Bristol‑Myers Squibb Co v F H Faulding
& Co Ltd [2000] FCA 316
FEDERAL COURT OF
AUSTRALIA
BLACK
CJ, LEHANE AND FINKELSTEIN JJ
1
This appeal concerns two petty
patents for methods of administering taxol. Taxol has been known, for about
three decades, to have anti‑carcinogenic properties. It inhibits the
division of cancer cells. Other drugs used in the treatment of cancer have that
effect also; taxol, however, does so by a mechanism that differs from the way
in which other drugs inhibit cell division. Consequently, taxol has for many
years been recognised as potentially efficacious where other drug treatments
have failed.
2
There are, however,
considerable difficulties with the use of taxol in the treatment of cancer. One
difficulty is its scarcity. It is a naturally occurring compound extracted from
the bark or the needles of the western, or Pacific, yew. Extraction is a slow
process and taxol is not plentiful. Secondly, taxol is relatively insoluble in
water and is administered (there was no evidence of any other possible mode of
administration) in a mixture of Cremophor EL and dehydrated ethanol. Thirdly,
taxol is highly toxic: among its side effects are toxicity of the blood
(particularly, neutropenia) and of the nervous system (peripheral neuropathy).
Additionally, the administration of taxol was found frequently to produce
hypersensitivity reactions, often severe reactions: this may have been due
either to the Cremophor or to the taxol itself.
3
The appellant was the
proprietor of the two petty patents in suit, No. 641894 and No. 651307.
They were sealed on 30 September 1993 and 14 July 1994 respectively. The
term of the former expired on 29 January 1999; the term of the latter
expired on 15 December 1999. The priority date of each was 3 August
1992. Both were granted under the Patents
Act 1990 (Cth) (the “1990 Act”).
4
The claims of the earlier
patent were:
“1. A method for administration of taxol to a
patient suffering from cancer comprising infusing from 135 to 175 mg/m2
of taxol over a duration not exceeding 6 hours.
2. The method of claim 1, wherein said
administration comprises infusion of 135 mg/m2 of taxol.
3. The method of claim 2, wherein the
duration of said infusion is not greater than 3 hours.”
The
claims of the later patent were:
“1. A method for treating cancer in a patient
suffering therefrom including infusing from 135 to 175 mg/m2 of
taxol over a duration less than 6 hours wherein said method results in a
reduction of hematological toxicity and neurotoxicity compared with infusing
greater than 170 mg/m2 of taxol over a duration of 24 hours.
2. A method according to claim 1 wherein said
method includes infusing 175 mg/m2 of taxol.
3. A method according to claim 1 or claim 2
wherein said method includes infusing said taxol over a duration not exceeding
3 hours.”
The
complete specifications of the two patents were substantially identical. It
will be necessary to consider some aspects of them later.
5
This is an appeal from a
decision of a judge of the Court (Heerey J) in proceedings in which the
appellant claimed that the respondent, in circumstances which we shall describe
later in these reasons, infringed both patents. The respondent, by cross‑claim,
sought orders that the patents be revoked on the grounds that they disclosed no
invention, that the method claimed was not a “manner of manufacture”, that the
alleged invention lacked novelty and an inventive step and that the claims were
not fairly based on the complete specifications. His Honour, in reasons
reported at (1998) 41 IPR 467, upheld the cross‑claim, holding that each
patent was invalid on each of the grounds pressed by the respondent. He held
also that, if the patents had been valid, they would not have been infringed.
The appellant attacks his Honour’s conclusion on each issue; the respondent
supports the judgment on all issues and, by notice of contention, seeks to rely
on additional matters going to obviousness and fair basing.
6
It is convenient to deal with
other factual matters in the course of considering the various grounds on which
his Honour held the patents to be invalid and the question of infringement.
Manner of
manufacture: “generally inconvenient”?
7
As the learned trial judge
pointed out, the question whether a method of medical treatment of the human
body is patentable was discussed extensively by each of the members of the Full
Court in Anaesthetic Supplies Pty Ltd v
Rescare Ltd (1994) 50 FCR 1 (Rescare).
The examination of the question in that case included a review by Lockhart J of
cases in Australia, New Zealand, the United Kingdom, Canada, the United States
of America, Germany and Israel.
8
Having reviewed the
authorities, Lockhart J concluded (at 18):
“I am not aware of
any case in Australia where a process for the treatment of a human ailment or
disease has arisen for consideration. In the NRDC case [National Research Development Corporation v Commissioner of
Patents (1959) 102 CLR 23(NRDC)] the judges expressed
in very tentative language their doubts about its patentability. The English
cases, particularly Schering,
Eli Lilly
and Upjohn
do not provide a satisfactory basis on which to halt the development of the law
relating to patentability and processes for medical treatment. In Schering a distinction was
drawn between a contraceptive process and medical treatment. In Joos [Joos v Commissioner of Patents (1972) 126 CLR 611] Barwick
CJ distinguished the application of a substance to improve the strength of the
hair and nails on the ground that it was not treatment to arrest or cure
disease or a diseased condition or the correction of some malfunction or
amelioration of some incapacity or disability. I agree with Davison CJ [in Wellcome Foundation Ltd v Commissioner of Patents (1979)
2 NZLR 591] that in both cases the courts established
distinctions without a difference, in order to allow a patent. Both cases were
ones where clinical substances were applied to the human body, in one case
externally and in the other internally. In both cases the chemical produced a
result in a changed condition of the body.
In my opinion, there
is no justification in law or in logic to say that simply because on the one
hand substances produce a cosmetic result or a functional result as opposed to a
curative result, one is patentable and the other is not. I see no reason in
principle why a method of treatment of the human body is any less a manner of
manufacture than a method for ridding crops of weeds as in NRDC. Australian courts
must now take a realistic view of the matter in the light of current scientific
development and legal process; the law must move with changing needs and times.
I agree with Davison CJ that the test enumerated in the NRDC case is whether the
invention is a proper subject of letters patent according to the principles
which have been developed for the application of s 6 of the Statute of
Monopolies.”
9
Lockhart J also observed that
there is no statutory provision in Australia prohibiting the grant of a patent
for a process of medical treatment, and that it was noteworthy that Parliament
had the opportunity to exclude methods of treating the human body when it
enacted the 1990 Act, but that the limit of the exclusion was s 18(2), namely:
“Human beings and the
biological processes for their generation, are not patentable inventions”.
10
Wilcox J (at 42) agreed with
the reasons for judgment of Lockhart J and added comments of his own explaining
why he considered that “in the unusual circumstances of this case” dicta of
members of the High Court in Maeder v
Busch (1938) 59 CLR 684 at 705-706 and 707, and NRDC at 270, should not be given the weight they would ordinarily
command. He pointed out, too, that there had never been an actual decision by
an Australian court to the effect of Re C
and W’s Application (1914) 31 RPC
235 and that Patent Office practice in this country had been to grant patents
for methods of medical treatment. We should note here that, in his judgment at
first instance, Gummow J also gave careful consideration to what had been said
by members of the High Court before he rejected the submission that claims for
a method of medical treatment of the human body were not patentable: see Anaesthetic Supplies Pty Ltd v Rescare Ltd
(1992) 111 ALR 207 at 233-239.
11
On the appeal in Rescare, Sheppard J also gave full
consideration to the question, but he came to a conclusion contrary to that of
Lockhart J and Wilcox J. In the present case the trial judge agreed with, and
adopted as a matter of principle, much of what Sheppard J said in Rescare at 40-41.
12
Accepting for present purposes
that the conclusions of Lockhart J and Wilcox J in Rescare are not part of a ratio of the case, so that the primary
judge was free to depart from them and that this Full Court is also free to
decide the question on that basis, we are nevertheless of the opinion that we
should act in accordance with the views of the majority.
13
In the only substantial
consideration of this important question in Australia, prior to its
consideration in the present case, four members of this Court gave very close
attention to whether a method of medical treatment of the human body is
patentable according to Australian law, and three of them concluded that it is.
That is the clear preponderance of opinion at appellate level. The
consideration given to the question in this Court is quite recent and it has
not been suggested to us that cases decided since 1994, here or elsewhere,
throw further light on the controversy. The passing reference to the question
in Advanced Building Systems Pty Ltd v
Ramset Fasteners (Aust) Pty Ltd (1998) 194 CLR 171 at 190 does not, we
think, do so.
14
We agree with the primary judge
that the close historical, geographical, social and economic relationship of
Australia and New Zealand make it a desirable policy objective in itself that,
in important areas of commercial law, the law of the two countries be
consistent and, as he pointed out, the New Zealand Court of Appeal in Wellcome Foundation Ltd v Commissioner of
Patents [1983] NZLR 385 decided against patentability. In his judgment at
first instance in Rescare, however,
Gummow J drew attention to the fact that the considerations that moved the New
Zealand Court of Appeal in that case are not all applicable to Australian
circumstances (see at 238) and this is, of course, an important consideration.
We note, too, that Gummow J added that, in any event, in his opinion the
reasoning in the judgment of Davison CJ at first instance had the advantage of
greater cogency and was closer to that of Barwick CJ in Joos v Commissioner of Patents (1972) 126 CLR 611.
15
It is in those circumstances
that we consider that we should adopt and apply the view of the majority in Rescare: a view reached after a close and
persuasive analysis of principle authority. In taking this course, we are
fortified by two considerations. The first of these is what seems to us to be
the insurmountable problem, from a public policy viewpoint, of drawing a
logical distinction which would justify allowing patentability for a product for treating the human body, but
deny patentability for a method of
treatment: see per Davison CJ in Wellcome Foundation Ltd v Commissioner of
Patents (above) at 620 and per Gummow J in Rescare 111 ALR 205 at 238. This seems particularly the case where,
as here, the claim is for an invention for the administration of a product.
16
The second compelling
consideration is the very limited extent to which the Parliament dealt with
patents with respect to the human body when it enacted the 1990 Act, bearing in
mind, too, that it did so at a time when the long‑standing practice in
Australia was (as we are informed it still is) to grant patents for methods of
medical treatment of the human body.
17
It is perhaps tempting to posit
a possible special area in which, for example, an entirely novel and simple
procedure, capable of saving many lives by its application as first aid, might
be denied patentability even though otherwise meeting the requirements for a
valid patent. It may be that the “certain methods of treatment of the human
body” to which passing reference is made in Ramset
(at 190) would fall into this category. Even here, however, although at first
sight it is easy to see how it could be argued that it was “generally
inconvenient” for a simple, novel and dramatically life-saving method of
treatment to be denied patentability on the footing that such a thing should be
available universally and without restriction, the difficulty remains of
drawing any logical distinction between a method of treatment and a patentable
pharmaceutical product that produces the same beneficial results. More
specifically, if (say) an antivenene for spider bite is patentable, on what
ground can a new form of treatment for the same life-threatening bite be
denied? The second consideration, referred to above, would also seem to remain
as an obstacle.
18
For those reasons, in our view
the learned primary judge was in error in holding that the petty patents in
suit were invalid on the ground of general inconvenience.
Invention;
“manner of new manufacture”; inventive step
19
A “patentable invention” must
be an “invention” as defined, and thus a “manner of new manufacture the subject
of letters patent and grant of privilege within section 6 of the Statute of Monopolies”. The primary
judge held, following NV Philips
Gloeilampenfabrieken v Mirabella International Pty Ltd (1995) 183 CLR 655,
that the opening words of s 18(1) impose a threshold requirement of
inventiveness: a requirement independent of the specific provisions of s
18(1)(b) as to novelty and an inventive step, judged by comparison with the
prior art base as it existed before the priority date. His Honour held that the
claimed invention (we use that expression to refer to the invention claimed in
each of the petty patents in suit) did not meet that threshold requirement. He
held also that it did not involve an inventive step when compared with the
prior art base. His Honour’s conclusions were based upon two findings. One of
them involved an application of the well known principle which denies
patentability to a claimed invention which is “nothing but a claim for the use
of a known material in the manufacture of known articles for the purpose of
which its known properties make that material suitable”: Commissioner of Patents v Microcell Ltd (1959) 102 CLR 232 at 251.
His Honour said at 477:
“At the priority date
the material (taxol) had been known for many years. It is a naturally‑occurring
compound and thus in itself unpatentable. In the words of the specification,
taxol had ‘shown great promise as an anti‑cancer drug’ and ‘been found to
be an active agent against drug‑refractory ovarian cancer’ … . The
properties which made taxol effective against cancer, that is to say its
biological mechanism, were well known. They had been discussed in the articles
referred to in the specification which were ‘incorporated by reference as if
reproduced in full below’ … . Thus the specification is not merely a claim of a
‘new use of an old substance’ (Re
BA’s Application (1915) 32 RPC 348 at 349, Mirabella, 183 CLR at 661) but
a claim for the same use of an old
substance.”
The
primary judge, at 477, expressed his other finding as follows:
“Further, the
specifications disclose that the claimed inventions were the product of routine
testing which merely verified a hypothesis arising from analysis of reports of
earlier trials: see WR Grace & Co v
Asahi Kasei Kogyo Kabushiki Kaisha (1993) 25 IPR
481 at 497-498.
By using the term
‘routine’ I do not wish to be taken as in any way disparaging the skill and
effort which obviously went into [the
study leading to the claimed inventions].
But the petty patents in suit do not claim any method of scientific
investigation or analysis. On their face they claim a particular dosage over a
particular period of a substance known to be effective, in a known way, for the
treatment of cancer, a dosage and a period arrived at by the ‘ordinary methods
of trial and error which involve no inventive step …’: Van der Lely NV v Bamfords Ltd
[1963] RPC 61 at 71 per Lord Reid, cited with approval in Nicaro Holdings Pty Ltd v Martin Engineering Co
(1990) 91 ALR 513 at 530 per Gummow J (with whom Jenkinson J agreed).”
20
Nothing in the more recent
decision of the High Court in Advanced
Building Systems Pty Ltd v Ramset Fasteners (Aust) Pty Ltd (1998) 194 CLR
171 detracts from the binding effect, in this Court, of the decision in Philips. Ramset fell to be decided under the Patents Act 1952 (Cth) (the “1952 Act”); the Court distinguished Philips on the basis that there were
significant differences between the 1990 Act and its predecessor, so that Philips was not determinative of a
question arising under s 100 of the 1952 Act. It is necessary, therefore,
to ascertain precisely what was decided in Philips.
The essence of the decision is, we think, to be found in the following passage
in the judgment of the majority, at 663, 664 (omitting citations of authority):
“The effect of those
opening words of s 18(1) is that the primary or threshold requirement of a
‘patentable invention’ is that it be an ‘invention’. Read in the context of
s 18(1) as a whole and the definition of ‘invention’ in the Dictionary in
Sch 1, that clearly means ‘an alleged invention’, that is to say, an
‘alleged’ ‘manner of new manufacture the subject of letters patent and grant of
privilege within s 6 of the Statute of Monopolies’. In the light of what
has been said above about what is involved in an alleged manner of new
manufacture, that threshold requirement of ‘an alleged invention’ will,
notwithstanding an assertion of ‘newness’, remain unsatisfied if it is apparent
on the face of the relevant specification that the subject matter of the claim
is, by reason of absence of the necessary quality of inventiveness, not a
manner of new manufacture for the purpose of the Statute of Monopolies.
That does not mean that the threshold requirement of ‘an alleged invention’
corresponds with or renders otiose the more specific requirements of novelty
and inventive step (when compared with the prior art base) contained in
s 18(1)(b). It simply means that, if it is apparent on the face of the
specification that the quality of the inventiveness necessary for there to be a
proper subject of letters patent under the Statute of Monopolies is absent, one
need go no further.”
The
majority, at 663, rejected an argument:
“… that the fact that
a claimed use is ‘nothing but … a new use of an old substance’ and therefore
‘outside the whole scope of what is known as an invention’ under traditional
principles of patent law will not of itself preclude it from being a proper
subject of letters patent under the Act.”
21
Secondly, at 664, 665, the
majority said:
“It is true that it
can be argued that there is internal tension in an overall legislative scheme
which imposes a threshold requirement of inventiveness reflecting the effect of
the saving clause in s 6 of the Statute of Monopolies and then proceeds,
if that threshold requirement be satisfied, to impose more specific
requirements of novelty and inventive step. It seems to us, however, that there
are several answers to that argument. One is that there is no construction of
s 18(1) of the Act which is not susceptible of some legitimate criticism.
Another is that traditional patents law under s 6 of the Statute of
Monopolies long recognised cumulative requirements of an element of invention
(as distinct, from, eg, mere discovery or analogous use) in the subject matter
as described by the specification and novelty or newness as disclosed by
comparison with a prior art base. The distinctive requirements of novelty and
inventive step required by s 18 of the Act are emphasised by their
elaboration in s 7. In that regard it may be noted that in the 1952 Act one of the grounds
for revocation of a patent was that the invention ‘was obvious and did not
involve an inventive step, having regard to what was known or used in
Australia’ (s 100(1)(e)). More important, it seems to us to be highly
unlikely that it was the legislative intent that there should be a significant
alteration of the law as explained in Microcell by extending the ambit of a patentable
invention so as to include what is ‘nothing more’ than ‘the use of a known
material in the manufacture of known articles for the purpose of which its
known properties make that material suitable’. In that regard, we do not accept
the argument on behalf of Philips
that Microcell was decided on the question of newness
and not on manner of manufacture.”
