the Patents Act 1952 ("the
Act") applied. The basic application was made by Dart in the United States
of America on 9 March 1971, which is the Australian priority date: Bannon,
"Australian Patent Law", 1984, S66. Hence, as will appear, the
significance for the Australian Patent of the alleged history of the basic
application in the United States Patent Office, in addition to what transpired
in the course of examination in the Australian Patent Office.
The present proceedings were commenced in the
Supreme Court of Victoria as long ago as 1981. In that same year, Dart also
commenced proceedings in the Supreme Court of Victoria against another party,
Decor Corporation Pty Limited ("Decor") again alleging infringement
of the Patent. In August 1987, this matter went to trial before King J. and
judgment was delivered on 4 February 1988. It is reported (1988) 11 IPR
385. An appeal against the decision of King J. was dismissed by the Full Court
of this Court on 18 November 1988. The decision is reported: Decor Corporation Pty Limited v Dart
Industries Inc. (1988) 13 IPR 385. The Full Court dismissed an appeal
against the decision of King J. that Decor had infringed claims 1, 2 and 5 of
the Patent. The Full Court also dismissed an appeal against the dismissal by
King J. of Decor's cross-claim alleging invalidity of these claims, but nothing
turns upon this for the present proceedings.
The Issues on the Appeal
What is important is the interpretation placed both
by King J. and by the Full Court upon certain terms appearing in the claims
which were held to have been infringed.
As I have indicated, the Patent is for a
"three-part press type seal", that is to say a lid adapted to seal
hermetically an open-mouthed container. Claim 1 is for a lid or closure being a
combination of four integers. Claims 2 and 5 are subsidiary claims to claim 1.
The first of the four integers of claim 1 is expressed as follows (with
emphasis supplied):
"a center main
wall including a biased area radially emanating from a central portion thereof
to a peripheral terminus, said center main wall being adapted for the
application of pressure to the approximate center thereof in such manner that
said biased area tends to collapse upon itself and substantially uniformly
displace said peripheral terminus until said closure is easily positionable in
an open-mouthed container . . ."
In the body of the Complete Specification, when
describing the preferred embodiment, it is said that what is edified as
"the closure member" is composed of a plurality of separate parts
which function together in the operation of the closure, and that these include
"a radially biased, fluted or corrugated center main wall . . ."
(emphasis supplied).
In the earlier litigation in the Full Court,
Sheppard J. held that the term "biased" in claim 1 and in the
relevant subsidiary claims was not to be restricted in its meaning by the
meaning in the preferred embodiment, so as to apply to corrugated, fluted or
similar surfaces which are biased in the sense that they have a pre-disposition
to move in a particular way. Lockhart and Foster JJ. were of the view that the
term "biased" as appearing in claim 1 is not unclear or ambiguous, so
that it neither necessary nor permissible to construe it in the light of the
body of the specification. Their Honours held that the term "biased"
bore the meaning of "oblique or slanting" (per Lockhart J., 13
IPR at 392), "predisposed to move in a particular way when pressure is
applied" (per Sheppard J. at 412) and "conical" (per Foster J.
at 421-422). Their Honours held that the relevant portion of the lid of the
Decor product was "biased" and was not saved from infringement by the
absence of a "fluted or corrugated center main wall", as specified in
the preferred embodiment.
The Prestige product at issue in the present
proceedings is similar to the Decor product which was the subject of the
earlier proceedings. In the present proceedings, Prestige wishes to allege that
during examination of the basic application and the application for the
Australian patent, Dart adopted a narrower construction to that accepted by the
Full Court, namely that "biased" meant "corrugated", and
that this narrower construction was adopted by Dart to satisfy the examiners
that the invention claimed was novel as against certain prior art. Prestige
submits that if the paragraphs which it seeks to plead were made good, they
would have the wholesome result of preventing Dart both approbating and
reprobating, by maintaining one construction in order to obtain a patent grant
and a different construction for the purposes of infringement. Prestige submits
that whilst there is no Australian authority on the point, support for such a
defence is to be found both in British and, particularly, in United States
patent law. The points Prestige seeks to make good emerge in detail from the
material struck out by King J. by the order under appeal.
The Pleadings
In answer to Dart's Statement of Claim, Prestige
pleaded, in para. 5 of the Further Amended Defence, invalidity on various
grounds. This was a course permitted by s. 105 of the Act.
Prestige gave particulars of its objections, which appear to have been framed
to comply with the requirements of s. 117 of the Act. Paragraph (a) of the particulars does not come
into contention on the appeal but it is of some importance to an understanding
of the case. It is there alleged that the complete specification of the Patent
did not comply with s. 40 of the Act, and that, in
particular, (i) the complete specification did not fully describe the invention
or the best method of performing the invention, (ii) it did not end with a
claim defining the invention, and (iii) it contained claims which were not
clear and succinct and were not fairly based on the matter described in the
complete specification.
Paragraph (b) of the particulars contained the
allegation that the Patent was "obtained on a false suggestion or
representation", as provided in para. 100 (1) (k) of the Act as
a ground of revocation. The content of that allegation was supplied by paras.
(c) and (d), which were struck out by the order presently under appeal. They
were in the following terms:
"(c) (Dart), to
obtain the grant of the said Letters Patent, represented that the invention
claimed in the said Letters Patent was an advance over the prior art because of
the requirement of corrugations in order to lend resiliency to the construction
of the article the subject of the invention. This representation is contained
or made, inter alia, in the following:
(i) correspondence between [Dart] and
its patent attorneys and the Commissioner of Patents in relation to the subject
patent application, and replies to Examiner's Reports, including the reply
dated 27 May 1975.
(ii) the body of the complete
specification of the subject Letters Patent.
(iii) Appeal Brief to the Board of
Appeals in the United States Patent Office filed 9 March, 1971 by or
on behalf of [Dart].
(d) The submission
by (Dart) of the complete specification without an express inclusion of
corrugations as an essential integer or feature of the claims, and the failure
of [Dart] to inform the Commissioner of Patents to that effect."
His Honour understood the substance of these
allegations to be that Dart, whilst representing to the relevant authorities
that its invention was limited to a closure with corrugations, should have
pointed out to them that the specification was not so limited. He accepted the
submission that an allegation of obtaining by false suggestion or
representation is incomplete without an allegation that were it not for such
suggestion or representation there would have been no patent grant in the form
in fact taken by the grant. Such an allegation was not made. Upon the appeal,
Prestige submitted that his Honour erred in treating as an essential allegation
the actual effect of the suggestion or representation upon the mind of the
Commissioner, or the examiner, provided the materiality of the suggestion or
representation appears on the face of the record in the Patent Office. Subject to
what I say later upon the question of false suggestion or representation, I
accept that submission.
