In Search of University Patents

Technology Transfer Tactics, in conjunction with FreePatentsOnline, has created a site (link below) which they state can allow the visitor to view all of a given university’s patents by just clicking on the name of the institution. However, while this is an interesting tool to get a snapshot of a university’s recent activity, it does not include “all of their patents, from the most recent to the oldest.” For example, clicking on the University of Minnesota (a client of SLW) shows 296 documents, mostly published patent applications, back to about 2002, plus some older reissues and plant patents. If you search for their in-force pharmaceutical patent U.S. Pat. No. 5,567,703, you can find it via FreePatentsOnline, but it is not listed as a University of Minnesota patent under “University of Minnesota.” Click on Iowa State and there are only eight patents that are not in the 7 million series; this does not comprise all of their unexpired patents. A more minor quibble is that many non-profit research institutions with substantial portfolios, such as RCT and Scripps, are not included. Also, it would have been helpful to show the legal name of the assignee of the patent documents, not just the popular name. A number of universities don’t have inventors, they simply assign applications to “The University of X,” or have changed the name of the entity that holds their patents. In summary, this is an interesting site to visit, but it is not ready for prime time analyses quite yet.

www.freepatentsonline.com
Technology Transfer Tactics Partners with Patents Online

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Federal Circuit Throws a Wrench into “Mechanism of Action” Claims

A three-judge panel of the Court of Appeals for the Federal Circuit recently decided Ariad Pharmaceuticals, Inc. et al. v. Eli Lilly & Company, appeal no. 2008-1248 (Fed. Cir. April 3, 2009), involving Blatimore et al. (U.S. Pat. No. 6,410,516). The “et al.” is M.I.T., The Whitehead Institute and Harvard University. Despite the impeccable scientific credentials of the inventors, that included two Nobel Prize winners, the panel reversed the district court’s denial of Lilly’s motion for JNOV of a jury verdict finding of validity and infringement of the claims in suit. A representative “composite” claim (80) reads as follows:

A method for modifying effects of external influences on a eukaryotic cell, which external influences induce NF-kB-mediated intracellular signaling, the method comprising reducing NF-kB activity in the cells by reducing binding of NF-kB to NF-kB recognition sites on genes which are transcriptionally regulated by NF-kB, such that NF-kB-mediated effects on external influences are modified.

Claims 144-145 are similar but recite a more specific effect – that the method reduces bacterial LPS induced expression of cytokines in mammalian cells. Since Patents4Life began a few days before this decision, the reader is respectfully requested to refer to the helpful commentary in Nature/Biotechnology, 24, 737 (Jul 2006), in which I am extensively quoted.

The jury found that the drug Evista infringed claims 80 and 95 and that the drug Xigris infringed claims 144 and 145. The plaintiff’s victory was in jeopardy from the start, as the panel recited the principles of law controlling the written description requirement (WDR) of 35 U.S.C. 112 for three pages of the slip opinion. Lilly had argued that the claims are not supported by an adequate written description of the method, since the patent does not teach how to reduce the activity of NF-kB. The specification only disclosed three functionally-named classes of inhibitor compounds, e.g., “decoy molecules”. Ariad argued that the claims could not fail the WDR since they did not recite any inhibitor compounds (in the claims), and the patent did not purport to claim any such molecules.

The Federal Circuit made short work of Ariad’s argument, essentially finding less description than they found to be inadequate in the U. of Rochester decision (the “COX-2” patents) in which the claims-in-suit recited a “non-steroidal compound” possessing certain activity, but provided no examples of such compounds.