22
Thirdly, their Honours
observed, at 667, that “… it would border upon the irrational if a process
which was in fact but a new use of an old substance could be a ‘patentable
invention’ under s 18 if, but only if, that fact were not disclosed by the
specification”. But, as the majority explicitly acknowledged, at 666, that observation
was unnecessary to their decision. Fourthly, and finally, special leave to
appeal had been granted on the basis that the sole issue on the appeal was the
true construction of s 18(1)(a), including the opening words of
s 18(1). Thus, the Court was not called upon to consider the correctness
of the finding of the Full Court of this Court, that the claims of the patent
in suit were indeed for nothing but a use of a known product for a purpose for
which its known properties made it suitable.
23
It is important also to
remember that the effect of the decision of the High Court in Philips was to affirm the decision of
the Full Court (NV Philips
Gloeilampenfabrieken v Mirabella International Pty Ltd (1993) 44 FCR 239).
There is no doubt that the majority of the Full Court (Lockhart J, with
whom Northrop J agreed) drew what they perceived to be a clear distinction
between obviousness or want of inventive step (s 18(1)(b)(ii)) and want of
inventiveness sufficient to characterise the subject matter of a patent as a manner
of new manufacture. So, at 263, Lockhart J said:
“Although grounds of
objection in patent law sometimes overlap, objections of want of novelty and
obviousness are nevertheless essentially distinct from each other. Likewise,
the requirement that a patentable invention be a manner of new manufacture is
inherently distinct from the requirements of novelty, lack of obviousness,
involving an inventive step and utility as required by s 18 of the 1990
Act.”
And the
point emerges clearly from the following observation of Lockhart J at 265:
“Many of the
submissions made by counsel for the appellants on this point blurred the
distinction between the requirement that the invention be a manner of new
manufacture and obviousness. The respondent did not press its case at the trial
(nor therefore on appeal) on obviousness, no doubt, at least in part, because
the respondent could not establish that what is described in the evidence as
the Vrenken Article was common general knowledge in Australia.”
In
other words, what cannot be established not to involve an inventive step, by
reference to common general knowledge in Australia at the priority date, may
nevertheless exhibit a want of the quality of inventiveness which is part of
the concept of manner of new manufacture.
24
Four comments may be made.
First, the proposition that “inventiveness” means in one context something
quite distinct from the connotation, in the other, of “inventive step” (or lack
of obviousness) is not easy to reconcile with the analysis of Gummow J,
with whom Jenkinson J agreed, in R D
Werner & Co Inc v Bailey Aluminium Products Pty Ltd (1989) 25 FCR 565
at 593, 599-601. Secondly, so far as the reasoning of Lockhart J depended
(see at 263) upon regarding the 1990 Act as having made no relevant change in
the law (a view with which it is easy to sympathise, given s 100(d) of the
1952 Act), the distinction between the two aspects of inventiveness having
existed under the 1952 Act, that foundation appears to have been removed by Ramset. Thirdly, Lockhart J
(upholding the primary judge) appeared to have looked solely at the
specification in order to ascertain what was “known”, for the purposes of the Microcell principle, though his Honour
appears to have relied on other evidence as to aspects of the quality of
inventiveness. Fourthly, and perhaps most importantly, little guidance is
offered as to how one ascertains whether a claimed invention has the quality of
inventiveness necessary to characterise it as a manner of new manufacture.
25
Just as it is not easy to see
how one can describe something as new or novel except by reference to what has
previously been made, done or published, we cannot see how inventiveness can be
judged except by reference to a body of prior knowledge and from the standpoint
of someone who has that knowledge. The question, then, is what knowledge, in
whose possession, is relevant to the question whether the “inventiveness”
component of “manner of new manufacture” is present?
26
It is important, we think, to
recognise that the present separate requirements of novelty and an inventive
step (s 18(1)(b)(i) and (ii)) themselves result from a process of
development, both through the cases and in successive statutes, of the language
of the Statute of Monopolies. The
history is traced by Gummow J in R D
Werner at 594-601 and need not be repeated. The ground of revocation, and
now of opposition to grant, encapsulated in the terms “want of subject matter”,
“obviousness” and “lack of inventive step”, is itself a development and
refinement of the language of the Statute
of Monopolies. If one were still to apply the language used by Lord Esher
MR in 1894 – “when you consider it, you come to the conclusion that it is so
easy, so palpable, that everybody who thought for a moment would come to the
same conclusion; or, in more homely language, hardly judicial, but rather
business like, it comes to this, it is so easy that any fool could do it” (Edison-Bell Phonograph Corp Ltd v Smith
(1894) 11 RPC 389 at 398) – the question would remain, what is the prior body
of knowledge which makes it so easy? In Philips,
Lockhart J said at 265:
“As mentioned earlier
the expressions ‘manner of new manufacture’ and ‘manner of manufacture’ in this
branch of law under the 1990 Act mean the same thing and involve the same
concepts as they have been understood and developed since 1623 when the Statute of Monopolies
was passed.”
But,
with respect, that begs the question, which are the developments referred to? The
modern notions of novelty and obviousness represent, as we have said,
developments of the concepts in the Statute. Is there a tertium quid? If so, what precisely is it? It might, perhaps, be
supposed that, by preserving the requirement of inventiveness incorporated in
“manner of new manufacture”, Parliament intended that there be two cumulative
requirements, one reflecting the law as it had developed up to some statutory
intervention – perhaps in 1952, perhaps in 1990 – the other reflected in the
elaborate provisions of s 7(2) and s 7(3), read with the dictionary
in Sch 1, of the 1990 Act. Where, however, the judicial and statutory
development of the law are as interwoven as they have been in patent law, such
a suggestion encounters great difficulty.
27
Philips, as we read it, does not provide
a comprehensive answer to the question, by reference to what body of knowledge
is that inventiveness judged? It holds, clearly, that the requirement of
inventiveness is not satisfied in a case where the claims are for nothing more
than the use of a known material in the manufacture of known articles for a
purpose for which that material’s known properties make it suitable. The
majority judgment of the High Court in Ramset
points out, at 192, two aspects of that proposition which are, we think,
relevant to the present case. One is that the principle that “a claim for
‘nothing but’ a new use of an old substance lacked the quality of
inventiveness” had emerged in the course of the development, during the
nineteenth century, of “the doctrine with respect to obviousness and lack of
inventive step”; the other is that, if an application for a patent claiming
nothing but a new use of an old substance (to adopt the majority’s shorthand)
proceeded to grant, the grant – under the 1952 Act – would have been liable to
revocation under s 100(e) (obviousness) not s 100(d) (not an
invention: that is, not a manner of new manufacture). In other words, the
relevant ground of revocation being obviousness, the relevant body of knowledge
was “what was known or used in Australia on or before the priority date of
[the] claim”: that is, common general knowledge, in the relevant field of
endeavour, in Australia: Minnesota Mining
and Manufacturing Co v Beiersdorf (Australia) Ltd (1980) 144 CLR 253 at
295.
28
Microcell was an appeal from a refusal
by the Commissioner of Patents to accept an application and complete a
specification. The Court held, at 246, that “[it] must be enough to warrant
rejection that it should be clear on its face that the specification discloses
no inventive step”. Their Honours proceeded to hold that the specification in
suit disclosed no such step. It is interesting to note, in passing, that their
Honours used the phrase “inventive step”, the terminology both of s 100(e)
of the 1952 Act (which did not apply to the application before the Court: it
was required to be considered under the Patents
Act 1903 (Cth)) and s 18(1)(b)(ii) of the 1990 Act. The claims were
for the manufacture of self‑propelled rocket projectors, using synthetic
resinous plastic material reinforced with mineral fibres. The Court’s
conclusion was expressed at 251 as follows:
“We have in truth
nothing but a claim for the use of a known material in the manufacture of known
articles for the purpose of which its known properties make that material
suitable. A claim for nothing more than that cannot be subject matter for a
patent, and the position cannot be affected either by the fact that nobody
thought of doing the thing before, or by the fact that, when somebody did think
of doing it, it was found to be a good thing to do.”
The
foundation of that conclusion, however, appears in the following paragraph, at
250:
“Here the
specification does not on its face disclose more than a new use of a particular
known product. To use Lord Buckmaster’s words, no new product is obtained, and
there is no new method of manufacture suggested or an old one improved. Tubular
self‑propelled‑rocket projectors were at the relevant time well‑known
articles of manufacture. Synthetic resinous plastics reinforced with mineral
fibres, and in particular polyester plastics reinforced with glass or asbestos
fibres, were well‑known materials. These things are to be gathered from
the specification itself, which contains no suggestion of novelty in relation
to the article to be manufactured or the material to be used. It further
appears from matter published in Australia as early as 1946 that the reinforced
plastic materials referred to in the specification had been used in the
manufacture of a wide variety of articles. The properties of those materials
were known generally, and in particular it was well known that they possessed
that combination of great strength and lightness wherein, according to the
specification itself, lies their virtue for the purpose in hand. The matter
published in 1946 refers to their ‘extraordinary strength in relation to
weight’ – they are ‘stronger for their weight than steel’ – and to their high
tensile strength – another quality which the specification regards as a virtue
for the purpose in hand. It was well known too that they possessed high impact
strength and high resistance to heat. In these circumstances we do not think it
can be said, merely because it does not seem previously to have occurred to
anyone to make a rocket projector out of reinforced plastic, that any inventive
idea is disclosed by the specification.”
29
That passage makes it quite
clear that the lack of inventive step appeared on the face of the
specification. It makes it clear also that the conclusion that there was no
inventive step was reinforced by a consideration of material earlier published
in Australia, information in which was “well‑known” and “known
generally”. Although the language used by the Court differs somewhat from the
formulation adopted by Aickin J in the Minnesota
case, the substance of the Court’s finding was that what was apparent on the
face of the specification was reinforced by proof that particular information
had passed into common general knowledge, in the relevant field, in Australia.
30
The majority of the High Court
in Philips explicitly say that their
observations about a case where want of the threshold requirement of
inventiveness is not apparent on the face of the specification are not
necessary to their decision. And, in discussing the commencement point (what is
“known”) of the inquiry about inventiveness, their Honours refer only to the Microcell principle. In our view, in the
light of the authorities to which we have referred, Philips stands for the proposition (as a matter of construction of
the 1990 Act) that if, on the basis of what was known, as revealed on the face
of the specification, the invention claimed was obvious or did not involve an
inventive step – that is, would be obvious to the hypothetical non‑inventive
and unimaginative skilled worker in the field (Minnesota at 260 per Barwick CJ) – then the threshold
requirement of inventiveness is not met. Some elaboration, however, is required
in relation to what the specification reveals as “known”. If a patent application,
lodged in Australia, refers to information derived from a number of prior
publications referred to in the specification or, generally, to matters which
are known, in our view the Court – or the Commissioner – would ordinarily
proceed upon the basis that the knowledge thus described is, in the language of
s 7(2) of the 1990 Act, part of “the common general knowledge as it
existed in the patent area”. In other words, what is disclosed in such terms
may be taken as an admission to that effect. In substance, we think, that is
what happened, both in Microcell and
in Philips. If, however, the body of
prior knowledge disclosed by the specification is insufficient to deprive what
is claimed of the quality of inventiveness, then the only additional knowledge
or information which will be taken into account is knowledge or information of
a kind described in s 7(2) of the 1990 Act. That again, in our view, is
consistent with the approach taken in Microcell.
It is also, with respect, the only approach which does not, in practical terms,
render s 18(1)(b)(ii) otiose. Of course, once that additional knowledge is
taken into account, one is applying s 18(1)(b)(ii), not the opening words
of s 18(1) – unless, perhaps, one might apply either, there being, in this
respect, no difference between them.
31
The findings of the trial judge
as to the failure of the claims to meet the threshold requirement of
inventiveness relied, as to what was known and as to the studies leading to the
claimed invention, only upon what is disclosed in the specifications. The
specifications reveal, as his Honour pointed out, that both the efficacy of
taxol as an anti‑carcinogenic (particularly in relation to drug‑refractory
ovarian cancer) and the mechanism of its action were known. His Honour found,
accordingly, that the claimed invention was not merely a claim for a new use
for an old substance (his Honour’s shorthand) but a claim for the same use of
an old substance, thus failing the Microcell
test. In our opinion, however, that formulation overlooks two things. One
is that the claim is for a method, not a product; the other is the importance
of the phrase “nothing but” in the Microcell
principle: as to both points, see National
Research Development Corporation v Commissioner of Patents (1959) 102 CLR
252, especially at 262. Taxol may, if used in accordance with the claimed
invention, be used for a purpose for which its known properties make it
suitable; it does not follow that the method claimed does not involve an
inventive step. Nor, if the method was proved to be efficacious by a routine
process of trial and error (the authorities cited by his Honour have to do with
how much, in order to destroy novelty, an anticipation must reveal), does it
follow that the claimed invention is obvious or does not involve an inventive
step: what matters is whether, to the skilled but unimaginative worker in the
field, the claimed method was obvious in the sense that the worker, not
necessarily seeing that the method was likely to be safe and efficacious, would
have seen that it was one which justified investigation.
32
Because, for the reasons we
have given, we respectfully disagree with the primary judge’s approach to this
part of the case, it is now necessary that we consider the specifications for
ourselves. The section entitled “background of the invention” begins as
follows:
“Taxol is a naturally
occurring compound which has shown great promise as an anti‑cancer drug.
For example, taxol has been found to be an active agent against drug‑refractory
ovarian cancer by McGuire et al. See ‘Taxol: A Unique Anti‑Neoplastic
Agent With Significant Activity Against Advanced Ovarian Epithelial Neoplasms,’
Ann. Int. Med., 111,
273- 279 (1989). All patents, scientific articles, and other documents
mentioned herein are incorporated by reference as if reproduced in full below.
Unfortunately, taxol
has extremely low solubility in water, which makes it difficult to provide a
suitable dosage form. In fact, in Phase I clinical trials, severe allergic
reactions were caused by the emulsifiers administered in conjunction with taxol
to compensate for taxol’s low water solubility; at least one patient’s death
was caused by an allergic reaction induced by the emulsifiers. Dose limiting
toxicities include neutropenia, peripheral neuropathy, and hypersensitivity
reactions.”
33
The article by McGuire and
others, referred to in the first paragraph, describes also taxol’s “unique”
mechanism of action. The specifications proceed to discuss a good deal of
literature concerning taxol, particularly a number of reports of Phase I and
Phase II clinical trials (the purpose of a Phase I trial is to ascertain a safe
dose limit; a Phase II trial tests for efficacy under particular treatment
regimes, within the safe limit established by Phase I trials). What the
specifications say is not altogether easy to follow, because their account of
the teaching of the various articles quoted is, in many cases, somewhat
abbreviated and the writings are not discussed in chronological order, so that
it is difficult to see the way in which expert thinking about the
administration of taxol evolved during the period covered by the writings, from
1986 to 1991. For example, the specifications report this:
“Since early trials
using a bolus injection or short (1‑3 hour) infusions induced
anaphylactic reactions or other hypersensitivity responses, further studies
were carried out in which taxol was administered only after premedication with
steroids (such as dexamethasone), antihistamines (such as diphenhydramine), and
H2-antagonists (such as cimetidine or ranitidine), and the infusion
time was extended to 24 hours in an attempt to eliminate the most serious
allergic reactions. Various Phase I and Phase II study results have been
published utilising 24‑hour infusions of taxol with maximum total dosages
of 250 mg/m2, generally with the course being repeated every three
weeks.”
34
Nevertheless, one of the most
recent of the trials referred to, a Phase I trial reported in a July 1991
article by Brown and others, was one in which taxol was provided by a six‑hour
infusion every twenty‑one days without premedication. The authors
reported that the incidence of hypersensitivity reaction was “schedule‑dependent,
6 to 24-hour infusions of drug having a 0% to 8% incidence of hypersensitivity
reactions”. The specifications paraphrase the authors as reporting also “that
hypersensitivity reactions persist with or without premedication despite
prolongation of infusion times”.
35
Among the matters which emerge
from the writings quoted are that the toxicity of the drug limited the dose
which could safely be administered, the maximum tolerated dose being about
275mg/m2 (“m2” refers to the surface area of the skin of
the patient); the incidence of hypersensitivity reactions appeared to be
substantially reduced by a combination of premedication and prolongation of the
infusion period to six hours or longer; but none of the material reported the
administration of the drug over a period of less than six hours with
premedication; however it was unclear whether those reactions were caused by
the taxol or the vehicle in which it was administered; and, because
hypersensitivity reactions frequently occurred within a short period after the
commencement of infusion, the proposition that lengthening infusion time
minimised the likelihood of reaction was uncertain; and because of the
relatively high number of the trials which had used a twenty‑four hour
infusion schedule, there was a lack of data as to the efficacy of infusion over
a shorter period. The specifications continue:
“The conflicting
recommendations in the prior art concerning whether premedication should be
used to avoid hypersensitivity reactions when using prolonged infusion
durations, and the lack of efficacy data for infusions done over a six hour
period has led to the use of a 24‑hour infusion of high doses (above 170
mg/m2) of taxol in a Cremophor EL emulsion as an accepted cancer
treatment protocol.