King J. also ordered that paras. 6 and 7 of the
Further Amended Defence be struck out. The appeal is not pursued against the
order in relation to para. 7. Prestige pleaded in para. 6 that Dart was
estopped from asserting, in the present proceedings, a construction of the
claims in the Patent contrary to that which allegedly had been represented to
the Commissioner of Patents in Australia and to the United States Patent
Office, allegedly in order to obtain the grant of the Patent and the grant of
the United States patent.
Paragraph 6 of the Further Amended Defence was
lengthy, and not all of it was pressed by Prestige upon the appeal. I set out
what is now relied on by Prestige:
"6. (1) [Dart]
in order to obtain the grant of the United States Patent which was the Patent
upon which a Convention Application for the said Letters Patent was based,
through its United States Patent Attorneys in the United States Patent Office
represented to the United States Commissioner of Patents that it was an
essential feature of the invention of the said Letters Patent that the interior
of the closure main wall was corrugated to lend resiliency to its construction
and that the invention was on that account patentable over prior art.
(2) [Dart] in order
to obtain the grant of the said Letters Patent through its Australian Patent
Attorneys represented to the Commissioner of Patents that it was an essential
feature of the invention of the said Letters Patent that the interior of the
closure being the wall of the closure of the main wall was corrugated in order
to lend resiliency to its construction.
PARTICULARS
Particulars of these
representations, made in documents to the Australian and United States Patent
Offices, have been provided.
(3) [Dart] at all
material times knew that the United States Basic Patent and the Australian
Patent were granted on the basis that those representations had been made and
were true, and that the respective Commissioners of Patents belived the claims
of the Patents as granted to reflect the truth of those representations. . . .
(5) [Dart] did not
at any stage seek to correct any of its representations or amendments or to
inform the respective Commissioners of Patents that their beliefs were
incorrect before the grant of the respective Patents.
(6) [Dart] at all
material times knew that the Complete Specification of the said Letters Patent
did not and intended that it would not carry into effect [Dart's]
representations to the Commissioner of Patents. . . . "
King J. referred to the United States doctrine of
"file wrapper estoppel" but held it inapplicable for various reasons:
(i) Provisions of
the Act such as ss. 48 and 52 show that both the examiner and the
Commissioner exercise independent judgment when evaluating applications such
that it is incongruous to suggest they would bend to representations on behalf
of an applicant unless satisfied in their independent judgment. (That may well
be so, but of itself, I would not treat it as a sufficient answer to the case
put by Prestige.)
(ii) Examiners'
reports are not published or open to public inspection, subject to a special
direction under s. 55 of the Act. (On the appeal, Prestige
submitted that whilst his Honour recognised that the law in the United States
may be to the contrary effect, he had failed to consider the impact
upon s. 55 of the Freedom
of Information Act 1982 ("the FOI Act"). It is not necessary
for the purposes of this appeal to resolve that issue concerning the FOI
Act.)
(iii) Prestige had
not pleaded that it had relied upon any representations by Dart to the Patent
Office before the grant of the Patent; accordingly, it had in some way to claim
the benefit of an estoppel good at best only against the Commissioner. (I will
return to this point later in these reasons.)
(iv) No relevant
English or Australian authority upon the point had been brought to his
attention. (In this regard, on the appeal, Prestige conceded a failure in the
Supreme Court to refer to what had been held by Falconer J. in Furr v C.D. Truline (Building Products)
Ltd (1985) FSR 553 at 560-564. On an application for an
interlocutory injunction, his Lordship treated as an admission against interest
by the patentee the steps it had taken before grant to limit the specifications
and claims in a way from which it now sought to escape by pursuing a
"purposive" construction, whereby there was a departure from an
ordinary reading of the text of the claims.)
(v) In any event, there was no ground upon which to take into account the
"file wrapper estoppel" doctrine with regard to the basic
application; the Convention priority date would be relied on in this country at
its face value and the Australian Patent could lose its Convention priority
date only if the United States patent were construed more narrowly than the
Australian Patent so that the Australian Patent lost its priority date, with
consequent lack of novelty; this had not been alleged. (However, as was pointed
out on the appeal by counsel for Prestige, there is authority in the United
States that the file wrapper estoppel doctrine may extend beyond events in the
forum and include representations made to foreign patent offices during the
prosecution there of patent applications on the same invention: Caterpillar Tractor Co. v Berco SpA 714
F 2d 1110 at 1116 (1983). Thus, if the file wrapper estoppel
doctrine, in its various forms, were to be adopted in this country, that could
bring with it, in the present case, the need to look at what had transpired in
the United States Patent Office.)
File Wrapper Estoppel
It is appropriate at this stage to refer to the
position in the United States. The doctrine of file wrapper estoppel, as it is
there understood, has its roots in nineteenth century decisions, and the
doctrine appears to have varied from time to time with no universal agreement
as to the fundamental principles from which it derives its life. The position
as understood in recent times is discussed in Lipscomb's "Walker on
Patents", 3rd Ed., 1987, S21:10, and in the article by Carole Barrett,
"The Applicability of the Doctrine of File Wrapper Estoppel To Prevent
Recapture of Abandoned Patent Claims", (1980) 54 St. John's Law Review
767. The practice of the Patent Office involves the storage in a jacket, known
as a file wrapper, of the original patent application, amendments during
prosecutions of the application, and documents submitted by the applicant and
his patent attorney: Autogiro Company of
America v The United States 384 F 2d 391 at 398-399 (1967).
The file is open to the public, on payment of a fee, after the patent has been
issued: Title 37, Code of Federal Regulations, Patents, Trade Marks and
Copyrights, Ch. 1, Part 1, S1.11, S1.14.
A number of decisions apply the doctrine to prevent
the patentee, in an infringement suit where there is not "literal"
infringement, from "expanding" the scope of the claims by reliance
upon the doctrine of "equivalents", if the elements it is sought to
include in the monopoly in this way were abandoned during the prosecution of
the application in the Patent Office.