Ariad also advanced a procedural argument – that they had presented the jury with “substantial evidence” of adequate description via an expert’s interpretation of the specification at trial. The panel found that much of the evidence was directed to the state-of-the art as it was after the 1989 date chosen by the jury as the effective filing date of the patent. The panel went on to carefully examine the specification, and found a lack of substantial evidence to support the verdict that the patent’s written description showed possession of the inhibitors by the inventors. The panel noted that the only inhibitor named was the “I-kB” molecule that binds to NF-kB to hold it in an inactive state in vivo until signals are received to release it. The panel found that the I-kB sequence was not disclosed in the 1989 application and, adding insult to injury, found that the inventors had inadequately described the sequence when they added it in a figure (43) in a later filing.

The panel reviewed the Federal Circuit’s recent (post-UC v. Lily) WDR jurisprudence, seemingly with relish when they wrote that the putative disclosure of one class of inhibitor in the patent “just represents a wish or arguably, a plan for future research” to obtain it. The panel noted that the specification contained examples of DNA sequences that were disclosed to be useful as “decoy molecules” but was unconvinced that the specification adequately taught how to use them. The panel found that the specification did not even disclose a “hypothetical example” of how to use them. The panel’s comment that hypothetical examples “certainly can be sufficient to satisfy the written description requirement,” could be a backhanded attempt to shore up the Kubin decision, in which the primary prior art, the Valiente patent, contained a hypothetical example of how to isolate the protein that Kubin et al. actually characterized. In any case, the ‘516 patent had no such examples, and the panel found “gaping holes” in its disclosure that rendered it insufficient to support “the vast scope of these generic claims.”

The panel upheld the district court’s finding on no inequitable conduct on the basis that there was no clear and convincing evidence of intent to deceive by the attorneys who handled the application. The attorneys had deleted erroneous figure 43 in a number of applications, and their failure to do so in the application that issued as the ‘516 patent did not rise to the level of “purposeful concealment.” This was the case even though materiality was considered to be high. The court had also dismissed Lilly’s attempt to demonstrate inequitable conduct due to the failure of one inventor to disclose his later work on NF-kB inhibitors to the PTO. The court felt that the inventor probably did not understand the relevance of the work to an inherent anticipation theory that Lilly had advanced. The panel restated the standard that some amount of intent must be established by clear and convincing evidence, no matter how great the materiality of the omitted information [citing Star Scientific v. R. J. Reynolds, 537 F.3d 1537 (Fed. Cir. 2008) repeatedly].

In his concurrence, Judge Linn reiterated his view as set forth in Rochester, that establishing a separate WDR in 112 was unnecessary, when the enablement requirement was adequate to test patents such as the ‘516 patent. Judge Linn also urged the Federal Circuit to address the issue of whether a specification can enable “unknown methods … an important issue that we have left unresolved.” Indeed it is. This cogent concurrence will be a subject of future posts, as will be reexamination procedure that Merck initiated to advance the inherent anticipation arguments the panel also did not consider

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Kubin Analysis Continued

My last post began a rather selective analysis of In re Kubin, which the Federal Circuit decided on April 3, 2009 (see previous post for citations to this and related decisions). Kubin’s claims to DNA molecules encoding sequences including that of the NAIL protein were found to be obvious over a patent (“Valiente”) that did not disclose either the amino acid sequence of the NAIL protein or the nucleotide sequence of the NAIL gene. However, Valiente also had not isolated either the protein or the gene, and only contained a general discussion of how this might be accomplished. Therefore, Valiente clearly could not have claimed either NAIL or the DNA sequence encoding it. Such claims would fail the written description requirement. See Lilly v. UC, 119 F.3d 1559 (Fed. Cir. 1997). However, a reference (or combination of references) must be enabling to the extent that a later invention is legally placed in the hands of the public. In re Hoeksema, 399 F.2d 269 (CCPA 1968). The Kubin panel clearly believed that Valiente, taken with the Sambrook cloning manual (from 1989(!)), met this standard.