Although it appears
possible to minimise the side effects of administering taxol in an emulsion by
use of a long infusion duration, the long infusion duration is inconvenient for
patients, and is expensive due to the need to monitor the patients for the
entire 6 to 24‑hour infusion duration; further, the long infusion
duration requires that patients spend at least one night in a hospital or
treatment clinic.”
36
The matters, therefore,
requiring to be addressed were the need to reduce the infusion period
sufficiently so that both premedication and infusion could be completed during the
course of a day, so that patients could be treated as outpatients; the
consequent desirability of limiting infusions to a maximum of six hours while
nevertheless providing sufficient taxol to have the desired therapeutic effect,
at the same time avoiding toxicity; the desirability of minimising
premedication, to reduce both patient discomfort and the expense and duration
of treatment; and the desirability of reducing doses, if possible, not only to
reduce side effects but also to “extend the supply of taxol”.
37
The objects of the invention
are stated as follows:
“Therefore, it is a
primary object of the present invention to provide a new method for
administering taxol over a shorter period of time than the present 6 to 24‑hour
infusion protocols, while minimising toxic effects induced by the
administration of taxol.
It is another object
of the present invention to provide a new method for administration of taxol
which reduces the amount of taxol administered to a patient, without
sacrificing the anti‑neoplastic effects desired by administering taxol.
It is yet a further
object of the present invention to provide a new method for administration of
taxol which utilizes both lower dosages of taxol and shorter infusion periods,
without sacrificing the anti‑neoplastic benefits of the administration of
taxol.”
38
There follows a detailed
description of the invention which, although it is lengthy, we think it is
desirable to set out in full:
“Despite the
conventional understanding that it is necessary to infuse patients over a 24‑hour
period with high dosages of taxol (greater than 170 mg/m2) following
premedication to minimize or eliminate hypersensitivity responses, while
obtaining the desired anti‑neoplastic effect, it has been surprisingly
discovered that taxol can be safely administered to cancer patients via
infusions lasting less than 6 hours at dosages of about 135 mg/m2 to
about 175 mg/m2. In a preferred embodiment, taxol is administered
via an infusion having a duration of about three hours, with a taxol dosage of
about 135 mg/m2 or about 175 mg/m2. Of great significance
is a surprising discovery that the short term infusion causes less
myelosuppression, which leads to a lower incidence of infections and fever
episodes (e.g., febrile neutropenia). Following the preferred infusion
schedules of the present invention provides an objective response rate of
greater than 10% for patients suffering from epithelial ovarian carcinoma, and
preferably an objective response rate of 14% or greater for groups of at least
150 patients suffering from ovarian carcinoma.
The surprising
discovery that taxol could be safely administered via a short infusion (e.g.,
less than six hours and preferably over about 3 hours) means that it will now
be possible to administer taxol on an out‑patient basis, saving patients
the time and expense of yet another hospitalization while improving patient
quality of life.
It has also been
surprisingly discovered that lower taxol dosages, such as about 135 mg/m2
can be administered via infusions lasting about 3‑hours to about 28‑hours,
and still be antineoplastically effective.”
39
The specifications proceed to
discuss the study from which the applications for the petty patents resulted.
It was a randomised comparative study, conducted in a number of centres in
Canada and Europe, of treatment with taxol of patients suffering from ovarian
carcinoma who had previously been treated with platinum‑based drugs. Each
patient was assigned to one of four “arms”. Those in Arm A were treated with
infusions of 175mg/m2 over twenty‑four hours; those in Arm B
with infusions of 175mg/m2 over three hours; those in Arm C with
infusions of 135mg/m2 over twenty‑four hours; and those in Arm
D with infusions of 135mg/m2 over three hours. All patients were
premedicated to minimise acute hypersensitivity reactions.
40
What, then, was the outcome? As
to response, complete or partial (reduction in tumour size), the specifications
say:
“Thus, use of the
present method for administration of taxol produces at least a 14% overall
objective response rate for 157 patients. This is an astonishing result, since
all of the patients were considered drug refractory. It is also remarkable that
3 out of 46 (7%) of these patients who had progressed on previous platinum
containing chemotherapy responded to taxol. Overall, responses to taxol
occurred in 13% of patients (14/114) who were considered resistant to platinum
therapy … . Further, 52% of patients (24/46) with disease truly refractory to
platinum, and 53% of patients (16-36) with an early relapse after platinum,
achieved a stabilization of their disease.”
41
It may be noted in passing that
the specifications do not distribute those results among the various treatment
“arms”. As for toxicity, the specifications record that serious neutropenia was
five times more frequent among those patients infused over twenty‑four
hours than those treated with a three hour infusion; severe neutropenia was
somewhat more prevalent in the high dose arms than in the low dose arms. Thus,
we are told:
“… it is clear that
both reducing the dosage and the infusion time will lower hematologic toxicity;
however, reducing the infusion to 3 hours from 24 hours appears to have a
greater impact on reducing toxicity than reducing the taxol dosage from about
175mg/m2 to 135mg/m2.”
Peripheral
neuropathy occurred more frequently in the high dose than in the lower dose
arm, and somewhat more frequently in patients who received the 3 hour infusion
than in those who were infused over 24 hours. Two patients suffered hypersensitivity
reactions “which required acute therapeutic intervention”. One was treated with
135mg/m2 of taxol infused over twenty‑four hours. It is not
stated in which arm the other patient was treated. Less significant
hypersensitivity reactions were experienced by some patients in all arms.
42
The results are summarised as
follows:
“The success of the
use of the new taxol infusion protocol of the present invention in the
treatment of ovarian cancer makes it readily apparent that anti‑neoplastically
effective dosages of taxol can be infused over much shorter time periods than
was previously believed possible, without inducing severe hypersensitivity
reactions or inducing fatal anaphylactic shock. Thus, it is contemplated that
the infusion protocol of the present invention may be utilized to treat solid
tumors and leukemias, such as but not limited to lung cancer, breast cancers,
and ovarian cancers. It is to be understood that treatment of different forms
of cancer may require the adjustment of the taxol dosage to have optimal
efficacy.
The foregoing clearly
establishes that taxol is both safe and effective in the treatment of cancer,
such as ovarian cancer, when administered according to the protocol of the
present invention. In particular, by use of a 3‑hour infusion of about
135 mg/m2 taxol, following premedication, a substantial reduction
results in the frequency of myelotoxicity and neuropathy associated with the
administration of taxol to patients suffering from cancer. Further, patients
who exhibit severe hypersensitivity reactions can be rechallenged with taxol
after treating the HSR symptoms by use of an infusion of about 24 hours or
greater, preferably using a dosage of about 135 mg/m2 to about
175 mg/m2. Preferably, colony stimulation factors are administered
to assist in ameliorating myelosuppression.
The use of lower
dosages of taxol to achieve antineoplastic results will allow for more patients
to be treated with the present limited supply of taxol. Further, depending upon
the toxicities noted in a patient during treatment with taxol according to the
present protocol, the duration of infusion can be extended or shortened, or the
taxol dosage can be reduced or increased, thus providing more flexibility in
treating cancer with taxol. Further, patients capable of handling higher doses
of taxol can be administered up to about 275 mg/m2; should the
patient encounter severe toxicity, such as a severe neuropathy, the protocol of
the present invention allows for reducing the dosage.
From the above
teachings, it is readily apparent that many modifications and variations of the
present invention are possible. It is to be therefore understood that the
invention may be practiced [sic]
than as otherwise specifically described.”
43
In order to determine whether
the claimed invention had the necessary quality of inventiveness what must be
asked, in our view, is whether in the light of the prior body of knowledge
discussed in the specification, and given the desirability of treating patients
as outpatients rather than admitting them overnight and, generally, of reducing
cost and inconvenience, the skilled but non‑inventive worker in the field
would have seen that infusion over a period less than six hours (particularly,
over three hours) with premedication, of approximately the doses actually
selected for the trial, was worth trying. In answering that question, it must
be borne in mind that “trying” was plainly a process which would involve
considerable effort on the part of a large number of people, much expense and
the subjection of patients, already very ill, to a form of treatment which,
while it might in some cases produce some remission, was known to have the
potential to cause very unpleasant, and sometimes life‑threatening, side
effects: the circumstances by no means resemble the example of the stainless
steel sink referred to in Microcell at
248.
44
What can be gathered from the
specification is that the previous teaching encouraged longer infusions
(usually twenty-four hours, but certainly not less than six), doses at the
upper end of, or above, the range claimed in the petty patents and
premedication. Infusions of shorter duration had been tried, without
premedication, and had been found unsatisfactory. Given that, frequently,
hypersensitivity reactions occurred shortly after the commencement of an
infusion, there was some doubt as to whether the infusion period was actually
of much significance in relation to reactions of that kind. Nevertheless, it
could not be said that there was anything in the teaching referred to which
particularly encouraged a view that a three hour infusion of dosages within the
range claimed would be safe and would work. The position was simply that the
administration of taxol in that way had not (so far as the material referred to
goes) been tried, with premedication, and there were several practical reasons
why it was desirable to reduce infusion times if possible. Is the Court, armed
with that knowledge, equipped with the hindsight against which authority warns
(see Minnesota at 293) but otherwise
on the basis of its own untutored understanding (particularly, without the
benefit of expert evidence), to say that the claimed invention lacks
inventiveness (would have been obvious to the skilled worker in the field)? In
our view, we should be very slow to do so. If one puts aside the benefit of
hindsight, how is the Court to know whether experts would have found what was
tried obvious or, for reasons of which we know nothing, counter‑intuitive?
It is important to remember warnings (see, for instance, CCOM Pty Ltd v Jiejing Pty Ltd (1994) 51 FCR 260 at 285) that
“[the] Court should be careful to avoid assuming a technical expertise it does
not have”. We are not prepared to hold, on the material before us, that the
quality of inventiveness was lacking.
45
Indeed, there is in our view an
element of unreality, in a case such as the present, even in posing the
question in that form. Although Philips
suggests that there may be such cases (it does not decide the question, because
obviousness was not pressed), it is not easy to envisage circumstances in which
a claimed invention may lack the threshold requirement of inventiveness, but
yet involve (for the purposes of s 18(1)(b)(ii)) an inventive step. This
is not a case, like Philips, where
there was no attack on the patents on the ground of obviousness. It was,
instead, a case where expert evidence, including evidence as to common general
knowledge, was available (and was given). Where the Court has evidence on the
basis of which it can make a finding about common general knowledge, and the
other information referred to in s 7(2) and s 7(3), and about what
would or would not have been obvious to persons skilled in the relevant art, it
must be only rarely that it will be appropriate to find (by resort to a “threshold
test”) lack of inventiveness on the face of a specification. In our opinion
this is not a case where such a finding is justified.
46
We turn to the ground of
obviousness. The trial judge’s finding (at 484) on this issue was
straightforward:
“There is a
considerable, perhaps entire, overlap between the evidence on this issue and
that on the issue of invention. Comparison with the prior art base referred to
in the specifications discloses a lack of an inventive step, for the reasons
already discussed.”
47
We accept that ordinarily, at
least, it would follow that if there were no invention there would be no
inventive step. Because, however, we respectfully disagree with his Honour’s
conclusions on the question of invention, inventive step, or obviousness, requires
further consideration.
48
We have already referred
several times, in passing, to s 7. It is desirable to set out sub‑sections
(2) and (3) in full:
“(2) For the purposes of this Act, an invention is
to be taken to involve an inventive step when compared with the prior art base
unless the invention would have been obvious to a person skilled in the
relevant art in the light of the common general knowledge as it existed in the
patent area before the priority date of the relevant claim, whether that
knowledge is considered separately or together with either of the kinds of
information mentioned in subsection (3), each of which must be considered
separately.
(3) For
the purposes of subsection (2), the kinds of information are:
(a) prior art information made publicly
available in a single document or through doing a single act; and
(b) prior art information made publicly
available in 2 or more related documents, or through doing 2 or more related
acts, if the relationship between the documents or acts is such that a person
skilled in the relevant art in the patent area would treat them as a single
source of that information;
being information
that the skilled person mentioned in subsection (2) could, before the priority
date of the relevant claim, be reasonably expected to have ascertained,
understood and regarded as relevant to work in the relevant art in the patent
area.”
49
The respondent sought to
support his Honour’s conclusion on obviousness by reference to an editorial by
Rowinsky and Donehower published in the Journal
of the National Cancer Institute in December 1991 (before the priority
date). His Honour found that the editorial was an important review article, as
it plainly is, written by respected authors. His Honour found that “[it] would
have been read with interest by the hypothetical skilled addressee in early
1992 and regarded as reliable”. The importance of the editorial was that it
revealed the existence and nature of the trials which led to the claimed
invention. Heerey J quoted, at 474, 475, the following passages from the
editorial:
“Both addition of the
pre‑medication regimen and the scheduled change, however, were carried
out at the same time. Therefore, the relative merits of each manoeuvre [in reducing hypersensitivity reactions]
are not entirely known. Further clinical trials should examine whether the
24-hour infusion which mandates hospitalisation, is necessary when the pre‑medication
regimen is given. This is one of the questions being evaluated in a European‑Canadian
study with a bifactorial design which is comparing 3‑ and 24‑hour
infusions at doses of 135 and 175mg/m2 in patients with ovarian
cancer. …
Nevertheless we are
still in the dark at this juncture regarding the optimal therapeutic doses and
the importance of a dose‑response effect for taxol. The pivotal European‑Canadian
study mentioned above with a bifactorial design is currently attempting to
address this issue in ovarian cancer by randomly assigning patients who have
received previous platinum therapy to one of two different taxol doses (135 and
175mg/m2) and one of two different schedules (24‑ and 3- hour
infusions). Still, the discrepancy between the two doses used in this trial may
not be wide enough to detect a significant dose‑response effect in a
heavily pre‑treated and overall drug refractory patient population.”
50
His Honour’s finding about that
editorial must be read with an earlier finding, at 471, to which senior counsel
for the respondent referred us also:
“The field of cancer
medicine is a global one. A number of eminent Australian specialists gave
evidence in this case. It is apparent from their evidence that they travel
regularly to attend overseas conferences and have access to overseas journals.”
51
It should be noted also that
his Honour referred specifically to certain passages in the evidence, including
oral evidence, in support of the proposition that the editorial would, at the
relevant time, have been known to the hypothetical skilled addressee.
52
Senior counsel for the
appellant submitted that the findings to which we have referred do not “go so
far as to show that it is being held by his Honour to be part of the common
general knowledge in the sense that it’s known to persons working in the art and
is treated by them as part of their basic common general knowledge”. In our
view, however, it is difficult to read his Honour’s findings in any other way.
If Australians working in the field customarily read major overseas literature
(and it would be very surprising if they did not) and if, before the priority
date, they read the editorial (as his Honour held that they would have) and
believed it to be reliable (as, again, his Honour held that they would have) it
is not easy to see what element is lacking without which it would not be right
to describe the information in the editorial as being, from early 1992, part of
the relevant common general knowledge. No such element was referred to in
argument; we do not think there is one; and, consequently, we accept the
submission made on behalf of the respondent.
53
Our difficulty, however, is
that this is, as we have mentioned, a case in which there was a great deal of
expert evidence. Some of that evidence was referred to in submissions, written
and oral, but we have not considered all the evidence and do not think it would
be appropriate for us to attempt to do so. Particularly in a case concerning a
complex and specialised field of knowledge, we do not think it would be
appropriate to make a finding that no inventive step was involved without an
appreciation of the expert evidence – particularly the totality of the evidence
as to common general knowledge – as a whole. For that reason, if the trial
judge’s finding of invalidity could not be supported on other grounds, we would
reluctantly conclude that the matter should be remitted to his Honour for
further consideration of the ground of obviousness.
Novelty
54
It is a requirement of a
patentable invention (s 18(1)(b)(i)) that, when compared with the prior
art base as it existed before the priority date, it be novel. Section 7(1)
describes the circumstances in which an invention is not to be taken to be
novel:
“7
(1) For the purposes of this Act, an
invention is to be taken to be novel when compared with the prior art base
unless it is not novel in the light of any one of the following kinds of
information, each of which must be considered separately:
(a) prior art information (other than that
mentioned in paragraph (c)) made publicly available in a single document or
through doing a single act;
(b) prior art information (other than that
mentioned in paragraph (c)) made publicly available in 2 or more related
documents, or through doing 2 or more related acts, if the relationship between
the documents or acts is such that a person skilled in the relevant art in the
patent area would treat them as a single source of that information;
(c) prior art information contained in a single
specification of the kind mentioned in subparagraph (b)(ii) of the definition
of ‘prior art base’ in Schedule 1.”
55
It is not necessary to refer in
detail to the definition of “prior art base” in the dictionary; it is
sufficient to say that it includes information in a document publicly available
anywhere in Australia.