While the doctrine of equivalents allows the
patentee to go beyond what might be called literal or textual interpretation of
the claims, the estoppel doctrine places a limit upon the scope permitted the
patentee. Learned Hand J. explained the matter as follows in Keith v Charles E. Hires Co., Inc. 116
F 2d 46 at 48 (1940):
"The 'estoppel'
is itself important only as a bar to any resort to the doctrine of equivalents.
Without that doctrine every claim is indeed entitled to be interpreted in the
light of the specifications as a whole, and not to be read merely with a
dictionary. But often even with the most sympathetic interpretation the claim
cannot be made to cover an infringement which in fact steals the very heart of
the invention; no matter how auspiciously construed, the language forbids. It
is then that the doctrine of equivalents intervenes to disregard the theory
that the claim measures the monopoly and ignores the claim in order to protect
the real invention. . . . The 'estoppel' of the file-wrapper puts an end to the
court's power to do this; the applicant has abandoned his privilege to resort
to an equivalent of the differentia, which all infringements must therefore
embody. He may still insist that his claim shall be generously interpreted, but
his monopoly stops where interpretation stops."
Recent applications of these principles include Coleco Industries, Inc. v United States
International Trade Commission 573 F 2d 1247
at 1253-1254 (1978); Nationwide
Chemical Corporation v Wright 584 F 2d 714
at 715-719 (1978); Johnson and
Johnson v W.L. Gore and Associates, Inc. 436 F Supp
704 at 730-731 (1977); Hughes
Aircraft Company v The United States 717 F 2d 1351
at 1360-1363 (1983), and Caddock
v Hy-Meg Corporation 668 F Supp 1179 at 1181 (1987).
What then is the content of the doctrine of
equivalents and is it capable of expression in terms ordinarily used in the
patent law of this country? The doctrine has a long history, dating at least
from the decision of the Supreme Court in 1853 in Winans v Denmead 15 How. 330; 55-56 US 545. The doctrine is
well entrenched but, as Learned Hand J. pointed out in Claude Neon Lights, Inc. v E. Machlett and Son 36 F 2d 574
at 575 (1929), it violates the theory that it is the claim alone
which measures the monopoly. Indeed, Winans
v Denmead antedated the modern use of claims, carefully drawn and distinct
from the body of the specification, for the specific purpose of defining the
ambit of the monopoly: see British United
Shoe Machinery Company Ld. v A. Fussell and Sons Ld. (1908) 25 RPC
631 at 649-651 per Fletcher Moulton L.J.; Tate v Haskins (1935) 53 CLR 594 at 606-610; Blanco
White, "Patents for Inventions", 4th Ed., 1974, S1-305.
In Graver
Tank and Mfg. Co., Inc. v Linde Air Products Co. 339 US
605 at 608 (1950), the Supreme Court approved the earlier
formulation in Machine Company v
Murphy 97 US 120 at 125 (1877) that if two devices
perform "substantially the same function in substantially the same way to
obtain the same result", the doctrine of equivalents may be invoked so as
to "temper unsparing logic and prevent an infringer from stealing the
benefit of the invention" (the latter quotation is from the judgment of
Learned Hand J. in Royal Typewriter Co. v
Remington Rand, Inc. 168 F 2d 691 at 692 (1948)). One may
note that in the same year, 1877, Lord Cairns L.C. had introduced the term
"pith and marrow" into English law: Clark v Adie (1877) 2 App Cas 315 at 320. Learned
Hand J. described the doctrine of equivalents as "altogether
anomalous" and as "a kind of cy-pres
doctrine" in aid of justice to the patentee, whereby the court will
disregard the language in which the claims are couched: Lyon v Boh 1 F 2d 48 at 50 (1924). Lord Reid later
spoke in not dissimilar terms when dealing with textual infringement and
contrasting the "pith and marrow" doctrine in English patent law: C. Van der Lely NV v Bamfords Limited (1963)
RPC 61 at 75. See also what was said by Menzies J. in Commonwealth Industrial Gases Limited v
M.W.A. Holdings Pty Limited (1970) 44 ALJR 385 at 388.
From the United States authorities it is apparent
that the doctrine of equivalents may embrace concepts, some (admittedly
imperfect) analogies to which are found in our law. I refer to the distinction
drawn in infringement suits between "essential" and
"inessential" integers in claims for a combination, to the "pith
and marrow" doctrine, to the substitution of "inessential
integers" by "mechanical equivalents", and to the more recent
notion of "purposive" construction. It should be said that the notion
of "purposive" construction, championed by Lord Diplock in Catnic Components Limited v Hill and Smith
Limited (1982) RPC 183 at 243, has had an uneven
reception in this Court; see the discussion of the authorities in Rehm Pty Ltd v Websters Security Systems
(International) Pty Ltd (1988) 81 ALR 79 at 91-92, and
see also Nicaro Holdings Pty Ltd v Martin
Engineering Co. (1990) 91 ALR 513 at 527-529.
In the leading United States text, it is said that:
"The doctrine
of equivalents is to give the inventor an opportunity to secure a just reward
for his invention - an opportunity which he would otherwise be denied because
of the failure of the language of his claim to include devices which were in
fact the same as his own in function, means, and result. The degree of
protection afforded beyond the language of the claims will vary directly with
the value of the inventor's contribution to the art. As the principle is
commonly put, the inventor is entitled to a range of equivalents commensurate
with the scope of his invention: broad if his invention is broad; narrow if his
advance is a small one in a crowded field." ("Walker on
Patents", supra, S22:34.)
The reference to the importance attached to the
value of the invention in applying the doctrine of equivalents, is well
supported by authority such as Autogiro
Company of America v The United States, supra
at 400. This is an indication of the caution necessary in treating the possible
analogies in Australian law as being of an immediate significance. The emphasis
in our law is on the principles of construction applicable generally to patent
claims. Further, as counsel for Dart rightly emphasised, the concept of
mechanical equivalents, as understood in our law, is applicable not to all
integers in patent claims, but only to what have been construed to be
"inessential integers"; the doctrine of equivalents does not appear
to be so limited.
In Graver
Tank and Mfg. Co., Inc. v Linde Air Products Co., supra at 608-609, the Supreme Court said that the "wholesome
realism" of the doctrine of equivalents was not always applied in favour
of the patentee; sometimes it worked against him and thus "in
reverse". The Court continued:
"Thus,
where a device is so far changed in principle from a patented article that it
performs the same or a similar function in a substantially different way, but
nevertheless falls within the literal words of the claim, the doctrine of
equivalents may be used to restrict the claim and defeat the patentee's action
for infringement."