This leaves a “patent gap” in the advance of biotechnology that could effectively halt progress in some areas where more progress might be a good thing. Valiente issued in 1997 and was apparently the closest prior art. So at some point Valiente et al. (at the Wistar Institute) stopped working on this project, and Kubin and Goodwin (apparently at Amgen) started. Now Kubin and Goodwin have been stopped by obviousness. According to the Fed. Cir., their successful cloning and sequencing was only “some minor advance in the art”. But without a patent on the NAIL protein or the gene, there is much less incentive to keep on working on finding direct or indirect uses for them. O’Farrell et al. cut themselves off by publishing early work (called “pioneering” by the Court) more than a year prior to filing on their more useful, but ultimately obvious, method. While they had only themselves (or their attorney) to blame, Kubin and Goodwin had every reason to believe they could pick up where Valiente et al. left off.

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Federal Circuit upholds Board In re Kubin – Resurrects O’Farrell Test of “Obvious to Try”

On April 3, 2009, a three judge panel of the Court of Appeals for the Federal Circuit unanimously affirmed the decision that the Board of Patent Appeals had reached in Ex Parte Kubin. The Board’s decision is discussed in the case note posted below, as are the precursor cases In re Deuel and the leading written description requirement decision, Lilly vs. UC. Keyboards of commentators more august than I will be overheated discussing this decision, but two aspects stand out as particularly notable about In re Kubin, 2008-1184 (Fed. Cir. April 3, 2009)(Serial No. 09/667,859). (A link to a this decision is available at the end of this post.)

The first is that the Federal Circuit faced up to the criticism that the Supreme Court had leveled at the Fed. Cir.’s “obvious to try” test, as the Fed. Cir. had applied it to find a novel DNA sequence unobvious In re Deuel more than twenty years ago. The Supreme Court had concluded: “In that instance [the art worker pursuing “known options” that would lead to “anticipated success”] the fact that a combination was obvious to try might show that it was obvious under s. 103.” The Fed. Cir. wrote: “Under KSR, it’s now apparent ‘obvious to try’ may be an appropriate test in more situations than we previously contemplated.”

But under what circumstances? The panel managed to give the Federal Circuit a pat on the back by falling back on a decision in the appeal of a biotech application that was twenty years old, In re O’Farrell, 853 F.2d 894 (Fed. Cir. 1988), stating: “The Supreme Court’s admonition against a formalistic approach to obviousness in this context actually resurrects this court’s own wisdom in In re O’Farrell, which predates the Deuel decision by some seven years. The Kubin panel then went on to extensively discuss O’Farrell, in which Judges Markey, Rich and Nies found the second generation method of cloning method claims obvious over the inventors’ own art.

The Kubin panel revived “obvious to try” rebuttal in the two situations in which the O’Farrell panel endorsed its use: when arriving at the invention would require undue picking and choosing from a plethora of “parameters” and “choices” so that the end result would be, in effect a patentable “invention of selection” (as our EP colleagues might say). The second situation is when the art only provides what has been referred to as an “invitation to experiment” with no, or only very general guidance as to how to succeed in reaching the invention.

After the biotechnology patent bar recovered from the shock of seeing recombinant DNA claims found obvious in this still young art, in which nearly every advance had contained patentable subject matter, we latched onto a single paragraph in O’Farrell that appeared in the opinion pages prior to the “obvious to try discussion”, in which the panel discussed the prior art reference: “Polisky contained detailed enabling methodology for practicing the claimed invention, a suggestion to modify the prior art to practice the claimed invention, and evidence suggesting that it would be successful.” (This sentence was also quoted by the Kubin panel.) Many of us called this the O’Farrell tripartite test, and turned it on its head. We would argue that the methodology in a prior art publication was absent or incomplete or even inoperable, that there was no suggestion of the modifications required to arrive at the invention and that there was no reasonable evidence that any modifications would be successful. We would argue that our client’s invention was in an area that was so unpredictable that actual reduction to practice should be required, not just an Examiner’s speculation that the modifications would yield the invention. Those were the good old days of biotech patent prosecution, and while these arguments still have considerable legal weight, those days are far behind us.
In Re Kubin and Goodwin

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