56
The trial judge held that each
of seven documents, all available in Australia before the priority date,
deprived the claimed invention of novelty. The matter is best approached, we
think, by taking the first five of those documents as the starting point. Each
is a report of a Phase I trial of taxol. The first is an article written by
Mark G Kris and other authors in the publication Cancer Treatment Reports, May 1986. It reported on trials at doses
ranging from 15mg/m2 to 230mg/m2 and including 135mg/m2
and 160mg/m2. Taxol was infused over a period of three hours.
Toxicity and hypersensitivity reactions were observed; no therapeutic effects
were noted. The authors concluded:
“Hypersensitivity
reactions constitute a severe and unpredictable treatment‑limiting
toxicity for the present cremophor‑containing formulation of taxol given
on this schedule. Further studies are needed to see if pretreatment regimens,
alternative schedules …, or a reformulated preparation will permit the safe
administration of this compound.”
57
The second of the reports, by
Stephen M Longnecker and other authors, was published in Cancer Treatment Reports, January 1987. It described a liquid
chromatographic assay method for the analysis of taxol concentrations in
biological fluids. For the purposes of the trial, taxol was administered to
groups of patients in doses ranging from 15mg/m2 to 265mg/m2,
including 135mg/m2 and 170mg/m2. The duration of the
infusions was six hours. The article did not report therapeutic effects and
said little about safety. The third report was published in Cancer Research in May 1987. Its first
named author was Peter H Wiernik. It reported a Phase I study, involving
infusions over six hours, of doses ranging from 15mg/m2 to 275mg/m2,
including 135mg/m2 and 175mg/m2. Although the purpose of
the trial was, once again, to ascertain a safe dosage level, some clinical
response was recorded in four of the patients, though none of the clinical
responses, as tabulated in the paper, occurred at a dose within the range claimed
in the petty patents. The authors reported observations which suggested “that a
long duration of exposure may increase the efficacy of taxol as an antitumour
agent” and consequently recommended a twenty‑four hour infusion trial.
Their recommended dose for a Phase II trial was 250mg/m2.
58
The fourth article, by Ross C
Donehower and others, was published in Cancer
Treatment Reports in December 1987. Again the trial was directed primarily
to safety, although partial clinical responses were noted in two cases.
Infusions were administered initially over one hour, but because there was a
high incidence of acute hypersensitivity reactions the duration was increased
to six hours and patients were premedicated. Doses ranged from 15mg/m2
to 265mg/m2 and included 135mg/m2 and 170mg/m2.
Toxicity appeared to occur more severely in patients who had already been
heavily treated with other forms of therapy. The authors recommended doses of
170mg/m2 and 212mg/m2 for heavily and minimally treated
patients respectively. Both the increase of the infusion period and aggressive
premedication were reported to have substantially reduced the incidence of
hypersensitivity reactions:
“The frequency and
severity of acute reactions to taxol were similarly decreased, making further
clinical development of this drug more realistic and worthwhile based on the
antitumour activity seen. It does, however, seem prudent that initial Phase II
studies of taxol with this or other schedules be conducted in institutions
familiar with its use, and facilities should be readily available for the
management of severe type I hypersensitivity reactions.”
59
Finally, there was an article
by R B Lipton and others published in the journal Neurology in March 1989. The paper reported on two trials, one in
which taxol was infused over twenty‑four hours and the other involving
six hour infusions. Doses ranged from 15mg/m2 to 275mg/m2.
The trials were directed primarily to ascertaining the dosage at which
neuropathy occurred. The results were summarised as follows:
“Neuropathic symptoms
were not present in any patients treated with less than 200mg/m2 of
taxol. Fifty‑five percent of patients treated with doses greater than or
equal to 200mg/m2 developed neuropathy, with more cases at the
higher doses. Although the development of neuropathy is dose‑dependent,
the sample size is too small to conclude that the incidence of neuropathy
increases proportionately with doses beyond 200mg/m2.”
The
authors’ conclusion was cautious:
“Additional work is
required to characterize the mechanism and spectrum of taxol neuropathy. This
work will be of great significance if taxol realizes its promise as an
antineoplastic agent. In addition, the relationship between taxol toxicity and
neuronotrophic factors may yield fundamental insights about the role and
regulation of microtubules in neuronal function.”
60
The trial judge, as we have
mentioned, held that each of those papers disclosed the use of the claimed
method. Some qualification of that finding is, in any event, required. In fact,
only the first of the papers, Kris (1985), discloses the administration of
taxol in a dosage and over a period falling within all the claims of each of
the petty patents. None of the others discloses administration of taxol
according to the method claimed in claim 3 of either petty patent (infusion of
a duration not exceeding three hours). It may for present purposes be accepted
that disclosure of an infusion period of six hours was substantial disclosure
of the method claimed in the second petty patent, involving infusion “over a
duration less than six hours”, five hours and fifty‑nine minutes being
literally within the claim. Additionally, we accept, as his Honour held, that
publication of a method of medical treatment may nonetheless be a disclosure
when it takes the form of a report of clinical trials (although, since the
trials in question were Phase I trials designed to test for safety rather than
efficacy, we are not sure about his Honour’s statement, at 483, that “[it] is
to be assumed that the medical practitioners involved are also treating their
patients with a rational and ethical objective of alleviating their condition
and would only continue treatment if there was a reasonable prospect of
success”). The substantial question, however, is whether the mere disclosure,
in the context which we have described at some length, that in the course of
the trials doses had been administered literally according to the claims of the
petty patents, deprived the claimed invention of novelty. As to that, the trial
judge held, in substance, that it was necessary only to ask whether the method
was disclosed with sufficient clarity and that in each case it was. It was not
to the point that the information in any of the prior publications did not
recommend to the skilled reader the utility of the method disclosed:
“The test is not
whether such a reader would be persuaded by what is disclosed in the
publication to work the invention. As already noted, there was much evidence
from Bristol‑Myers’ witnesses to the effect that there was not enough
data publicly available at the priority date to confirm that a three hour
infusion period of taxol was safe. But disclosure of an invention is not a
matter of scientific proof, nor warranty of effectiveness.”
61
In Meyers Taylor Pty Ltd v
Vicarr Industries Ltd (1977) 137 CLR 228 at 235 Aickin J said:
“The basic test for
anticipation or want of novelty is the same as that for infringement and
generally one can properly ask oneself whether the alleged anticipation would,
if the patent were valid, constitute an infringement.”
62
In the case of a paper
anticipation the reverse infringement test cannot be applied literally. The
hypothetical infringement arises not because of its publication but because
someone hypothetically does, or makes, what it describes or suggests. And the
words “basic” and “generally” are not to be overlooked. As Gummow J said
(with the agreement with Jenkinson J) in Nicaro Holdings Pty Ltd v Martin Engineering Co (1990) 91 ALR 513
at 528:
“But Aickin J
described this test only as ‘generally’ applicable. Where the alleged
anticipation is a paper publication, particularly a prior patent specification,
there may be ground for debate in a comparison with the specification in suit
as to the presence of inessential integers and mechanical equivalents. … There
may also be dispute whether what has been disclosed sufficiently reveals an
essential integer, in the light of the principles in Hill v Evans (1862) 4 De G
F & J 288.”
A
similar point was made by Lockhart J in R D Werner at 569.
63
It is necessary to turn to the
judgment of Lord Westbury in Hill v Evans
(1862) 4 De G F & J 288. Lord Westbury said at 300:
“The question then
is, what must be the nature of the antecedent statement? I apprehend that the
principle is correctly thus expressed: – the antecedent statement must be such
that a person of ordinary knowledge of the subject would at once perceive,
understand, and be able practically to apply the discovery without the
necessity of making further experiments and gaining further information before
the invention can be made useful. If something remains to be ascertained which
is necessary for the useful application of the discovery, that affords
sufficient room for another valid patent.”
And,
at 301, 302:
“The invention must
be shewn to have been before made known. Whatever, therefore, is essential to
the invention must be read out of the prior publication. If specific details
are necessary for the practical working and real utility of the alleged
invention, they must be found substantially in the prior publication.
Apparent generality,
or a proposition not true to its full extent, will not prejudice a subsequent
statement which is limited and accurate, and gives a specific rule of practical
application.
The reason is manifest,
because much further information, and therefore much further discovery, are
required before the real truth can be extricated and embodied in a form to
serve the use of mankind. It is the difference between the ore and the refined
and pure metal which is extracted from it.
Again, it is not, in
my opinion, true in these cases to say, that knowledge, and the means of
obtaining knowledge, are the same. There is a great difference between them. To
carry me to the place at which I wish to arrive is very different from merely
putting me on the road that leads to it. There may be a latent truth in the
words of a former writer, not known even to the writer himself; and it would be
unreasonable to say that there is no merit in discovering and unfolding it to the
world.
Upon principle,
therefore, I conclude that the prior knowledge of an invention to avoid a
patent must be knowledge equal to that required to be given by a specification,
namely, such knowledge as will enable the public to perceive the very discovery,
and to carry the invention into practical use.”
64
Senior counsel for the
appellant relied on those passages. He relied also on well known observations
of Parker J in Flour Oxidising Co
Ltd v Carr & Co Ltd (1908) 25 RPC 428. That case involved a claim for a
process: conditioning flour by passing it “through an atmosphere containing a
gaseous oxide of nitrogen or chlorine or bromine oxidising agent in the gaseous
or vapourised state” and an apparatus by which the process could be
implemented. The claim was resisted on the basis that the patent was
anticipated by two prior specifications, one for treating flour in a somewhat
different atmosphere and for apparatus for that purpose, the other for treating
substances such as flour by “subjecting the substances to be treated to the
action of electricity whether in the form of rays from lamps, currents or
sparks”; again, the patent illustrated apparatus said to be appropriate for
performing that operation. Parker J found that the apparatus illustrated
in each of the prior specifications might be used for the purpose of treating
flour by the method claimed in the patent in suit. He held, however, that
neither prior specification amounted to an anticipation. His Lordship said, at
457:
“But where the
question is solely a question of prior publication, it is not, in my opinion,
enough to prove that an apparatus described in an earlier Specification could
have been used to produce this or that result. It must also be shown that the
Specification contains clear and unmistakable directions so to use it.”
Parker J
proceeded to hold that the directions in one of the earlier specifications
taught directly against so using the apparatus and, as to the other (at 458):
“… though there is nothing
in his Specification absolutely inconsistent with its being used as it has been
in the Defendants’ experiments, there are certainly no clear directions which
would lead to such user.”
65
Similarly, in Canadian General Electric Co Ltd v Fada
Radio Ltd (1930) 47 RPC 69 at 90, the Privy Council approved of the
following statement by the trial judge:
“Where the question
is solely one of prior publication, it is not enough to prove that an apparatus
described in an earlier specification could have been used to produce this or
that result. It must also be shown that the specifications contain clear and
unmistakable directions so to use it.”
66
Senior counsel for the
respondent relied on the decision of the Court of Appeal in The General Tire & Rubber Co v The
Firestone Tyre and Rubber Co Ltd [1972] RPC 457, particularly two passages
in the judgment at 485:
“If the earlier
publication … discloses the same device as the device which the patentee by his
claim, so construed, asserts that he has invented, the patentee’s claim has
been anticipated, but not otherwise. In such circumstances the patentee is not
the true and first inventor of the device and his claimed invention is not new
…
… If the prior
inventor’s publication contains a clear description of, or clear instructions
to do or make, something that would infringe the patentee’s claim if carried
out after the grant of the patentee’s patent, the patentee’s claim will have
been shown to lack the necessary novelty, that is to say, it will have been
anticipated.”
It is
important to remember, however, that the Court also said this, at 486:
“If, on the other
hand, the prior publication contains a direction which is capable of being
carried out in a manner which would infringe the patentee’s claim, but would be
at least as likely to be carried out in a way which would not do so, the
patentee’s claim will not have been anticipated, although it may fail on the
ground of obviousness. To anticipate the patentee’s claim the prior publication
must contain clear and unmistakable directions to do what the patentee claims
to have invented … . A signpost, however clear, upon the road to the patentee’s
invention will not suffice. The prior inventor must be clearly shown to have
planted his flag at the precise destination before the patentee.”
67
What all those authorities
contemplate, in our view, is that a prior publication, if it is to destroy
novelty, must give a direction or make a recommendation or suggestion which
will result, if the skilled reader follows it, in the claimed invention. A
direction, recommendation or suggestion may often, of course, be implicit in
what is described and commonly the only question may be whether the publication
describes with sufficient clarity the claimed invention or, in the case of a
combination, each integer of it. But in this case medical practitioners hardly
needed to be told that it was possible to infuse a particular dose of taxol
over three hours, or how to do it. Nor, equally obviously, is that the point of
the claims. The claims of the earlier of the petty patents are for a method for
administration of taxol to a patient suffering from cancer; the claims of the
later one are for a method of treating cancer. In each case the method involves
a particular regimen for the infusion of taxol. The context was that great
difficulties had been encountered in using taxol, despite its known anti‑carcinogenic
properties, in the treatment of cancer, because of the drug’s side effects.
Each of the trials reported in the articles referred to was an investigation
directed towards finding a solution of the difficulties: directed,
particularly, to ascertaining safe dosage levels. But, though methods falling
within the claims of the patents were used in each trial, none of the reports
can be said to teach (a word which in this context encompasses direct,
recommend and suggest) that which the petty patents claim.
68
Senior counsel for the
respondent acknowledged that not every prior published description of a method
falling within the claims would amount to an anticipation. He accepted that a
mere speculation as to whether the method subsequently claimed would work would
not, of itself, destroy novelty. With somewhat greater hesitation, he accepted
that a mere proposal for a trial of the method claimed might not be an
anticipation. But he submitted that, in any event, the circumstance that the
methods of administration described in the articles had been put into effect in
the Phase I trials necessarily meant that the reports anticipated the claims.
He referred, in this context, to the decision of the House of Lords in Bristol‑Myers Company (Johnson’s)
Application [1975] RPC 127. But there are several difficulties with that.
Prior use, even if unwitting, of a chemical compound subsequently claimed is,
as the authorities made clear, a different thing altogether: there is, of
course, no question of what the use teaches. Secondly, the particular use
(reported in the publications relied on here) cannot itself be relied upon as
an anticipation (and it was not relied on), because it took place outside
Australia; but, that being so, the fact that actual use is reported in a prior
publication cannot, in principle, make any difference. The question is still,
what does the prior publication teach? Each of the reports taught, no doubt,
some useful things relating to the administration of taxol. But none of them
taught the method of the claims.
69
For those reasons we
respectfully disagree with the conclusion of the trial judge that each of the
Phase I trial reports was an anticipation. In our view none of them was. That
being so, it is necessary to turn to the other two prior publications relied
on.
70
We have already referred to the
earlier of those two publications, the December 1991 editorial by Rowinsky and
Donehower in the Journal of the National
Cancer Institute, entitled “Taxol: Twenty Years Later, the Story Unfolds”.
It will be recalled that that editorial recorded a decision by the National
Cancer Institute that future trials should utilise twenty‑four hour
infusions, together with premedication, and mentioned that the trials, leading
to the claimed invention, were in progress: it mentioned them as trials the
results of which might indicate whether a twenty‑four infusion was indeed
necessary and throw some light on the optimum therapeutic dose of taxol,
particularly in patients who had previously received other therapy. Applying
the principles which we have discussed, that article is no more an anticipation
than are the reports of the Phase I trials: it teaches the method no more than
they do.
71
The last of the publications,
however, is in our view a different matter. It is an abstract, the author of
which was Dr W W ten Bokkel Huinink of the Netherlands Cancer Institute,
Amsterdam. Dr ten Bokkel Huinink was involved in the joint European‑Canadian
trial which led to the claimed invention. He wrote:
“Toxicity of taxol so
far consists of dose limiting neutropenia, general malaise, muscle cramps,
alopecia and hypersensitivity reactions, maybe related to the carrier in so far
used formulations: Cremophor. Due to these side effects and based on
preclinical screening antitumor continues [sic] infusions of 24 hours
have been used so far. Phase I and II studies revealed activity against
cisplatin refractory ovarian cancer, breast cancer and lung cancer. Further
studies to evaluate the feasibility of shorter infusion time, 3 hours versus 24
hours and a lower 135mg/m2 versus a maximum tolerated dose of
175mg/m2 are now in progress in relapsing ovarian cancer patients
both in Canada and in Europe. Already more than 200 patients have been entered
into this four‑arm randomized, NCIC guided international study. Indeed,
the 3 hours infusion time administration schedule proved to be feasible, if
given concomitantly to profylactic [sic] measures as high dose dexamethasone,
cimetidine and difenhydramine. This makes even outpatient treatment with this
first available representative of this new class of antitumor agents possible.
Major steps forward in medical oncology are rare. After doxorubicine in the
seventies, and cisplatin and carboplatin in the eighties, taxol and its
European pendant Taxotere ranks high to become the outstanding drugs of the
nineties.”