See also Kalman
v Kimberly-Clark Corporation 713 F 2d 760 (1983); SRI International v Matsushita Electric Corporation of America 775
F 2d 1107 (1985); Loctite Corporation v
Ultraseal Ltd 228 USPQ 90 at 95 (1985). The issue presented in this way in
the United States would be resolved in this country not by denying the evident
textual infringement, but rather by an attack under s. 40 of
the Act on the validity of the claim itself. A claim whose subject
matter is wider than what is new and not obvious or wider than that which is
useful in the sense of giving the result aimed at by the inventor, is clearly
invalid: Blanco White, "Patents for Inventions", supra at S2-301. Such a claim may be stigmatised as not being
fairly based on the matter described in the specification, within the sense
of s. 40 of the Act: Olin
Corporation v Super Cartridge Co. Pty Ltd (1977) 51 ALJR
525 at 532. Thus, the so-called "reverse doctrine of
equivalents" has no role to play in the law of this country.
There has been a development in the United States
authorities as to what material in the conduct of the application in the Patent
Office may found the estoppel. One view was that the Court was concerned only
with claims which had been amended or abandoned to meet objections based on the
prior art, and that statements made by the parties during prosecution of the
application were extrinsic to the record. That for a long time was the position
of the Court of Appeals for the Second Circuit, under the sway of Learned Hand
J. who said that from "threading one's way through all the verbal
ingenuities which casuistical solicitors develop to circumvent the objections
of examiners, a labyrinth results, from which there is no escape": Catalin Corporation of America v Catalazuli
Mfg Co., Inc. 79 F 2d 593 at 594 (1935); see also A.G. Spalding and Bros. v John Wanamaker 256
F 530 at 533-534 (1919).
That view is one which no longer holds. Even in the
Second Circuit, regard is paid to such materials to elicit any "estoppels
by admissions" on behalf of the patentee: Capri Jewelry Incorporated v Hattie Carnegie Jewelry Enterprises, Ltd 539
F 2d 846 (1976). See also Quikey
Manufacturing Co., Inc. v City Products Corporation 409 F 2d 876 (6th
Cir.) (1969); Coleco Industries, Inc. v
United States International Trade Commission, supra at 1257; Hughes
Aircraft Company v The United States, supra
at 1362. In the present proceedings, the terms in which the estoppel is pleaded
by Prestige suggest that what is involved is an alleged estoppel by admissions
rather than the "classic" file wrapper estoppel arising simply from
the text of the claims as they were varied during prosecution. But that
circumstance does not require any qualification of the views expressed above,
both species of estoppel being linked in the same way to the doctrine of
equivalents.
Further, there is a body of United States authority
in which the patentee is estopped from reasserting a claim, or its equivalent,
which during prosecution had been amended or abandoned to avoid rejections
founded other than in prior art. What in this country would be treated as
amendments to meet objections that claims were not clear and succinct and did
not define the invention (in the sense of s. 40 of the Act)
may found so-called "non-art estoppel". The divergence between the
different Circuits of the Court of Appeals as to the existence of a doctrine of
"non-art estoppel" is discussed in Carole Barrett's article, supra,
under the heading "Non-Art Estoppel".
But even in its various extensions, the authorities
show that the doctrine still retains its basic character as a check upon
reliance by patentees upon the doctrine of equivalents where the defendant
escapes so-called literal or textual infringement.
The primary proposition is that the doctrine of
equivalents "comes into play only when actual literal infringement is not
present": Hughes Aircraft Company v
The United States, supra at 1361.
The point of immediate importance is that if the principle is that a patentee
may not rely upon the doctrine of equivalents (or its possible Australian
analogues) where his conduct has given rise to a file wrapper estoppel, there
would be no ground for the application of the estoppel in the present case. In
the previous appeal to this Court, the patentee, Dart, successfully resisted
the submission of the infringer, Decor, that the relevant claims be narrowed by
reference to the description of the preferred embodiment. It was Decor which,
in effect, sought a result that would have followed if the claims had been
narrowed by inclusion of corrugations as an essential integer. The patentee was
content to rest on the ordinary reading of the claims as they stood. This was
therefore not a case of the character described in the United States
authorities I have discussed. There, the patentee seeks to broaden the claims
by going beyond the literal or textual meaning with use of the doctrine of
equivalents and the alleged infringer seeks to confine the patentee to the
"unsparing logic" of the language of the claims. The estoppel
doctrine operates as a counter-balance to pin back the patentee to what has
been claimed on a proper reading of the claims.
It may be noted that the English decision to which
we were referred, Furr v C.D. Truline
(Building Products) Ltd, supra,
involved a patentee who relied upon a "purposive" construction to
broaden the literal meaning of the claims, against whom the defendant relied
upon what in the United States would have been called file wrapper estoppel. As
I have indicated, the present case stands in contrast to such cases.
It follows that Prestige could not succeed with its
attempt to rely on the United States doctrine even if it were to be adopted
here and that the relevant paragraphs of its pleading were properly struck out.
Thus, it is not necessary to reach a decision as to
the existence of any file wrapper estoppel doctrine in Australian patent law. I
am conscious that this is an appeal not from a trial, but from a strike out
application. Nevertheless, in response to the full argument, I should express
my provisional views. First, as I have indicated, what might be thought to
provide the occasion for the existence of the doctrine in the United States,
namely the interpretation of specifications in accordance with the doctrine of
equivalents, has no immediate counterpart in the Australian decisions.
Further, there appear to be significant problems in
anchoring the United States estoppel doctrine in any body of fundamental
principle of general application in this country. The patent specification is
much more than a document setting down a commercial bargain. It is not "a
written instrument operating inter partes,
but a public instrument": Welch
Perrin and Company Proprietary Limited v Worrel (1961) 106 CLR
588 at 610. Provision for it is made in legislation permitting a
special monopoly, and the English predecessor to the present standard patent,
the issue of which is provided for in Part VI of the Act, was Letters
Patent issued by the Crown. The granting of the modern standard patent is an
activity not contractual but quasi-legislative in character. Hence, one should
have thought that the restrictions which apply to the admission of negotiations
prior to contract as aids to construction (as to which see Codelfa Construction Proprietary Limited v
State Rail Authority of New South Wales (1982) 149 CLR
337 at 352-353 per Mason J.) would apply a fortiori to dealings and procedures preceding the grant of patent
protection. Learned Hand J. was well aware of the difficulty, saying in Lyon v Boh (supra at 50-51):
"Ordinarily the
final writing, which incorporates a solemn agreement, is taken by the courts as
the parties want it taken; that is, it is the sole resort for ascertaining
their intentions, for the excellent reason that the parties meant it to be
such. All prior negotiations are disregarded, since otherwise the chief purpose
of reducing the contract to writing would be frustrated. However, there is the
exception, well settled and very recently confirmed by the Supreme Court (Weber Electric Co. v Freeman Electric Co. 256
US 668), that, if a patentee submits to the rejection of a claim while his
application is in the Patent Office, he may not later insist that other claims
which he does get are to be regarded as equivalent to that which was
rejected."
His Honour also there described "file wrapper
estoppel" and the doctrine of equivalents as "equally anomalous, judged
by other legal analogies"; cf. Autogiro Company of America v The United
States, supra at 398-401.
Then it has been said in the United States that the
patentee is confined in the interpretation he later seeks to place upon the
claims by reason of the admissions made against his interest in the proceedings
in the Patent Office; e.g. The Duplan
Corporation v Deering Milliken, Inc. 379 F Supp 388 at 393 (1974).
The meaning of the claims must be a matter of law or at least of mixed fact and
law. The view of the United States Court of Appeals, Federal Circuit, is that
"Claim construction is a question of law . . .": Howes v Medical Components, Inc. 814 F 2d 638
at 643 (1987). Whilst it may be that admissions are receivable to
prove such matters, they must be generally of little weight, being founded on
opinion, unless they amount to estoppels; see "Phipson on Evidence",
13th Ed., 1982, S19-19. A statement which amounts to a representation may in an
appropriate case found an estoppel affecting legal rights. But, whilst it is
immaterial whether an admission be made to the other party to the cause or to a
third party, it would usually be required of a representation founding an
estoppel that it has been directed to the other party in the cause or to his
privy or at least that the other party has relied upon it: "Wigmore on
Evidence", Chadbourn Revision, Vol. IV, S1057.
Counsel for Prestige sought to meet this difficulty
by adopting the term "public estoppel" to describe the position of
the grantee of a monopoly right issued by a public authority upon
representations by the future grantee; it was said to be sufficient that the
public authority had acted upon the representations. An argument of this nature
was noted but not passed upon by the Privy Council in Interlego AG v Tyco Industries Inc. (1988) RPC
343 at 364. The fate of such an argument thus still awaits judicial
decision.
As I have indicated, in my view there appear to be
significant difficulties in founding "file wrapper estoppel" in
either the law of evidence as to admissions or in the law as to estoppel by
representation as they are presently understood in this country. But I would
not regard the issue of the role of "file wrapper estoppel" in this
country as other than still open for decision.
There was a further submission upon the more recent
United States authorities to which I should refer. We were taken to the
statement in Glaros v H.H. Robertson
Company 615 F Supp 186 at 192 (1985):
"File wrapper
estoppel is only applicable where infringement is found under the doctrine of
equivalents . . . Accordingly, it is not a defense to literal infringement...
Nonetheless the file wrapper, or prosecution history is properly considered in evaluating
the scope of (a claim) for the purposes of determining literal
infringement..."
In McGill
Incorporated v John Zink Company 736 F 2d 666 at 673 (1984),
the Court of Appeals, Federal Circuit, said "Prosecution history may be
used not only in an estoppel context but also as a claim construction
tool". See also Howes v Medical
Components, Inc., supra at
643-645; Loctite Corporation v Ultraseal
Ltd, supra at 93; Moleculon Research Corporation v CBS, Inc. 793
F 2d 1261 at 1270 (1986). As the last of these cases emphasises, the
present United States legislation itself indicates that the file wrapper, along
with the specification and the drawings, is to be considered when interpreting
claims. There is no such legislative encouragement here, subject to the comparatively
limited scope of s. 157A of the Act, to which I will
return.
As something of a fall-back position, counsel for
Prestige sought to rely on these authorities as showing that the
"prosecution history" of the Patent might be an aid to construction
of claim 1, even on the assumption that the case was one of textual
infringement, with which the estoppel doctrine was not concerned. But counsel
for Dart responded (correctly in my view) that to accept that submission would
be to run counter to the scheme of the Act as well understood in many
decisions including those of the High Court. Section 40 of
the Act requires a full description of the invention and claims which
are clear and succinct and fairly based on the matter described in the
specification. Whilst it is well settled that the complete specification must
be read in the light of common knowledge in the art before the priority date,
the patentee must stand or fall upon the specification and the claims. It is
not for a third party, wishing to know the ambit of the monopoly, to be put to
enquiry as to the carriage of the application before the specification took its
final form. The authorities in this country have eschewed recourse to extrinsic
materials of this kind, and it is not even permissible to resort as of course
to the body of the specification to vary or qualify the meaning of terms in the
claims: Welch Perrin and Company
Proprietary Limited v Worrel, supra
at 610; Interlego AG v Toltoys
Proprietary Limited (1973) 130 CLR 461 at 479. These principles
were applied in this Court in the earlier litigation concerning the Patent,
which is presently further in suit. Where the complete specification has been
amended before grant, the Court may construe it in its final form by referring
to the specification without the amendments, but that is the consequence of
specific provision in s. 157A of the Act: Rehm Pty Ltd v Websters Security Systems
(International) Pty Ltd, supra at
89-90.
I turn now to consider the other way in which
Prestige seeks to have its defence go to trial.
"Obtained On A False Suggestion Or
Representation"
The principal method in England of recall of grants
not regularly made was by writ of scire
facias. The grounds on which this remedy was available was formerly
enshrined in s. 86 of the Patents Act 1903, which stated that no proceeding by way of scire facias might be taken to repeal a
patent but that every ground on which at common law a patent might be repealed
by scire facias was available as a
ground for a petition for revocation. (The English law was to similar effect
until s. 32 of the Patents Act 1949 (U.K.).)
A provision of that character offered scope for judicial development to meet
new circumstances, as Lord Reid pointed out in American Cyanamid Company (Dann's) Patent (1971) RPC
425 at 435-436. But no such saving provision was included in the
present Act nor in the 1949 British statute. The narrower question which
the Act does pose is whether, if (as one must assume on this type of
application) Prestige could make out the facts alleged in paras. (c) and (d) of
the particulars appended to para. 5 of the Further Amended Defence, it would
follow that the Patent should be revoked because it had been obtained on a
false suggestion or representation. To this submission I now turn.