72
It was submitted that it was
necessary to decide the question of anticipation by reference to what the
skilled reader would have drawn from the abstract; and we were taken to
evidence that skilled readers would have treated the words “feasibility” and
“feasible” in the abstract as referring to safety, not efficacy. Even if that
is right, however, other aspects of the abstract must be taken into account. We
are told that earlier studies had revealed taxol’s “activity against” certain
forms of cancer; that the point of the studies then underway was to evaluate
the “feasibility of shorter infusion time” and a lower dose “versus a maximum
tolerated dose of 175mg/m2”. We are told (apparently) that what the
tests have already revealed “makes even outpatient treatment with this first
available representative of this new class of antitumour agents possible”. In
other words, it is already known that taxol is effective against certain
cancers; it is known that 175mg/m2 is a maximum tolerated dose; the
purpose of the trial is to test the feasibility of a three hour infusion of
that dose and a smaller dose; and the three hour infusion has already proved
feasible, so that outpatient treatment has been demonstrated to be possible.
Prudent practitioners might well take the view that they would prefer to await
the final outcome of the trials, both as to efficacy and as to safety, before
rushing to embrace the proposed method. But, in our view, there can be no
serious doubt that the abstract teaches the shorter infusion period, with
premedication, as a “treatment” of cancer. The necessary consequence, as it was
conceded that the abstract was published in Australia before the priority date,
is that the claimed invention lacked the novelty required by
s 18(1)(b)(i). We note that that conclusion is consistent with the
decision of the English Patents Court (to which we were not referred)
concerning a similar European Patent (though on rather different evidence and
under legislation which differs in significant respects from ours): Bristol‑Myers Squibb Co v Baker Norton
Pharmaceuticals Inc [1999] RPC 253.
Section
40
73
So far as it relates to matters
relied on by the respondent, s 40 provides:
“40 …
(2) A complete specification must:
(a) describe the invention fully, including the
best method known to the applicant of performing the invention; …
(3) The claim or claims must be clear and
succinct and fairly based on the matter described in the specification.”
74
Heerey J found that the petty
patents in suit contravened s 40. His Honour referred to a number of
aspects of them. The first was the fact that the claim was for a method of
administration to patients suffering from any form of cancer; but the trial
involved patients suffering from one form of cancer only; in those
circumstances, could the specifications be taken to disclose that the method
might with equal confidence be applied to those suffering from any form of
cancer? Secondly, the only short infusion duration tried was a three hour
infusion, but the claims cover infusions (in one case) not exceeding six hours
and (in the other) less than six hours. Thirdly, the method was claimed in the
first petty patent to “comprise” and in the second to “include” infusing a
specified dosage of taxol over a specified infusion period; the claims
therefore included the administration of taxol in combination with other drugs,
but no such combination was disclosed. His Honour, at 485, summed it up as
follows:
“Thus, having regard
to the three features already mentioned, the petty patents effectively claim a
monopoly for the use of taxol in any
dosage in the range 135 to 175 mg/m2 in combination with any other drug in the treatment of any cancer in any outpatient treatment.”
75
On appeal, the respondent
supported his Honour’s reasons and conclusion. Having filed an appropriate
notice of contentions, it relied on the following additional matters:
“1.(a) The specification of each of the petty
patents promises a new method of administration of taxol which utilises both
lower dosages of taxol and shorter infusion periods without sacrificing the
anti‑neoplastic benefits of the administration of taxol.
(b) This involves a comparison between the anti‑neoplastic
effects of 135mg/m2 over 3 hours and 175mg/m2 over 24
hours.
(c) The specification provides no data to support
that promise. In fact, the design and sample size of the reported trial were
incapable of showing an absence of statistically significant sacrifice in anti‑neoplastic
benefit by use of the invention.
(d) The claimed benefit was, accordingly
speculative.
(e) To the extent that any claim is for a method
of treatment which purports to fulfil that promise of the specification:
(i) that method is not fully described in the
body of the specification; further or alternatively,
(ii) that claim is not fairly based on the
matter described in the specification.
(f) Further, the claims are not fairly based on
the matter described in the specification because they include methods of
treatment that do not achieve the promised benefit.
2. In the case of each of the petty
patents the complete specification does not describe or fully describe a method
of administration of taxol at dosages of either 135mg/m2 or 175mg/m2:
(a) over less than 3 hours;
(b) between 3 hours and 6 hours; or
(c) at 6 hours;
3.(a) The claims of petty patent 651307 include the
requirements that the method ‘results in a reduction of hematological toxicity
and neurotoxicity compared with infusing greater than 170mg/m2 of
taxol over a duration of 24 hours’.
(b) The body of the specification does not
contain any description of such a reduction of neurotoxicity arising by reason
of the use of the method claimed.
(c) In the premises, the claims of petty patent
651307:
(i) fail fully to describe the invention;
further or alternatively
(ii) fail clearly to define the invention; further
or alternatively
(iii) are not fairly based on the matter
described in the specification.”
76
Because we have concluded that
the petty patents in any event fail for want of novelty, it is unnecessary for
us to reach conclusions on the issues arising under s 40. In this case,
though ordinarily we would prefer to reach a decision on each ground argued, we
think it is preferable not to do so. Fair basing and sufficiency are by no
means straightforward topics. That is demonstrated by the extended discussions
by Full Courts of this Court in CCOM Pty
Ltd v Jiejing Pty Ltd (1994) 51 FCR 260 at 275‑285 and in Leonardis v Sartas No. 1 Pty Ltd
(1996) 67 FCR 126 at 136‑144. Each party filed written submissions which
dealt in some detail with aspects of the s 40 issues; but they were dealt
with only briefly in oral argument, which left some significant matters
substantially unexplored.
77
The invention claimed is, after
all, a very simple one. The fact (if it is the fact) that not every method of performing
the invention will, for example, have a therapeutic effect on every kind of
cancer would not mean that the specifications do not meet the requirement of
“sufficiency” as ordinarily understood. Carr J, with whom the other
members of the Full Court agreed, in Patent
Gesellschaft AG v Saudi Livestock Transport and Trading Company (1997) 37
IPR 523 at 530, said:
“The specification
contains a full description if it makes the nature of the invention plain to
persons having reasonably competent knowledge of the subject and also makes it
plain, to persons having reasonable skill, how to perform the invention.”
78
To an extent, at least, similar
comments might be made in relation to fair basing. For example, in Rehm Pty Ltd v Websters Security Systems
(International) Pty Ltd (1988) 81 ALR 79 at 94, 95, Gummow J said:
“It is important when
dealing with ‘fair basing’ to bear in mind the different functions served by
the body of a specification and the claims. As s 40 itself indicates, the
task of the body of the specification is fully to describe the invention
including the best method of performing it known to the applicant. The
description primarily is addressed to ‘all and sundry who may wish to construct
the device after the patent has expired’: … . The function of the claims is to
define the invention and mark out the ambit of the patentee’s monopoly, and
primarily is addressed to potential rivals: … . The circumstance that something
is a requirement for the best method of performing an invention does not make
it necessarily a requirement for all claims; likewise, the circumstance that
material is part of the description of the invention does not mean that it must
be included as an integer of each claim. Rather, the question is whether there
is a real and reasonably clear disclosure in the body of the specification of
what is then claimed, so that the alleged invention as claimed is broadly, that
is to say in a general sense, described in the body of the specification.”
79
Questions of fair basing may,
no doubt, involve matters of degree (see, e.g., Aktiebolaget Hässle v Alphapharm Pty Ltd [1999] FCA 628 at par 200
and par 201): and there is a point at which matters of the kind relied on here
by the respondent go to inutility (a ground of invalidity which the respondent
does not raise) rather than lack of fair basing.
80
Beyond that, we shall confine
ourselves to two particular aspects of this part of the case. One was not
raised before us or, apparently, before the trial judge. That may perhaps be
explicable by reference to some of the evidence to which we were not referred.
It is that whereas the claims cover infusion of taxol in any vehicle and with
or without premedication, the specification describes infusion in a Cremophor
vehicle and with premedication; and it is made clear that premedication is
thought appropriate to minimise hypersensitivity reactions caused, possibly, by
the Cremophor. Presumably – all the evidence to which we were referred suggests
it – the only means so far discovered of administering taxol is that which has
been used in all the trials, despite the problems associated with it. But if a
later inventor were to discover some other way of infusing taxol, which perhaps
did not give rise to hypersensitivity reactions, administration in such a way
ought not, we should think, be prevented by claims based on the specifications
of the petty patents. So far as the commercial issues between the parties are
concerned, perhaps it does not matter whether that is so or not: but it may
well be that claims which include administration in some other vehicle or
without premedication are not, to that extent, fairly based on the
specifications.
81
Secondly, while the word
“comprising” used in the claims of the first petty patent may invite a narrower
construction, in our view his Honour was right in construing the claims of the
later petty patent (“… including infusing from 135mg/m2 over a
duration less than six hours”) as extending to the administration of taxol, as
claimed, in combination with other therapy. We are quite unable to see why the
claims, to that extent, do not “[travel] beyond the matter disclosed in the
specification”: Olin Corporation v Super
Cartridge Co Pty Ltd (1977) 180 CLR 236 at 240 per Barwick CJ.
Infringement
82
Because the facts relied on to
establish infringement were those set out in an agreed statement of facts, it
is convenient to start with the trial judge’s summary, at 485, 486:
“Those facts concern
Faulding’s conduct in Australia in relation to a drug it marketed under the
name Anzatax. The active ingredient of that drug is admitted to be taxol, which
is also referred to as paclitaxel. To avoid confusion I shall continue to use
the term “taxol”, except for direct quotation from documents.
Since 23 January 1995
Faulding sold and supplied taxol to doctors and hospitals in Australia,
together with a product information guide. The guide, consisting of fourteen A4
pages, commences with information as to the properties of taxol. There is
reference to the various forms of toxic reactions. Under the heading “Dosage
and administration” details are given as to premedication and the following is
stated (CB 4/1079):
‘For the treatment of
metastatic ovarian cancer or metastatic breast cancer, it is recommended that
paclitaxel be used as a single agent at a dose of 175 mg/m2.
Paclitaxel should be administered as an intravenous infusion over 3 hours. The
infusion should be repeated every 3 weeks as tolerated. Patients have tolerated
treatment with up to nine cycles of paclitaxel therapy, but the optimal course
of therapy remains to be established.’
As at the date of the
agreed statement of facts, taxol was approved under the Therapeutic Goods Act
1989 (Cth) in Australia only for use in the treatment of metastatic ovarian
cancer and metastatic breast cancer, after failure of standard therapy.
Also, in March 1993
Faulding publicly announced that it would supply taxol under the Special Access
Scheme (SAS). Under the scheme, introduced in December 1992, it is possible for
a patient with a prescription from his or her treating medical practitioner to
gain access to a drug that has not yet received marketing approval from the
Australian Therapeutic Goods Administration. If a practitioner forms a view
that the patient is terminally ill, or seriously ill with a life threatening
condition, the practitioner may, upon receiving the informed consent of the
patient, advise the patient that the drug is not registered for marketing in
Australia and complete an authority to supply form. This form identifies the
drug, the patient, the dosage and duration of infusion. Faulding then supplies
the hospital with taxol under SAS. There were 39 hospitals identified for the
purposes of SAS. They are situated in every state and in the Australian Capital
Territory.
The agreed statement
of facts states (para 5) that Faulding:
‘… undertook the
supply of paclitaxel to hospitals under the SAS in conjunction with so‑called
‘protocols’, although those were not clinical protocols.’
The protocols are
annexed to the agreed statement of facts. It is not quite clear who prepared
them. They typically refer to a named ‘principal physician’ and a ‘treatment
centre’ such as the Peter McCallum Cancer Institute in Melbourne. The ‘drug
sponsor’ is a named company which is said to be a division of Faulding. In any
event they include the statement:
‘Taxol will be given
as 135mg/m2 or 175mg/m2 as a continuous intravenous
infusion for 3 hours every 3 weeks for a maximum nine courses.’
It is also stated in
the agreed statement of facts that Faulding ‘arranged’ two clinical trials in
Australia in 1992 and two further clinical trials in 1994 in which taxol was
administered. Faulding supplied taxol to various named centres ‘so as to enable
them to take part in the trials’. Clinical trial protocols were prepared. The
protocols provided for a dose of 175 mg/m2 and an infusion duration
of 3 hours.
Bristol‑Myers’
final submissions included the assertion that the protocols for the two
clinical trials in 1994 ‘were prepared by Faulding’. Paragraph 1 of the agreed
statement of facts is cited as authority for that proposition but I doubt if
the language of para 1 supports the assertion.”
83
One qualification should be
added. The appellant submitted that the trial judge was wrong in finding that
it was not clear who prepared the protocols for the clinical trials, and senior
counsel for the respondent did not suggest otherwise. The appellant’s
submission is, we think, clearly right. Paragraph 7 of the agreed statement of
facts says:
“Clinical trial
protocols TAX‑8/94 and TAX‑10/94 were prepared by FHF [the respondent]. Clinical
trial protocols TAX‑1/92 and TAX‑2/92 were jointly prepared by FHF
and the Peter MacCallum Cancer Institute.”
84
Use of taxol in accordance with
the method recommended in the respondent’s product information guide, and use
in accordance with the protocols, would (assuming validity) infringe the petty
patents. The question, in those circumstances, is whether the respondent
infringed them.
85
The 1990 Act does not define
infringement (cf Copyright Act 1968
(Cth) s 36 and s 101). Section 13(1), however, provides that:
“Subject to this Act,
a patent gives the patentee the exclusive rights, during the term of the
patent, to exploit the invention and to authorise another person to exploit the
invention.”
The
word “exploit” is defined in the dictionary in Sch 1:
“ ‘exploit’, in
relation to an invention, includes:
(a) where the invention is a product – make,
hire, sell or otherwise dispose of the product, offer to make, sell, hire or
otherwise dispose of it, use or import it, or keep it for the purpose of doing
any of those things; or
(b) where the invention is a method or process
– use the method or process or do any act mentioned in paragraph (a) in respect
of a product resulting from such use.”
Part 1
of Chapter 11 contains provisions which in some respects expand, and in others
limit, the concept of infringement (that is, generally, the doing of an act,
without the authority of the patentee, which the patentee has the exclusive
right to do). Of those provisions, only s 117 is relevant for present
purposes. It provides:
“117(1) If the use of a product by a person would
infringe a patent, the supply of that product by one person to another is an
infringement of the patent by the supplier unless the supplier is the patentee
or a licensee of the patent.
(2) A reference in subsection (1) to the use of a
product by a person is a reference to:
(a) if the product is capable of only one
reasonable use, having regard to its nature or design – that use; or
(b) if the product is not a staple commercial
product – any use of the product, if the supplier had reason to believe that
the person would put it to that use; or
(c) in any case – the use of the product in
accordance with any instructions for the use of the product, or any inducement
to use the product, given to the person by the supplier or contained in an
advertisement published by or with the authority of the supplier.”
86
The respondent supplied taxol
in the ways stated in the agreed statement of facts. The question to be decided
is whether the supply was an infringement. In submitting that an affirmative
answer should be given to that question, the appellant relied both on
par (b) and par (c) of s 117(2), though oral argument
concentrated on par (c). There is a textual difficulty – which, given our
conclusion about par (c), we do not need to resolve – with the suggested
application of par (b). The use to which the appellant had reason to
believe that the taxol which it supplied would be put was, in part, use in the
treatment of patients with cancer and, in part, use in clinical trials
involving patients suffering from cancer. It is not clear, we think, that the
particular method by which it was expected to be used is properly to be
described as the use to which it was to be put. If one were to ask, to what use
is a therapeutic drug, prescribed for a patient, put, the answer might be: “It
is to be taken to cure the patient’s condition”. It would not, perhaps, be: “It
is to be taken three times daily, before meals.”
87
Paragraph (c) raises a more
complex question. The appellant’s argument commenced with the uncontroversial
proposition that use of taxol in accordance with the product information guide
or the protocols would infringe the petty patents; the next step was that the
guide and the protocols were instructions (in the sense of directions or
recommendations) given by the respondent for the use of the taxol which it
supplied, and we accept that proposition. Then, it was said, s 117(1)
applied, having regard to the dictionary in subs (2), as follows:
“If the use of [taxol] by a [medical practitioner],
in accordance with any instructions for the use of taxol … given to the [medical practitioner]
by the [respondent]
…, would infringe [either of the petty
patents], the supply of that [taxol] by [the respondent] to [the medical practitioner]
is an infringement of the [petty
patent] by the [the respondent] unless [as was not the case]
the [respondent]
is the patentee or a licensee of the [petty patent].”
88
It may be said immediately that
there is considerable force in that way of looking at it. It involves, after
all, a literal application of the words of s 117. The respondent, however,
contended for a different approach, the one adopted by Heerey J. According
to that approach, the starting point is not s 117 but the definition of
“exploit”. Where an invention is a method or process, use of a product exploits
the invention only if the product is one which results from use of the method
or process. Section 117, the argument proceeds, is concerned only with a case
where the use of a product by a person would infringe a patent (because the
person, not the patentee or a licensee, exploited it); and, where the patent is
for a method or process, that will not be so unless the product is one which
results from the use of that method or process.