As amended by s. 3 of the Patents and Designs Act 1932 (U.K.), para. 25 (2) (k) of the Patents and Designs Act 1907 (U.K.)
provided that a patent might be revoked upon the ground that the patent
"was obtained on a false suggestion or representation". This marked
the introduction in express terms of that concept into the statutory patent
law. However, s. 25 also provided for revocation "upon any other ground
upon which a patent might, immediately before the first day of January one thousand
eight hundred and eighty-four, have been repealed by scire facias . . .". This suggested that obtaining on a false
suggestion or representation was seen by the legislature as a ground upon which
a patent might have been repealed by
scire facias; see Martin v Scribal
Proprietary Limited (1954) 92 CLR 17
at 63, 67-68; (1956) 95 CLR 213 at 220-222.
In truth, the expression "false
suggestion" has a long history in relation to the repeal of patents. For
example, in the United States statute of 1793, it was provided in s. 10 that a
patent might be repealed by the federal courts if it was established that it
had been "obtained surreptitiously, or upon false suggestion". In
order to appreciate the circumstances that provide a link between the United
States statute of 1793 and the British statute of 1932, it is necessary to look
first to the nature of letters patent.
Letters patent are one of the means by which the
wishes and commands of the Crown in executive matters are made known to the
public at large, or to the individuals particularly concerned. They were the
means by which grants were made by the Crown in a form not sealed up, but
exposed to open view, with the Great Seal displayed, and usually addressed to
all subjects. They are still in use in Great Britain for ratifying treaties
with foreign powers, for conferring titles or dignities, and for creating and
conferring certain offices: "Halsbury's Laws of England", 4th Ed.,
Vol. 8, p 677. In this country, letters patent are still in use for
appointments to various offices such as that of Judge of a superior court, and
as Royal Commissioner. In former times, letters patent also were employed for
the grant by the Crown of franchises to hold markets, to maintain ferries and
to exact tolls, such franchises being classified as incorporeal hereditaments;
see Spook Erection Ltd v Secretary of
State for the Environment (1988) 2 All ER 667 at 668-669.
Letters patent were also used for the grant of monopolies in respect of
inventions for new manners of manufacture, as permitted after the Statute of Monopolies of 1623.
Legislative changes, commencing with the Patent
Law Amendment Act 1852 (15 and 16 Vict., c. 83) (U.K.) has meant that
patents for inventions are no longer issued under the Great Seal.
It is necessary next to consider the use of the
writ of scire facias in relation to
the repeal of grants made by letters patent. The writ received its final
quietus in Britain in the First Schedule to the Crown Proceedings Act 1947. Scire
facias was a writ founded on some record, such as letters patent, requiring
the person to whom the writ was addressed to show cause why the record should
not be annulled. It was issued, with the grant of the Attorney-General's fiat,
out of Chancery on its common law side, but cases were determined by a jury in
the Court of King's Bench; see the learned argument of counsel in United States v American Bell Telephone
Company 128 US 315 at 336-338 (1888) (Bell I), the footnote to R. v Arkwright (1785) 1 WPC 64, and
Hindmarch, "A Treatise On The Law Relating To Patent Privileges For The
Sole Use of Inventions", 1846, Chapter 10, Section 6. The practice was to
entrust the prosecution of the scire
facias to a private prosecutor who was required to give a bond to pay to
the patentee, if the prosecution failed, full costs and expenses taxed as
between solicitor and client. Thus, subject to the provision of the
Attorney-General's fiat, a remedy which was public in form was placed in
private hands. Further, subject to the provision of security for costs, and to
the obtaining of the fiat, any person might, on behalf of the public, proceed
by scire facias to repeal a patent.
This liberal view of standing is reflected in the terms of s. 99 of the present
Act, which provides that the Minister "or any other person" may
present a petition for revocation.
The grounds upon which scire facias lay was said by Sir Edward Coke in the Fourth Part of
his "Institutes of the Laws of England", S88, 1797, to be,
"The first,
when the king by his letters patents doth grant by several letters patent one
and the self same thing to several persons, the former patentee shall have a scire
facias to repeal the second patent. Secondly, when the king granteth any thing
that is grantable upon a false suggestion (emphasis supplied), the king by his
prerogative jure regio may have a scire facias to repeal his own grant.
Thirdly, when the king doth grant any thing, which by law he cannot grant, he
jure regio (for advancement of justice and right) may have a scire facias to
repeal his own letters patents."
That statement of the position was repeated in
similar terms in s. III of Chapter XII of Chitty's "A Treatise on the Law
of the Prerogatives of the Crown", 1820.
The earlier cases are concerned with the use of the
writ in respect of letters patent other than those for inventions. The issue of
validity in such cases usually was tried by way of defence to an action for
infringement. If the patentee sought an injunction in Chancery, an issue as to
validity of the grant would be referred to a jury trial in a common law court.
An example to which we were referred in argument is Morgan v Seaward (1837) 2 Hayward's Patent Cases 670; (1835-7) 1
WPC 167. The patent in suit was for improvements in steam engines and in
machinery for propelling vessels by paddle wheels. In the Court of Exchequer, a
rule nisi to enter judgment for the plaintiff (the patentee), non obstante veredicto, on the issue
whether the invention was not an improvement upon the prior art, was
discharged. The Court in banc held
that the Crown had been "deceived in its grant" and that the grant
had been made upon "a false suggestion" because the patent related to
both new and old subject matter. Whilst the patent would be bad in part because
of lack of novelty, the whole of it failed because of the application of the
wider principle referred to.
This was a decision in an age before claims were
used as we understand them and before the introduction of a system of
investigation before grant. A contemporary account is to be found in Hindmarch,
supra at 377-378, where it is said (omitting footnotes):
"Crown grants
are indeed almost always obtained by means of representations made by, or on
the behalf of the grantees, and as the sovereign is so much occupied with the
affairs of the state, it would be impossible always to ascertain with certainty
whether the representations of a petition for a grant by patent were true or
not. The law, therefore, takes especial care to protect the Crown against false
petitions and representations. It is accordingly laid down that it is the duty
of every one obtaining a grant from the Queen, to see that she is correctly
informed respecting the grant. And if it appears that the Queen has been
deceived in any material particular, by a false representation or suggestion of
the grantee, the patent will be wholly void. And when facts are recited in a
patent respecting the subject-matter of the grant, it will be presumed that the
statements contained in the recital were represented or suggested to the Queen
by the patentee.