89
Authority favours the
construction for which the respondent contends. Gummow J considered the
point in Rescare. It was submitted,
in that case, that the supply of certain devices (themselves allegedly
infringing products), with instructions for use, was itself an infringement of
a method claimed by the supplier. Gummow J said, at 154:
“The difficulty with
that proposition is that a pre‑condition to the operation of s 117
in relation to a method claim such as claim 9, is that there is a product the
use of which by the respondent would infringe claim 9. In other words, that
user would have to amount [to]
an ‘exploitation’ within the monopoly conferred
by s 13, which is to be read with para (b) of the definition of
‘exploit’.
As I have indicated,
where the invention relevantly claims a method or process, exploitation occurs,
other than by use of the method or process, only by the doing of an act
mentioned in para (a) of the definition of ‘exploit’. There must be an act
done ‘in respect of a product resulting from such use’. Here, the respondent
urges, and I agree, there is no such product with the result that, in a case
such as the present, s 117 has no operation.”
Gummow J
compared the position with that which arises under the rather different
provision of the 1977 United Kingdom legislation.
90
It was submitted by the
appellants that Gummow J’s reasoning was limited to the particular type of
case with which he was dealing (one where the device supplied was an “allegedly
infringing device” and where the apparatus supplied might be used to alleviate
either of two conditions, one falling within the claims, the other not), was
not of general application and could be distinguished. We do not accept that
argument. Gummow J expressed himself in general terms. The relevant claim
(claim 9 of the patent of which his Honour was concerned) was not
distinguishable, for present purposes, from the claims of the petty patent:
claim 9 read:
“A method of treating
snoring and/or obstructive sleep apnoea in a patient comprising: applying air
through a nose piece at a pressure maintained slightly greater than atmospheric
substantially continuously throughout the breathing cycle.”
Thus, as
here, the method claimed involved using an article or product, not one
resulting from the use of the method, in a particular way.
91
On appeal, the Full Court held
that the patent was wholly invalid and, therefore, it was not necessary to
consider questions of infringement. Sheppard J, accordingly, did not
consider the construction of s 117. Lockhart J said, at 24:
“The last remaining
point is whether the primary judge erred in holding that s 117 of the 1990
Act did not apply in relation to the alleged infringement of claims 9 and 11 in
that he held that it was a precondition to the operation of that section in
relation to a method claim that there be a product the use of which would
infringe that method claim. In my opinion his Honour decided that question
correctly.”
Wilcox J,
in this respect, simply agreed with the reasons given by Lockhart J. In Sartas No. 1 Pty Ltd v Koukourou &
Partners Pty Ltd (1994) 30 IPR 479 Gummow J reiterated, at 495, the
view which he had expressed in Rescare.
92
In those circumstances the
trial judge followed the view expressed by Gummow J and affirmed by the
Full Court in Rescare. However, there can be no doubt that the observations of
Lockhart J, with which Wilcox J agreed, were unnecessary to the
decision in Rescare and they were
made without elaboration and in passing: they are obiter in the true sense of
the word. In the circumstances, and as the matter has been argued before us, we
think it is open to us to examine the question of construction for ourselves
and, because of the importance of the matter, desirable that we do so. The
first thing to be said is that if the views expressed in Rescare are right, s 117 has a very limited operation:
perhaps, no practical operation at all. If the invention is a product, then to
hire, sell, or otherwise dispose of it is to “exploit” it and therefore
exclusively the right of the patentee. It is not easy to imagine circumstances
in which the supply of a product is not a sale, hire, or disposal of it. If so,
the supplier who, by operation of s 117, is an infringer is an infringer
in any event, as one who “exploits”. It is equally difficult to see what
practical operation s 117 would have in relation to an invention which is
a method or process, the use of which results in a product. If the product
supplied is that which results from the use of the method or process, then the
position is exactly the same as that where what is supplied is a patented
product. If, on the other hand, the product supplied is one the use of which in
the patented method or process results in some new product, then the case is no
different from that where use of a patented method or process does not result
in any product; an application of the construction preferred in Rescare would, as a matter of logic,
require the conclusion that s 117 could not make the supply an
infringement. Hence our opening comment: the Rescare construction leaves s 117 virtually, if not
completely, otiose.
93
The second thing to be said is
that it seems clear that s 117 was not meant by its framers to have the
limited meaning given to it in Rescare.
The report of the Industrial Property Advisory Committee, Patents, Innovation and Competition in Australia, 1984, dealt with
contributory infringement in par 14.2. That paragraph begins as follows:
“A patentee may
encounter serious difficulty in enforcing his patent where it is prone to
infringement by an eventual consumer who is supplied by an unauthorised person
with the means to infringe.
For example, a
process patent for using a selective herbicide which is a known chemical would
be infringed by a farmer who bought a container and followed instructions for
use which, when followed, unknown to the farmer, resulted in infringement of
the patent. Even if the patentee were prepared to bear the high cost of
detecting infringement by the farmer and then to bring infringement
proceedings, the result would almost certainly be unsatisfactory. The farmer
would ordinarily be unaware of the patent and an award of damages would
therefore be most unlikely. The farmer would be left with a stock of herbicide
he was forbidden to use, and the patentee would find himself with no damages
and a dissatisfied potential customer. To complicate the matter, there may be
hundreds or thousands of such ultimate consumers.
It is unreasonable
and wasteful of resources for a patentee to have to sue all of the direct
infringers with so unsatisfactory a result in each case, when the supplier is,
in a real sense, far more responsible for the commission of the infringing
acts.
We believe that it
would be far more effective, realistic and just for the patentee to be able to
take action against the supplier or middleman who facilitates the commission of
the infringing act by the ultimate consumer. The most common example of
indirect, secondary or contributory infringement is where goods, materials or
parts are supplied to a consumer with the intention that they be used, consumed
or assembled in a way which constitutes an infringement of a patent. The
intention might be evident, for example, from the provision of brochures
containing instructions on how to make a product or use a process which would
infringe a patent, or by advertisements soliciting the commission of an act
which would infringe.”
The
explanatory statement which accompanied the Bill for the 1990 Act stated
(par 170 and par 171) that the purpose of the then cl 117 was to
give effect to the Committee’s recommendation.
94
In her article “Contributory
Infringement of a Process Patent under the Patents
Act 1990: Does it Exist after Rescare?”
(1995) 6 AIPJ 217, Ms Ann Monotti discusses s 117 and its construction in Rescare and Sartas No. 1, and comes, as we do, to the conclusion that that
construction substantially deprives s 117 of effective operation. She
concludes as follows, at 228:
“In conclusion, the
section can extend and clarify the common law and there is no justification for
interpreting s 117 in a way that prevents the implementation of the policy
decision made to incorporate contributory infringement in Australian Patent
Law.”
95
We agree with that conclusion.
We may say, with all the advantages of hindsight, that the drafting of
s 117 is less than felicitous: we have already pointed to a possible
difficulty with subs (2)(b) and, more generally, it is perhaps a pity that
the drafter chose to use the phrase “use of a product”, which contains such a
clear reference to the terminology of par (a) of the definition of
“exploit”. But s 117 provides its own dictionary, in subs (2). And
our paraphrase of s 117(1), incorporating subs (2)(c), shows, in our
view, that the construction urged by the appellant is not only a possible
construction but a literal one. That literal construction being consistent with
the apparent purpose of the provision, it is, in our view, plainly to be preferred.
96
It follows that, assuming
validity of the petty patents and taking what is contained in the statement of
agreed facts as findings of fact, infringement is established, both in relation
to taxol supplied with the product information guide and to that supplied for
the purposes of the clinical trials.
97
Because, in our view,
s 117 applied to the supply of taxol by the appellant, it is unnecessary
to consider in detail the other bases on which, it was said, the appellant
infringed the petty patents. We make two comments only. First, contrary to the
view expressed by the trial judge, we agree with the view on which
Gummow J proceeded in Rescare
that the word “authorise” in s 13(1) of the 1990 Act should be taken, by
analogy, to have the meaning it has in the comparable context of the Copyright Act. The context of
s 13(1) is analogous to that of s 36 and s 101 of the Copyright Act; and there is nothing
novel in finding similar concepts behind aspects of patent and copyright law (Ramset Fasteners (Aust) Pty Ltd v Advanced
Building Systems Pty Ltd [1999] FCA 898 at par 37 and par 38). Secondly, the concepts of procurement
of and participation in infringement, discussed in cases such as Walker v Alemite Corporation (1933) 49
CLR 643, were considered in some detail by the Full Court in Ramset. It may well be that there is
little distinction, in principle, between what happened here and what was found
to have occurred there: see at par 41.
Conclusion
98
It follows from our conclusions
on novelty that the appeal must be dismissed and we so order. Given the
appellant’s success on a number of issues, however, we propose to seek written
submissions from the parties as to the appropriate order for costs. We direct
each party to file and serve written submissions on that aspect of the matter
not later than 31 March 2000.
99
The important question: “is it
ethical to patent a pharmaceutical substance or a method of medical treatment?”
admits of no satisfactory answer. In a speech made in the French Parliament in 1843
the chemist, Gay-Lussac said:
“I admit that the
quacks are a plague to society. But they pursue their fraudulent operations
whether they have patents or not, and in all imaginable forms. If we should in
this [Patents Act]
exclude all trades in which quackery exists, the statute would be quite
useless. There exists then no reasons for distinguishing the pharmaceutical
preparations from the other inventions which can be protected by patent.”
On the
other hand, Dr E R Squibb, the founder of the pharmaceutical house that is now
merged in the appellant, is reported to have said: “I do not myself think that
anything should be patented by either physician or pharmacist.”
100
The debate concerning the
ethics of medical patents continues. One aspect of this debate remains
substantially unresolved so far as the courts are concerned: whether it is
possible to obtain a patent for medical treatment or a surgical procedure. The
answer to this question cannot depend upon the resolution of moral or ethical
issues. Judges should not be called upon to resolve moral questions and,
speaking generally, legal principles are not to be ascertained by reference to
standards of ethics or morality. However, as in many areas with which all
lawyers are familiar, public policy often has a role to play in determining the
content of a particular legal principle and one question that does arise in
this case is whether, for reasons of public policy, a new medical or surgical
procedure or process for the treatment of human beings is subject matter for a
patent.
101
In the exercise of its
prerogative, the Crown had the power to regulate trade. In the 16th century
that prerogative was exercised to give special privileges to traders in order
to preserve industries already established and in order to encourage the growth
of new industries. According to an article by R A Klitzke entitled “History of
Patents Abroad” appearing in The
Encyclopedia of Patent Practice and Invention Management (1964) edited by
R Calvert, the patent granted in 1552 to Henry Smyth, a London merchant,
established monopoly patents as a regular custom for inventions. That patent
was intended to introduce foreign workmen “mete and experte” in the making of
Normandy glass in return for a monopoly privilege for twenty years under which
unauthorised persons were prohibited from manufacturing such glass. See also E
W Hulme “The History of the Patent System Under the Prerogative and at Common
Law” (1896) 12 LQR 141 continued at (1900) 16 LQR 44, where it is suggested
that the first patent for an invention of a process granted to an Englishman
was in 1440 to John of Shiedame to introduce a method of making salt. There
appears to have been no patent for an invention granted in the intervening 112
years.
102
The essence of the industrial monopoly
was that in return for a new industrial process monopoly for a specified
period, the grantee was required to introduce his process within a fixed time,
to employ and to teach English subjects in the new process and sometimes to
manufacture a minimum quantity within a given time: Sir W Holdsworth, A History of English Law, 3rd
ed (1945) vol 4, 345.
103
The grant of monopolies was the
subject of considerable abuse by the Crown, especially by Elizabeth I. Many of
her subjects in the civil and military service were rewarded with monopoly
patents, not in respect of new, but in relation to existing processes of
manufacture. This resulted in a hindrance to trade and manufacture, high prices
and inferior goods: Holdsworth, above at 347. These abuses led to the Case of Monopolies; Darcy v Allin (1601) 11 Co Rep 84b; SC
Noy 178; 72 ER 830 which held certain monopolies to be void. Darcy, a groom in
the Queen’s Privy Chamber, had been granted a monopoly for making and selling
playing cards for twenty‑one years. The Court held the patent to be bad
as “it is a monopoly against the common law”. The Court said (11 Co Rep at
86b):
“…there are three
inseparable incidents to every monopoly against the commonwealth, … the price
of the same commodity will be raised, for he who has the sole selling of any
commodity, may and will make the price as he pleases … that after the monopoly
granted, the commodity is not so good and merchantable as it was before: for
the patentee having the sole trade, regards only his private benefit, and not
the common wealth. It tends to the impoverishment of divers artificers and
others, who before, by the labour of their hands in their art or trade, had
maintained themselves and their families, who now will of necessity be
constrained to live in idleness and beggary…”
104
The monopoly granted to Darcy
was of a general kind and not one limited to a new invention produced or
imported by the monopolist. In Noy’s report of the case (at 182) the following
passage appears:
“Now therefore I will
shew you how the Judges have heretofore allowed of monopoly patents, which is
that where any man by his own charge and industry, or by his own wit or
invention doth bring any new trade into the realm, or any engine tending to the
furtherance of a trade that never was used before: and that for the good of the
realm: that in such cases the King may grant to him a monopoly patent for some
reasonable time, until the subjects may learn the same, in consideration of the
good that he doth bring by his invention to the commonwealth: otherwise not.”
105
The abuse of monopolies also
led to the Statute of Monopolies in
1623: 21 Jac 1 c 3. The statute (in s 1) declared that “all monopolies …
heretofore made or granted or hereafter to be made or granted … of or for the
sole buying, selling, making, working, or using of anything within this realm …
are and shall be utterly void and of none effect.” In prohibiting these
monopolies the statute was merely declaratory of the common law. Having declared
a general prohibition of monopolies, the statute (in ss 5 to 14) made
exceptions for certain grants. For present purposes it is only necessary to
notice s 6 which provides that no declaration contained in the statute shall
extend:
“ … to any letters
patent and grants of privilege for the term of fourteen years or under,
hereafter to be made, of the sole working or making of any manner of new
manufactures within this realm to the true and first inventor and inventors
…which others at the time of making such letters patent and grant shall not
use, so as also they be not contrary to the law nor mischievous to the state by
raising prices of commodities at home, or hurt of trade, or generally
inconvenient;”
106
Sir Edward Coke observed in 3 Institutes of the Laws of England (1644)
at 183‑184 that for a patent to be valid under s 6 it must possess seven
properties: (1) it must be for a term of twenty‑one years or under; (2)
it must be granted to the true and first inventor; (3) it must be in respect of
new (that is novel) manufactures; (4) the privilege must not be contrary to
law; (5) it must not be mischievous to the State by raising the price of
commodities at home; (6) the privilege must not be to the hurt of trade; and
(7) it must not be generally inconvenient.
107
In what circumstances it was
intended that a patent would be invalid because it was mischievous to the
State, to the hurt of trade or generally inconvenient, is far from clear.
Commenting on the words “mischievous to the State by raising prices of commodities
at home” Sir Edward Coke said (3 Institutes
at 184) that “in every such new manufacture that deserves a privilege there
must be urgens necessitas and evidens utilitas”. Obviously the hindrance to
trade, etc caused by the abuse of monopolies was in the mind of the Parliament.
So also may have been the common law offence of engrossing, that is obtaining
or purchasing large quantities of “dead victuals” with intent to sell them
again at a higher price. As has been said, monopolies had a like effect on other
branches of trade: see W Blackstone 4 Commentaries
on the Laws of England (1769) at 158.
108
In Morgan v Seaward (1837) 2 M&W 544; 150 ER 874, a case where the
Court of Exchequer held that one part of a claimed invention concerning
improvements in steam engines and in machinery for propelling vessels was void
for lack of novelty, it was said by Baron Parke (2 M&W at 562; 150 ER at
881) that:
“A grant of a monopoly for an invention which
is altogether useless may well be considered as ‘mischievous to the state, to
the hurt of the trade, or generally inconvenient,’ within the meaning of the
statute of Jac 1 which requires, as a condition of the grant, that it should
not be so, for no addition or improvement of such an invention could be made by
any one during the continuance of the monopoly, without obliging the person
making use of it to purchase the useless invention…”
Perhaps
it was this decision that led R Frost to assert that the proviso to s 6 only
gives rise to an objection that the invention is not new or useful: R Frost, Treatise on Letters Patent for Inventions
(1912) at 30.
109
It is doubtful, however, if the
excepted grants were intended to be limited to those that were not new or
lacked utility unless the notion of utility was given an expanded meaning. In Hindmarch on Patent Privileges (1846) it
was said (at 142) that the proviso:
“ … seems also to
mean that the excepted grants must not be for the sole making of any thing
which is to be used for any purpose which is illegal, or ‘contrary to law,’
such as implements for house-breaking, picking pockets, locks, etc. Such
grants, however, it is clear would be void, not only on the ground of want of
public utility, but also because they are contrary to the policy of the law;
and indeed it would be absurd if, by one law, patents might be granted to
reward persons for providing the means of violating any other law.”
And
in Letters Patent for Inventions, 2nd
ed (1897) L Edmunds wrote (at 105):
“An invention which
is ‘mischievous to the State, to the hurt of trade, or generally inconvenient,’
cannot by the very terms of the Statute of Monopolies be the subject-matter of
a valid patent. Thus it has been said, a patent taken out so extensively as to
deprive mechanics of the materials used in their trades, or a claim to methods that may thereafter be discovered
of arriving at the result patented, or any patent for illegal inventions, such
as a housebreaker’s implement, would be invalid.”
It
would seem that it was intended by the proviso that if the grant of a patent in
respect of a new invention would be illegal, mischievous to the State or, for
one reason or another, contrary to the public interest then the invention is
not the proper subject matter for a patent.
110
The relevance of an inquiry
into the scope of operation of s 6 of the Statute
of Monopolies, and in particular the effect of the proviso, is that in
Australia a patentable invention is an invention that “is a manner of
manufacture within the meaning of section 6 of the Statute of Monopolies”: see
s 18(1)(a) of the Patent Act 1990.
The result of that inquiry will determine whether a medical process is a
patentable invention.
111
The ability to patent a process
for the medical treatment of the human body has been considered in a number of
jurisdictions and the results have not been uniform. Many of the cases are
collected in the judgments of Gummow J, sitting as a single justice of the
Federal Court, in Rescare Ltd v
Anaesthetic Supplies Pty Ltd (1992) 25 IPR 119 and Lockhart J, one of the
judges on the appeal: Anaesthetic
Supplies Pty Ltd v Rescare Ltd (1994) 50 FCR 1. Although it will involve
some repetition, it is appropriate to refer to a number of these cases.
112
The first occasion upon which a
medical procedure patent was considered in England was In the Matter of C & W’s Application for a Patent (1914) 31 RPC
235. C & W applied for the grant of a patent in respect of a process for
extracting lead from persons suffering from lead poisoning. The Patent Office
refused to grant the patent and on appeal the matter was considered by the
Solicitor-General, Sir Stanley Buckmaster. The Solicitor-General took the view
that for an invention to be patentable it must “in some way [be] associated
with commerce and trade”: 31 RPC at 235. He decided that the extraction of lead
from the body of human beings was not any form of manufacture or of trade. This
is the first ground for the decision.
113
Further, during the course of
his reasons, the Solicitor-General also said that a patentable invention, which
was required to be for “any manner of new manufacture … within section 6 of the
Statute of Monopolies” did not bind
the invention to be a manner of manufacturing a product, but “it may be a …
process that can be used in making something that is, or may be, of commercial
value”: 31 RPC at 235-236. He held that a medical treatment process could not
satisfy that description. This is the second ground for the decision.
114
Later cases have shown that the
first ground upon which the Solicitor-General based his decision is not a good reason
for denying a patent for a medical process. This was made clear in Schering A.G.’s Application [1971] RPC
337. That case concerned an application for a patent for a contraceptive
process. The Patent Office had refused the application based on its practice
not to grant any patent for “processes for the treatment of human beings”. An
appeal was taken to the Patent Appeal Tribunal constituted by two eminent
patent lawyers, Graham and Whitford JJ. Their Lordships said (at 341) that it
was clear that for a process or method to be patentable it did not necessarily
have to result in the making of an object of value or be a process adapted to
that end. (In Australia this had already been authoritatively decided by the
High Court in National Research Development
Corporation v Commissioner of Patents (1959) 102 CLR 252 (NRDC).) Nevertheless they expressed the
opinion that the decision in C & W’s
Application was correct. Their Lordships’ expression of opinion was obiter,
because they held that a contraceptive process could not be described as a
treatment of disease and thus the claim fell outside the prohibition. The
principal reason given by Graham and Whitford JJ for the conclusion that a
process for medical treatment was not patentable subject matter was that Parliament
had, by necessary implication, proceeded on the assumption that such inventions
were not within the statute when enacting what became s 41 of the Patents Act 1949 (UK). That section,
which had originally been introduced to the Patents
Act 1907 (UK) as s 38A(2) and into the Patents
Act 1919 (UK) as s 11, read:
“(1) Without prejudice to the foregoing
provisions of this Act, where a patent is in force in respect of – (a) a
substance capable of being used as food or medicine or in the production of food
or medicine; or (b) a process for producing such a substance as aforesaid; or
(c) any invention capable of being used as or as part of a surgical or curative
device, the Comptroller shall, on application made to him by any person
interested, order the grant to the applicant of a licence under the patent on
such terms as he thinks fit, unless it appears to him that there are good
reasons for refusing the application.
(2) In settling the terms of licences under this
section the Comptroller shall endeavour to secure that foods, medicines and
surgical and curative devices shall be available to the public at the lowest
prices consistent with the patentees deriving a reasonable advantage from their
patent rights.
(3) A licence granted under this section shall
entitle the licensee to make, use, exercise and vend the invention as a food or
medicine, or for the purposes of the production of food or medicine or as part
of a surgical or curative device, but for no other purpose.”
115
As their Lordships pointed out,
s 41 did not relate to or even mention processes for medical treatment.
Accordingly, s 41 could not apply to them. In their Lordships’ opinion, this
demonstrated that Parliament had proceeded on the assumption that a patent
could not be granted for a process for medical treatment, because otherwise s
41 would have been extended to apply to those patents as well.
116
It is of interest to note that
in The Wellcome Foundation Limited v
Plantext Ltd [1974] RPC 514, a decision of the Supreme Court of Israel,
Witkon J, when considering whether a medical process was patentable subject
matter under the Mandatory Patents and Designs Ordinance, concluded that,
because that ordinance did not include a provision similar to s 41 of the Patents Act 1949 (UK), such a process was within the ordinance.
117
In Eli Lilly & Company’s Application [1975] RPC 438 the Patents
Appeal Tribunal, again constituted by Graham and Whitford JJ, held that a
patent should not be granted in respect of a discovery that certain compounds
had anti-inflammatory properties. On this occasion their Lordships based their
objection to the patentability of a medical process on the proviso to s 6
of the Statute of Monopolies, that
is, on the basis that such a manner of manufacture is “mischievous to the
State” or “generally inconvenient”.
118
In 1977 the Court of Appeal in The Upjohn Company (Robert’s) Application
[1977] RPC 94 confirmed that a medical process was not capable of being an
invention under the statute. The Court of Appeal did not give detailed reasons
for its acceptance of this proposition, but referred with apparent approval to C & W’s Application and to Schering. No reference was made to Eli Lilly.
119
In both Schering and Eli Lilly,
Graham and Whitford JJ commented that the reason for the exclusion of medical
process from patent protection was based on ethical grounds: see Schering at 340 and Eli Lilly at 445. These comments should not be taken to mean that
ethical considerations provided the legal basis for the exclusion of medical
process patents. In Schering their
Lordships followed the decision in C
& W’s Application where it
was not suggested that the practice which the Solicitor-General had approved
was based on ethical considerations. It seems to me that their Lordships’
reference to “ethical” considerations should be understood as a reference to
considerations of public policy.
120
Whether medical or surgical
processes constitute patentable subject matter has long been the subject of
controversy in the United States. The controversy begins with Morton v New York Eye Infirmary 17 F Cas
879 (1862). Morton had discovered that an old and well-known agent (ether) had
the effect of rendering a patient motionless and insensible during an
operation. He obtained a patent for this discovery and brought proceedings
against the infirmary for infringement. The trial court declared the patent to
be invalid. On appeal to the Second Circuit Court of Appeals, the decision was
affirmed. The Circuit Court accepted (at 883) that the discovery “rank[ed]
among the great discoveries of modern times; … its value was too great to be
estimated in dollars and cents.” Nevertheless the Court said (at 883) “the
application of a well-known agent, by well-known means, to a new or more perfect
use … is not sufficient to support a patent”. Another reason the Court gave for
the invalidity of the patent was (at 884) that “[n]either the natural functions
of an animal upon which or through which [the new force or principle] may be
designed to operate, nor any of the usual purposes to which [the new force or
principle] may be applied” can be the subject matter of a patent. This passage
in the judgment led to the view that medical and surgical methods of treating
the human body were not patentable processes: see Chisum on Patents (1999) at para 1.03.
121
Thus in 1883 the Commissioner
of Patents refused to grant a patent to an inventor who had discovered a method
of treating haemorrhoids by the use of certain instruments: see Ex parte Brinkenhoff 24 Commissioner’s
Manuscript Decision 349 (1883) reproduced in (1945) 27 Journal of the Patent Office Society 797. In rejecting the patent
the Commissioner relied upon Morton.
He said “the methods or modes of treatment of physicians of certain diseases
are not patentable … they are discoveries which may in a majority of the cases
under certain conditions accomplish certain results, but no particular method
or mode of treatment under all circumstances, and in all cases will produce
upon all persons the same result, and, hence to grant a patent for a particular
method of treatment would have a tendency to deceive the public by leading it
to believe that the method therein described and claimed would produce the
desired result in all cases.” (27 Journal
of the Patent Office Society at 798).
122
The decision in Brinkenhoff attracted a good deal of
criticism: see eg the article by Dr I Fellner, “Patentability of
Therapeutic Methods” (1946) 28 Journal of
the Patent Office Society 90. First it was posited that the legislature did
not rule out the propriety of patent protection for medical treatments as had
been the case in countries such as France, Switzerland and Germany. Second it
was said that the reasoning in Brinkenhoff
– “no particular method or mode of treatment under all circumstances, and in
all cases will produce upon all persons the same result” – was untenable in the
light of modern science and technology. Third it was argued that Morton should be confined to its own
facts.
123
In 1954 the Board of Patent
Appeals in Ex parte Scherer 103 USPQ
107 (1954) overruled Brinkenhoff. The
claim was for a method of injecting medicaments by a pressure jet. The Patents
Office had rejected the claim on the basis that a method for the treatment of
the human body was not patentable. The Appeals Board held that it was. It said
that there was nothing in the patent statute that excludes such methods and no
general rule of exclusion had been developed by judicial decisions. With regard
to Morton, the Board said that “no
proper inference that any and all medical or surgical methods are excluded from
the field of patentable subject matter can be drawn from the [decision] and
neither do the facts upon which the [decision] is based warrant such a broad
generalisation” (103 USPQ at 110). When dealing with Brinkenhoff the Board noted that the only specific reason given in
that case for denying patent protection to medical methods was the uncertainty
of the results. In the Board’s view that was not a valid reason for refusing
all methods. It pointed out, in my view correctly, that such an objection was
more properly to be considered under the question of utility which is, of
course, a separate and distinct question to that of patentability.
124
In the three decades following
the decision in Scherer few medical
procedure patents were granted. One commentator has suggested that the reason
for this was that such a patent would be difficult to enforce: see “Medical
Patents Trigger Debate Among Doctors”,
Wall Street Journal, 11 August 1994. By 1994 the position had changed.
According to B McCormick in “Restricting Patents: Bipartisan Bill would
Bar Ownership Claims for Medical Methods” (1995) 38 American Medical News 3, the Patent and Trade Mark Office granted
at least a dozen medical procedure patents per week. In 1996 J Longacre
estimated there to be approximately 100 surgical method patents: (1996) 10 Annals of Vascular Surgery, 1.
125
Two things became inevitable
with the significant growth in the number of medical and surgical procedure
patents. First, proceedings would be instituted for the infringement of one of
these patents. Second, the commencement of such a proceeding would excite
debate among the legal and medical professions and the public.
126
A proceeding was commenced by
Dr S Pallin, an ophthalmologist. In 1990 Dr Pallin had developed a method
for making a surgical incision in the eye when removing a cataract in a manner
that would allow the wound to seal without a suture. The result was that far
less scar tissue developed. Dr Pallin submitted an article describing the
procedure to a leading medical journal, but it was not published. He then
applied for and was granted a patent for his invention. In 1994 Dr Pallin
brought proceedings against Dr J Singer and the Dartmouth-Hitchcock Medical
Centre alleging that his patent had been infringed. The defendants’
unsuccessful application for summary judgment is reported in 36 USPQ (2d) 1050
(1995).
127
Following the institution of
the proceeding the American Medical Association House of Delegates voted to “condemn
the patenting of medical and surgical procedures and work with Congress to
outlaw this practice”: see W D Noonan, “Patenting Medical and Surgical
Procedures” (1995) 77 Journal of the
Patent and Trade Mark Office Society 651. A broad group of medical
associations led by the American Society of Cataract and Refractive Surgery was
formed to achieve that goal. Their efforts, and those of other public interest
pressure groups, led to legislation in 1996 that prohibited civil proceedings
for damages or an injunction against a medical practitioner who performs a
“medical activity” which would otherwise constitute an infringement or
inducement to infringe a patent issued after the legislation: see 35 USC 287(c)
(1996); see also G Mossinghoff, “Remedies Under Patents on Medical and Surgical
Procedures” (1996) 78 Journal of the
Patent and Trade Mark Office Society 789, where the history of the
legislation is traced. The legislation specifically exempts the commercial
activities of bio-technological, diagnostic and pharmaceutical companies and
does not limit their ability to enforce patents against competitors. It also
exempts from protection certain types of medical procedures by reason of the
narrow definition given to “medical activity”. That expression is defined in
s 287(c)(2)(A) to exclude “the practice of a patented use of a composition
of matter”. Accordingly, the use of a drug for treatment where the claim
involves the administration of the drug at a particular time, or a specified
dose, or with a specified concomitant medical therapy, is not a “medical
activity”: see the Report of the House and Senate Conference accompanying the
Bill which is reproduced in Appendix B to the article by Professor Mossinghoff.
Also see B G Alten, “Left To One’s Devices: Congress Limits Patents on Medical
Procedures” (1998) 8 Fordham Intellectual
Property, Media & Entertainment Law Journal 837.
128
A principled approach to the
question whether a medical or surgical process is patentable requires the
resolution of two separate issues. First, is such a process “a manner of new
manufacture” within s 6 of the Statute of
Monopolies? Second, if such a process is “a manner of new manufacture”,
does it fall within the proviso so as to be excluded from patentability?
129
In stating the first question
in this way, I do not mean to suggest that the answer depends upon an
interpretation of the word “manufacture” or the words “new manufacture” in s 6.
The true question is whether, in the developing concepts of patent law, a
medical or surgical process is a proper subject of letters patent under the
1990 Act: see NRDC at 269. However, I
have adopted the form of the first question in order to distinguish between an
inquiry into subject matter, strictly so called, and the operation of the
proviso. I do not believe it is likely that in separating the two issues in the
way that I have that, for that reason, I will arrive at an incorrect
conclusion.
130
The answer to the first
question admits of no doubt and must be in the affirmative. In the first place
in NRDC the High Court confirmed what
had already long been established: that the word “manufacture” comprehends a
process that produces a useful result and that it is not necessary for that
process to bring into existence or relate to a vendible product. In this
connection reference might also be made to Cementation
Co Ltd’s Application (1945) 62 RPC 151 and H B Rantzen’s Application (1946) 64 RPC 63. This then disposes of
one ground of objection to patentability put forward by C & W’s Application. In the second place, most medical or
surgical processes do have commercial application. In Joos v Commissioner of Patents (1972) 126 CLR 611 at 618 Barwick CJ
said in relation to this issue:
“The national
economic interest in the product of good surgery – and therefore in the
advancement of its techniques – if in no other respect than the repair and
rehabilitation of members of the work force, including management in that
grouping, is both obvious and may be regarded as sufficiently proximate, in my
opinion, as to be capable of satisfying the economic element of an invention,
if other elements are present and no impediments exist to the grant. One has
only to recall the economic impact of workers’ compensation, invalid pensions
and repatriation costs to recognise that proximity.”
Thus,
the other objection to patentability raised by C & W’s Application disappears.
131
I can now consider the second,
and that which appears to me to be the critical, question on this aspect of the
case, namely whether a medical or surgical process should be excluded from
patentable subject matter because it falls within the proviso to s 6. Such a
process is not of course contrary to law or mischievous to the State by raising
the price of commodities. However, to grant a patent for such a process may be
“generally inconvenient”, that is to say, it may be contrary to public policy
and be excluded for that reason. It is to this issue I now turn.
132
There now appears to be general
consensus that medical and surgical products are appropriate subject matter for
patents. The General Agreement on Tariffs and Trade, Agreement on Trade-Related
Aspects of Intellectual Property Rights, Article 27 provides, in part, that
“patents shall be available for any inventions, whether products or processes,
in all fields of technology, provided they are new, [are non-obvious] and are
capable of an industrial application” subject to the proviso that member States
may exclude from patentability “diagnostic, therapeutic and surgical methods
for the treatment of humans or animals”. This is so notwithstanding the fact
that many patients (perhaps millions around the world) are denied access to new
pharmaceuticals, because of the price charged by the monopolist or its
licensee. No doubt it is the ever-increasing cost of developing new and more
effective pharmaceuticals and surgical products that underlies the support for
medical and surgical product patents. That is to say, the investment needed for
the research and the development of these products justifies patent protection.
The support may also be explained, in part at least, by the fact that it is
usually a commercial organisation rather than a physician that is the inventor
of pharmaceuticals and surgical products.