The material
particulars respecting an alleged invention for which a party seeks to obtain a
patent, must, as has already been observed, be stated in the petition for the
patent. The petition must therefore state, that the petitioner is the inventor
or importer of the invention, and that the invention possesses the qualities of
novelty, utility, andc., so as to be the proper subject of a grant by patent.
The substance of the petition for a patent is always recited in the patent
itself, and therefore the patent itself shows upon what representations of the
patentee it has been granted; and if the patentee has represented any thing
which was untrue in any material particular, or has induced the Crown to make
an illegal grant, the patent is entirely void."
But it is of importance in understanding the
content of the present para. 100 (1) (k) that there might be a "false
suggestion" and the Crown might have been "deceived" under the
old law without the suggestion of any sharp practice by the patentee. Morgan v Seaward, supra illustrates the point, and reference is made by Lockhart J.
in his reasons for judgment to more recent authorities. The "fraud"
involved is more akin to equitable fraud than to deceit as understood today in
the law of torts. Nor, as also is illustrated by the extract from Hindmarch,
was there any refined analysis of the necessary causal connection between the
false suggestion and the making of the patent grant.
Beginning, it seems, in 1785, with R. v Arkwright, supra, (where the inventor Sir Richard Arkwright was unsuccessful
at a trial in the Court of King's Bench before Buller J. and a special jury in
proceedings instituted against him for alleged technical defects in his second
patent) a practice grew up whereby, even if there was no suit for infringement
on foot, proceedings might be instituted by scire
facias. The practice had fallen into disuse by 1855, but in the meantime it
had been used on some twenty reported occasions. The references to the
authorities are collected in Bell I, supra at 338-339. The proceeding by scire facias to repeal a patent for an
invention was abolished by s. 26 of the Patents,
Designs, and Trade Marks Act 1883 (46 and 47 Vict., c. 57) and instead it
was provided that revocation might be obtained on a petition. This marked the
introduction of the modern revocation suit. As I have indicated, in Britain scire facias lingered until 1947 as a
procedure for use in other classes of case.
The United States patent system commenced in 1790
and it adopted concepts drawn from the English law. That the system was so
understood at the time is apparent from the discussion by Chancellor Kent in
his "Commentaries on American Law", Vol. 2, Lecture XXXVI, s. III,
1827, where he refers in detail to various English decisions. The procedure for
revocation for patents obtained surreptitiously or upon false suggestion, provided
in s. 10 of the 1793 statute, was repealed, along with the rest of that
statute, in 1836. Whilst provision then was made for examination in the United
States Patent Office before grant, something never before seen in either the
British or American system, provision was not made in the new system for
revocation suits.
However, scire
facias, and its analogues in the United States, had not been the only
procedure whereby letters patent were revoked. Chancery itself had jurisdiction
to do so upon a bill attracting the equitable jurisdiction in fraud, the fraud
attending the making of the grant. It was held by North L.K. in Attorney-General v Vernon, Brown, and Boheme (1684)
1 Vern. 277; 23 ER 468 that a bill properly lay for the revocation in
Chancery of letters patent for the grant of certain incorporeal hereditaments,
the grant being allegedly obtained "by surprise, and by false
particulars". The Supreme Court of the United States relied strongly upon
this and other authorities to like effect in holding that the government might
invoke the equitable jurisdiction of the federal courts to cancel grants bad
for fraud in their procurement: Bell I,
supra; United States v American Bell Telephone Company 167 US 224
(1897) (Bell II). But the use of
scire facias as a relator action was
not carried over into the United States equitable jurisdiction. The position
was taken that the right to be vindicated was that of the United States alone
and that the contrary view would expose the patentee to harassment in
successive suits by competitors.
In his dissenting judgment in United States v Glaxo Group Ltd 410 US
52 at 65-66 (1973), Rehnquist J. (with acknowledgment of the
article by Cullen and Vickers, "Fraud In the Procurement of a Patent"
29 Geo Wash L Rev 110 (1960)), dealt with the evolution of the United States
law, saying:
"In the Patent
Act of 1790, Congress provided that private citizens could, upon motion
alleging fraudulent procurement, prompt a district court to issue to a patentee
an order to show cause why his letters patent should not be repealed (1 Stat
109). A substantially identical provision was carried over in the Patent Act of
1793 (1 Stat 318). But the Patent Act of 1836 contained no provision for such
individual actions although it increased the number of statutory defenses in
infringement actions (5 Stat. 117). The effect of this omission was determined
by Mowry v. Whitney, 14 Wall 434 (1872), to be the preclusion of private
actions to cancel patents, even when fraudulently procured.
As part of the
rationale in Mowry, the Court reasoned that the equitable suit for cancellation
of a patent because it was fraudulently procured was a substitute for the writ
of scire facias and, accordingly, it should have the same limitations. In
dictum, the Court stated: 'The fraud, if one exists, has been practiced on the
government, and as the party injured, it is the appropriate party to assert the
remedy or seek relief.' Id., at 441. When the United States later sued to set
aside two patents issued to Alexander Graham Bell subsequent to several
purported acts of fraud by him on the Patent Office, this Court relied heavily
on the dictum in Mowry, supra, in recognizing the right of the Federal
Government to sue for the cancellation of letters patent obtained by fraud:
'That the government, authorized both by
the Constitution and the statutes to bring suits at law and in
equity, should find it to be its duty to correct this evil, to recall these
patents, to get a remedy for this fraud, is so clear that it needs no argument
. . .' United States v. Bell Telephone Co., 128
US 315, 370 (1888) (Bell I)"
The majority in the Glaxo Group Case, supra,
decided that where the government presents a substantial case in antitrust
litigation, it may challenge validity of patents held by the defendant,
regardless of whether the defendant relies upon them in defending the action.
But in private litigation, it is necessary for a defendant to set up invalidity
as a defence, without the concomitant revocation suit by way of cross-claim, as
well known in this country: "Walker on Patents", supra, S8:12. Hence, the development as a defence in infringement
suits of the so-called doctrine of fraud on the Patent Office in patent
procurement, which is based in equitable concepts concerning unclean hands.