133
The opponents to the grant of a
monopoly in respect of medical and surgical processes raise objections that can
be put into two broad groups: (i) the adverse effects on the provision of
medical care; and (ii) the adverse effects on medical progress and education.
In addition there is the related “ethical” question whether a medical
practitioner (medical and surgical processes are usually invented by a medical
practitioner) should be entitled to patent her invention consistent with her
obligation to provide medical services to humanity.
134
Perhaps the most powerful
argument against patenting is the idea that a patient may be denied medical
treatment that she needs. It is certainly the most emotive of the arguments. It
presumes that a medical practitioner may be unable to obtain the right to use a
particular process, or may not be able to do so within due time, and therefore
will be unwilling to undertake the process on her patients for fear of legal
action.
135
It is also said that the
traditional commitment of medical practitioners to develop, share and
disseminate new knowledge will be repressed. That is to say, the medical
practitioner who is seeking to discover a new medical or surgical process will
deliberately withhold new medical knowledge from her colleagues so as to
protect her discovery and enhance her ability to obtain patent protection for
financial reward. Another aspect of this argument is the potential conflict of
interest which could arise when a medical practitioner has an economic interest
in a patent: a conflict that might result in the practitioner not acting in the
best interests of her patient. A further aspect of this argument is the
suggestion that the existence of a patent is a disincentive to further
invention.
136
On the other side of the debate
is the underlying objective of patents, namely the promotion of science and the
advancement of the arts for the general welfare of the State. As a general
principle there can be no doubt that patent protection is desirable to
encourage new medicines and surgical methods. It is an inescapable fact that
inducement is necessary to encourage the great expense that is now required to
evaluate and investigate the utility of many new medical processes and surgical
methods.
137
As regards accessibility of
information, there are of course the compulsory licensing procedures that are
to be found in s 133 and s 134 of the 1990 Act. It is true that they may be
cumbersome and expensive to apply. However, in relation to accessibility it may
be thought that those who have obtained patent protection will seek to exploit
their monopoly rights by granting licenses when appropriate.
138
On the issue of disclosure it
has been a feature of the patent system since its inception that full
disclosure of the invention is required as the consideration for the grant.
Indeed publication with a specification of the means of working a patent may in
many respects result in a much wider dissemination of the information therein
contained than would be the case if the same information is published in a
medical journal or at a medical convention.
139
Thus, patent protection
provides some measure of guarantee that the public and not just the inventor
will benefit from the invention. Further, it may be expected that providing
patent protection to medical or surgical procedures will expedite the
development of improved medical or surgical processes and will avoid the
duplication of research efforts and expenditure. It may also be that
publication of a patent will act as an incentive for others to break new ground
and thus improve medical technology.
140
How is a court able to resolve
these competing contentions? None of them are supported by evidence. Some may
not even be capable of proof. Even if evidence was called to make good the
unsubstantiated assertions, on what basis is the court to decide how the public
interest will best be served? In Diamond
v Chakrabarty 447 US 303 (1980) the Supreme Court of the United States was
asked to rule on whether a live human-made micro-organism is patentable subject
matter. The argument against patentability raised the spectre of a serious
threat to the human race posed by genetic research. The Supreme Court said, in
relation to the dangers of allowing the patent (at 318):
“[W]e are without
competence to entertain these arguments – either to brush them aside as
fantasies generated by fear of the unknown, or to act on them. The choice we
are urged to make is a matter of high policy for resolution within the
legislative process after the kind of investigation, examination, and study
that legislative bodies can provide and courts cannot. That process involves
the balancing of competing values and interests, which in our democratic system
is the business of elected representatives. Whatever their validity, the
contentions now pressed on us should be addressed to the political branches of
the Government, the Congress and the Executive, and not to the courts.”
141
I do not believe that in a
controversial issue such as is raised by the present argument, I would be
abandoning my responsibility as a judge to follow this approach and to hold
that if public policy demands that a medical or surgical process should be
excluded from patentability, then that is a matter that should be resolved by
the Parliament.
142
It is likely that few of the arguments
admit of a definitive answer. The area of controversy is great. Public interest
groups, medical and professional associations, medical scientists and the
pharmaceutical industry, among others, would need to be approached and their
views ascertained before a court could ever hope to arrive at a reasoned
conclusion, if it could ever do so. Indeed a court might well be asked to take
account of ethical and moral considerations to arrive at a decision. This is
not the function of a court on an issue such as this. In my opinion, medical
treatment and surgical process are patentable under the legislation and, if
public policy requires a different result, it is for the Parliament to amend
the 1990 Act.
143
So far it will be apparent that
I have approached the issue as if it were res integra. This is how the trial
judge regarded the question and how it was presented to this Court on appeal.
In particular, the parties proceeded on the assumption that the point at issue
was not part of the ratio of Anaesthetic
Supplies at first instance or on appeal. However, I believe this assumption
may not be correct. It is necessary to examine this question a little further.
144
Anaesthetic Supplies concerned a patent
for an invention for treating snoring. Claims 9 and 11 of the patent were:
“9. A method of treating snoring and/or
obstructive sleep apnoea in a patient comprising: applying air through a nose
piece at a pressure maintained slightly greater than atmospheric substantially
continuously throughout the breathing cycle.
11. A method of treating snoring and/or
obstructive sleep apnoea substantially as described with reference to the
drawings.”
Rescare
Ltd brought proceedings for infringement and Anaesthetic Supplies for
revocation. In relation to claims 9 and 11, Anaesthetic Supplies based its
claim for revocation on two grounds. First it was said that the claims were not
for an invention within the meaning of the Statute
of Monopolies, because they were methods of medical treatment of the human
body. The second ground was that if the claims were for a medical treatment
they were not fairly based upon matters described in the provisional
specification.
145
Anaesthetic Supplies failed on
the first ground. After an extensive examination of the relevant case law
Gummow J held that a medical process was patentable subject matter, but went on
to find that the claims were not fairly based. Before judgment his Honour heard
an application that claims 9 and 11 should be amended in a way which, it was
said, would limit the claims to the invention described in the provisional
specification. The amendments were allowed. In the result, the revocation claim
was dismissed and an injunction was granted restraining Anaesthetic Supplies
from infringing the patent.
146
Anaesthetic Supplies then
appealed to the Full Court. On appeal Anaesthetic Supplies sought to overturn
the finding by the trial judge that claims 9 and 11 were valid as being for an
invention. It also argued that claims 9 and 11 (as amended) were not fairly
based on the provisional specification. The Full Court by majority (Lockhart
and Wilcox JJ, Sheppard J dissenting) held that a medical process claim
was patentable subject matter. However, the Court unanimously held that claims
9 and 11 were not fairly based on the provisional specification. Accordingly
the appeal was allowed, the orders of the trial judge were set aside and
instead it was declared, inter alia, that claims 9 and 11 were invalid and that
the letters patent be revoked.
147
In summary then, three judges
of the Court, Gummow J at first instance and Lockhart and Wilcox JJ on appeal,
decided in considered reasons for judgment that a medical process claim was
patentable subject matter. However, two of them held the particular patent to
be invalid for lack of fair basing. One judge, Sheppard J, decided that claims
9 and 11 were invalid, because they both lacked subject matter and were not
fairly based.
148
Every student of law knows that
our legal system is hierarchical, where the decision of one court constitutes a
binding precedent for every court that is lower in the hierarchy. What
constitutes a binding precedent is the ratio decidendi of a case. Usually the
ratio decidendi is understood to be the principle upon which the case was
decided: Osborne to Rowlett (1880) 13
Ch D 774 at 785. However, a case often raises more than one issue. When a judge
determines several issues that are raised for his consideration it is not
always easy to determine how much of what the judge has said forms part of the
ratio of the case.
149
Take as an example a case where
one party raises two issues for consideration and contends that he is entitled
to succeed on either issue. It is clear enough that if the judge rules in his
favour on both issues, the reasons for both form part of the ratio decidendi: London Jewellers Ltd v Attenborough [1934] 2 KB 206: see also Cheater v Cater [1918] 1 KB 247 where
Pickford LJ said (at 252): “If a judge states two grounds for his judgment and
bases his decision upon both, neither of those grounds is a dictum.” This is so
even though the second reason is, speaking strictly, unnecessary for the
ultimate order made by the court in view of the finding on the first issue.
150
What is the position if the
judge rules in favour of one party on one issue, thus entitling him to obtain
judgment, but rules in favour of the other party on the second issue? The
generally accepted view is that the decision on the second point is not part of
the ratio decidendi. The reason is to be found in the acceptance of the broad
proposition that a statement of principle that is not necessary to found the
judgment or order of the court, that is a statement which if not made or if
decided differently, would not alter the outcome, is obiter. This seems to stem
from a statement by Vaughan CJ in Bole v
Horton (1673) Vaugh 360 at 382: “An opinion given in court, if not
necessary to the judgment given of record, but that it might have been as well
given if no such, or a contrary, opinion had been broached, is no judicial
opinion, nor more than a gratis dictum.”
151
Two recent applications of this
view can be found in Penn-Texas
Corporation v Murat Anstalt (No
2) [1964] 2 QB 647 and In re Norway’s Application (No 2) [1990] 1
AC 723.
152
In Penn-Texas, an application was made under the Foreign Tribunals Evidence Act 1856
(UK) that an English company, by its proper officer, should attend to give
evidence on oath and produce documents for use in proceedings in New York. The
Court of Appeal decided (Penn-Texas
Corporation v Murat Anstalt (No 1) [1964] 1 QB 40) that whilst under the
statute there was no power to order a company to give evidence, there was power
to order it to produce documents, but only if they were specifically
identified. Tthe court held, however, that no order should be made because the
documents sought to be produced had not been sufficiently identified. The
American company then made a further application for specifically identified
documents. An order was made for their production and an appeal was taken to
the Court of Appeal (Penn-Texas (No 2)).
Before that court the English company again sought to raise the question
whether there was power to order the company to produce documents,
notwithstanding that this issue had been decided against it in the earlier
decision. The Court of Appeal held what had been decided in Penn-Texas (No 1) was not part of the
ratio of the case, because the ruling was not necessary for the decision. The
result of the case would have been the same if the ruling had gone the other
way.
153
In re Norway’s Application (No 2) raised
much the same issue. A Norwegian court issued a letter of request to the High
Court for the examination of two witnesses in England. The Court of Appeal held
that there was power to make the order sought under s 1 of Evidence (Proceedings in Other Jurisdictions) Act 1975 (UK), but
that no such order should be made, because the request was “fishing” (In re
State of Norway’s Application (No 1) [1987] QB 433). A second letter of
request was issued setting out the specific questions that the witnesses were
to be asked if an order for their examination was made. The orders sought were
made. On appeal, the witnesses sought to argue that on the proper construction
of s 1 there was no jurisdiction to make the order contrary to the ruling in In re Norway’s Application (No 1). The
Court of Appeal held that this ruling was not part of the ratio of the case (In re Norway’s Application (No 2)). The
reason given was that statements of the Court of Appeal in the earlier case
were not necessary for the decision of the Court. That is, the result of the
case would have been the same had the issue of jurisdiction been decided the
other way: see at 738 per May LJ, at 750 per Balcombe LJ and at 770 per Woolf
LJ.
154
Penn-Texas (No 2) and In re State of Norway’s Application (No 2) may be contrary to earlier authority.
Fairman v Perpetual Investment Building
Society [1923] AC 74 concerned a claim in negligence. The defendants owned
a block of flats that were tenanted. The plaintiff lived as a lodger with her
sister in one of the flats. She was injured when walking down the steps from
her flat; the steps were part of the common property under the control of the
landlord. The plaintiff argued that she was an invitee of the landlord and thus
was owed a higher standard of care than would have been owed to a licensee. The
House of Lords held that an invitee of a tenant was only a licensee of the
landlord when using the stairway. In fact, the plaintiff would have lost on the
facts, whether she was an invitee or a licensee, because the defect in the step
on which she had slipped was perfectly obvious: see [1923] AC at 92 per Lord
Sumner. For this reason Scott LJ in Haseldine
v C A Daw & Son Ltd [1941] 2 KB 343, said (at 352) that the principle
enunciated by the House of Lords in Fairman,
namely that an invitee of a tenant was only a licensee of the landlord was
obiter dictum. However, when the issue again came before the House of Lords in Jacobs v London County Council [1950]
AC 361 a different view was taken. Lord Simonds (with whom the other Law Lords
concurred) said that the question, invitee or licensee, was the issue that was
raised in Fairman’s case and had been
decided by the House. He said (at 371) that: “To treat their [Lordships’]
deliberate conclusions as obiter would not be consonant with the principle
which is in my view essential to our system of case law and precedent.” Thus he
concluded that the House of Lords was bound by Fairman’s case.
155
If the broad principle stated
by Vaughan CJ in Bole v Horton was to
be applied, then of course the decision in Fairman
on the question “invitee or licensee?” should have been treated as obiter,
because it was not necessary for the decision of the House in the sense that if
the ruling had gone the other way the result would have been the same. However, Lord
Simonds was prepared to treat the fact that the issue had been squarely raised
by the pleadings, fully argued by the parties and the subject of a reasoned
decision by the House, as sufficient to hold that it formed part of the ratio.
156
Another basis for thinking that
what was decided in Penn-Texas (No 1)
and In re State of Norway’s Application
(No 1) formed part of the ratio of those cases is that, in deciding whether
there was power to grant the relief sought the Court of Appeal in each case was
dealing with a point that was a necessary prelude to its further resolution of
the case, namely whether that power should be exercised. Professors Paton and
Sawer in an article entitled “Ratio Decidendi and Obiter Dictum” (1947) 63 Law Quarterly Review 461 convincingly
argue that in such a case the ruling on the preliminary point should be treated
as part of the ratio. Their view is consistent with that of Lord Simonds in Jacobs who referred to the article in
his speech.
157
In an increasingly complex
society the disputes that come before the courts are also increasing in their
complexity. Many cases raise numerous and complicated issues. Nowadays it is
generally accepted that a trial judge, and even an intermediate appellate
court, should deal with all (or at least most) of the issues raised for
consideration by the parties. If a judge fails to adopt this approach and on
appeal it is held that the ruling is in error, it would inevitably lead to a
new trial so that the unresolved issues can be determined. If a judge, mindful
of his duty, has dealt with all of the issues that have been raised for his
decision, a new trial can often be avoided. The beneficial effect of this
approach, both to the parties to the litigation and to the administration of justice
generally, cannot be overstated.
158
When a judge takes it upon
himself, conformably with his duty, to decide all of the issues that are raised
for decision, particularly those issues which he regards as a necessary step to
resolve the case, then should those of his reasons which do not form the basis
of the order ultimately made be treated as a mere obiter to be disregarded by
later courts? In my view, they should not be so treated. In the first place,
there is no reason in logic to draw a distinction between a case where a judge
decides two points of law in favour of one party that support the order made in
favour of that party (where both rulings of law are part of the ratio) and a
case where a judge decides one of those points against the party in whose
favour an order is made. It is true as Oliver Wendell Holmes pointed out in one
of his famous lectures “The life of the law has not been logic: it has been
experience.” However, this does not mean that logic should be foresaken
altogether. Common law principles should be developed in an orderly and logical
fashion to provide the certainty that a society demands from its legal system.
159
Second, to limit the ratio of a
case to rulings that support the order ultimately made is to defer too much to
form. It would often leave to the hand of the pleader the decision of what is
and what is not to be the ratio of a case. The ever-increasing use of the
declaratory order, negative and positive, shows the ease with which almost
every issue that is raised in a case could be made the subject of an order if
the pleader is sufficiently careful or, some might say, unnecessarily pedantic.
Presumably, if the parties in Penn-Texas
(No 1) and In re State of Norway’s Application (No 1)
had sought declaratory relief in relation to the power of the court to make the
orders sought, or if they had raised as questions for the determination of the
court the proper construction of the applicable statutes, that would have
transformed into ratio what the two subsequent Courts of Appeal decided was
dicta.
160
In the third place, a more
satisfying approach would be to discard the broad view of Vaughan CJ that a
ruling can only be treated as ratio if it supports the ultimate order of the
court and in its place adopt the principle that the ratio of a case is any
ruling on a point of law that is put in issue by the parties, usually through
their pleadings, and which the judge decides that he should resolve: compare N
MacCormack Legal Reasoning and Legal
Theory (1987) at 215. If this is too broad a proposition then, at a
minimum, I would hold that the ratio of a case should at least include every
ruling on a point of law that is treated by the judge as a necessary step in
reaching his ultimate conclusion in a case whether or not that ruling is in favour
of or against the party who obtains an order or judgment: see R Cross and J W
Harris Precedent in English Law, 4th
ed (1991) at 72.
161
As a result, in my opinion, the
learned trial judge was not free to determine for himself whether a medical
process was patentable subject matter. He was required to follow and should
have followed Anaesthetic Supplies in
holding that it was.
162 With regard to the other issues raised by this appeal, I am in general agreement with the reasons for judgment of Black CJ and Lehane J in holding that the appeal should be dismissed.