Inequitable conduct is said to occur when a patent applicant with a requisite
mental state fails to disclose prior art or pertinent information material to
the patent application; see Witt, "Inequitable Conduct and the Duty of
Disclosure in Patent Procurement", (1986) Brigham Young University Law
Review 149.
The content of the term "fraud" in
connection with patent revocation under the old law requires attention. I have
said that sharp practice was not necessary and "fraud" was used to
cover cases of accident and mistake: Bell
II, supra at 240-241. Reference
also was made in the authorities in equity to the use by Sir Edward Coke of the
term "false suggestion" and it was plain that the equitable
jurisdiction was perceived certainly as no narrower than that involved with scire facias: Bell I, supra at 368-369.
What follows from this review of the long history
of the concept of "false suggestion"? First, the inclusion in the present Act of a number of grounds of
invalidity, including non-compliance with s. 40 (para. 100 (1)
(c)), inutility (para. 100 (1) (h)), prior claiming (para. 100 (1) (f)) and
lack of title in the applicant (para. 100 (1) (a)), may well leave para. 100
(1) (k) with much less work to do than was performed by the principles dealing
with false suggestion in the past; that view is spelled out by Mr Blanco White
in his work, supra at S4-703-S4-704 (5th Ed., S4-1002, S4.1003). Secondly, that does not mean that
circumstances may not still arise where the paragraph does have work to do. Thirdly, I accept that learned author's
proposition in those passages that the words "obtained on" convey the
notion that the representation was material that the Crown was deceived in its
grant, in the sense of the older authorities, but I would not accept that the
patent will be bad only if it can be shown on the facts that no grant would
have been made "but for" the false suggestion. I agree with Lockhart
J. that it would be sufficient that this was a material inducing factor which
led to the grant; much will depend upon the particular facts of the case. Fourthly, on an application of the kind,
the subject of this appeal, I would not strike out as so clearly untenable that
they could not possibly succeed, allegations as made in paras. (c) and (d) of
the particulars in aid of the reliance upon para. (b) upon para. 100 (1) (k) of
the Act.
It would be a most unusual case where the alleged
false suggestion or representation was relied upon as having been made only in
the specification, yet reliance was placed upon para. 100 (1) (k), rather than
a ground of failure to observe the various requirements of s. 40. But
the present is not such a case. Reliance is placed upon s. 40. The
false suggestion or representation is said to have been made inter alia in correspondence with the
Commissioner of Patents, in particular in a reply dated 27 May 1975 to an
examiner's report. It is also said to have been made in an appeal brief filed
by or on behalf of Dart with the United States Patent Office on 9 March 1971,
apparently in relation to the basic application.
In a proceeding of the present character I would
not exclude consideration of the United States material from the issues at the
trial. There is an argument open that the Australian Patent was relevantly
"obtained on" the suggestion or representation in that material.
The content of the alleged representation is that
the invention claimed was an advance over the prior art by reason of the
requirement of corrugations to lend resiliency to the article in question; the
element of falsity is the failure to include corrugations as an essential
integer of the claims to the complete specification and the failure to inform
the Commissioner that in so doing Dart was resiling from the advance asserted
over the prior art.
I would allow allegations to that effect to go to
trial as raising an issue of invalidity under para. 100 (1) (k). It is not
appropriate to express any view as to the appropriateness in such a case of an
amendment under s. 86. The term of the Patent in suit has expired and
the issue is one only of pecuniary remedy for past conduct.
Conclusions
The relevant parts of the order of the Supreme
Court against which the appeal is brought are:
"1.
Sub-paragraphs 5 (c) and (d) and paragraphs 6 and 7 of the Defendant's Further
Amended Defence filed on 27 June 1989 are struck out.
2. Further and
Better Particulars are given of sub-paragraph 5 (b) of the Defendant's Further
Amended Defence."
The Supreme Court also ordered (order 4) that
Prestige pay Dart's costs.
By its Notice of Appeal, Prestige sought the
following orders:
"1. That the
order of Mr Justice King of the Supreme Court of Victoria that paragraphs 6, 7,
5 (c) and 5 (d) of the Defendant's Further Amended Defence dated 27 June 1989
be struck out be set aside.
2. That the order of
Mr Justice King of the Supreme Court of Victoria that further particulars be
given of sub-paragraph 5 (b) of the Defendant's Further Amended Defence dated
27 June 1989 be set aside.
3. An order that the
Respondent pay the Appellant's costs of this appeal."
Although no reference is made to it, an inference
arises that Prestige is seeking to have the order as to costs in the Supreme
Court set aside and that Dart pay the costs of Prestige in the Supreme Court.
A major part of the hearing of the appeal was
directed to the "file wrapper estoppel" defence sought to be raised
by para. 6 of the Further Amended Defence. Prestige fails on this issue and it
failed on the same issue in the Supreme Court. On the appeal, submissions were
directed to the substance of the issues sought to be raised by paras. (c) and
(d) of the particulars appended to para. 5. During the hearing of the appeal,
the Court drew attention to the unsatisfactory form in which para. 5 and the
particulars were drawn.
In all the circumstances, Prestige, having
succeeded on the issue of the substance of the defence sought to be raised by
paras. (b), (c) and (d) of the particulars to para. 5 of the Further Amended
Defence, should be given the opportunity to frame the defence in proper form.
It failed in establishing para. 6 and, as I have indicated, Prestige did not
attempt to support para. 7 of the Further Amended Defence. Accordingly, orders
1 and 2 of the orders of the Supreme Court should be set aside and in lieu
thereof it should be ordered that paras. 5, 6 and 7 of the Further Amended
Defence be struck out but that Prestige have leave to file and serve within 28
days an amended defence raising the issues sought to be raised by para. 5 of
the Further Amended Defence and by paras. (a), (b), (c) and (d) of the
particulars to para. 5 of the Further Amended Defence.
Each of the parties has succeeded on one of the two
substantive issues raised by Prestige and has failed on the other. Normally, if
a defence is struck out but time is granted to file an amended defence, the
opposing party is entitled to its costs including any costs thrown away. In all
the circumstances, order 4 of the orders of the Supreme Court should be set
aside and in lieu thereof there should be no order for the costs of the summons
before the Supreme Court. Prestige should pay one half of Dart's costs of the
appeal including the application for leave to appeal, and one half of the costs
thrown away.