‏إظهار الرسائل ذات التسميات sandoz. إظهار كافة الرسائل
‏إظهار الرسائل ذات التسميات sandoz. إظهار كافة الرسائل

الأربعاء، 20 يوليو 2016

Quia timet, de minimis and Novartis v Hospira: Mr Justice Arnold speeds through Napp v Dr Reddy pain dispute

The IPKat is ready for a busy end of term
After a generally slow start to 2016 in terms of reported decisions emanating from the Patents Court, things have started to pick up in recent weeks.  Mr Justice Arnold has been particularly busy.  At the end of last month Mr Justice Arnold handed down not one, but two decisions in the Napp v Dr Reddy's and Sandoz dispute (see previous Kat report here).  In the first decision  -  [2016] EWHC 1517  - the judge held that there was no threat to infringe Napp's patent on the basis of the de minimis principle.  In the second decision - [2016] EWHC 1581 (Pat) (not yet on Bailii) -  he granted Napp an injunction pending appeal.

Talented Kat friend Amy Crouch (Simmons & Simmons) brings readers up to speed:

"First Judgment – No Threat to Infringe 

Background

Napp commenced infringement proceedings against both Sandoz and Dr Reddy’s in February 2016 for threatening to infringe its patent by preparing to launch generic buprenorphine transdermal patches. Buprenorphine is an opioid indicated for the treatment of non-malignant pain,  Napp’s buprenorphine transdermal patch, “BuTrans” is its most important product.  At the same time as commencing its actions, Napp applied for a preliminary injunction against Sandoz who had already obtained a marketing authorisation for its product. As a result, Sandoz provided undertakings not to launch pending the first instance decision.  Arnold J ordered an expedited trial for early June 2016. Validity was not challenged by either Defendant.

The Patent

The invention lay in the use of certain penetration-enhancing excipients which are solid at room temperature and were therefore thought to be of limited use in assisting diffusion out of the matrix into the skin. The patent disclosed that on melting and cooling, these excipients formed so called “supercooled melts”, which have a melting point above room temperature, but remain liquid after cooling to room temperature.

It was only necessary to consider claim 1:
“A buprenorphine transdermal delivery device comprising a polymer matrix layer containing buprenorphine or a pharmaceutically acceptable salt thereof, for use in treating pain in humans for a dosing interval of at least 7 days, wherein the transdermal delivery device comprises 10 %-wt buprenorphine base, 10 to 15 %-wt levulinic acid, about 10 %-wt oleyloleate, 55 to 70 %-wt polyacrylate, and 0 to 10 %-wt polyvinylpyrrolidone.”

buprenorphine
Construction

The main issues on construction were (i) whether the percentage values in the claim related to input or output values and (ii) the correct interpretation of the numerical ranges.

Arnold J preferred the Defendants’ arguments on both issues, finding that the skilled person would have understood the claim to mean (i) output values and (ii) values to be expressed in terms of whole numbers applying the conventional rounding approach e.g. to extend “10 %-wt” to ≥9.5 to < 10 .5 % wt. The word "about" should be taken to mean "a small degree of permitted imprecision over and above that implied by the usual rounding convention", although in Arnold J's view the inclusion of this word mean that the claim lacked clarity and he would have been tempted to find such a claim insufficient.

 Infringement - The de minimis principle in quia timet actions

The de minimis principle has been considered in previous patent authorities (Hoechst v BP [1998], Monsanto v Cargill [2007], Napp v Ratiopharm [2009], Lundbeck v Norpharma [2011]). In the present case Arnold J commented that the court was forced, as a matter of practical reality, to draw a line somewhere and referred to a hypothetical scenario in which only 0.01% of products fall within a claim as “precisely the kind of situation covered by the de minimis principle”.

In relation to quia timet actions, it was clear that if what the defendant threatens to do would only involve infringement on a de minimis scale, then that threat does not justify the commencement of proceedings by the patentee (whether to seek an injunction or a financial remedy). However, if there is a clear threat to do acts which fall within the claim sufficiently often that they cannot be discounted as de minimis then that is sufficient to justify bringing quia timet proceedings. In this case (i.e. where any infringement would be on a very small scale – see below), he concluded that even if the level of infringement cannot be discounted as de minimis, an injunction would be “both disproportionate and a barrier to legitimate trade”.

Both Defendants had served confidential PPDs which provided results of testing samples of their products. Uncertainty stemmed from the fact that the manufacturing processes for transdermal products are inherently variable and for this reason, it is not known how representative the tested samples are of future products.

Statistical evidence was put forward by experts by all parties and evaluated by Arnold J on the basis of his findings on construction. In relation to Sandoz’s product, even on Napp’s evidence, both of their figures of “1 in 69 million patches” (which was based on a confidence interval of 50%, which was accepted by Arnold J to be the correct interval for the balance of probabilities standard of proof) and “1 in 25,600 patches” (based on Napp’s argued confidence interval of 95%) would be de minimis and accordingly there was no threat by Sandoz to infringe.

Dr Reddy’s had provided a less detailed PPD but stated that to avoid infringement they would implement a testing regime based on a statistical protocol devised by its expert which would incorporate the Court’s findings as to what proportion of infringing patches amounts to de minimis. The protocol to be used by Dr Reddy’s was dependent upon the Court’s construction of the claims and required a finding of (i) the correct confidence interval and (ii) the threshold for the de minimis principle, which Arnold J found to be no more than 1 in 10,000 products falling within the claim. Arnold J concluded that Dr Reddy’s testing regime was sufficient to ensure its products would not fall within the claim other than to a de minimis extent. Accordingly, there was no threat by Dr Reddy’s to infringe either.

Second Judgment – Injunction Pending Appeal Granted 


The findings of no threat of infringement were dependent upon the findings on construction and permission to appeal was granted on construction alone.

Napp applied for an injunction pending the Court of Appeal decision. Arnold J considered the criteria set down by the Court of Appeal in Novartis v Hospira [2013], but noted that it was of concern that Lord Hoffman’s judgment in the Privy Council case National Commercial Bank Jamaica v Olint [2009] had not been cited. Whilst the Novartis guidelines state that “it will not usually be useful to attempt to form a view” on the prospects of the appeal, Lord Hoffman had stressed in Olint the need to consider “the relative strength of the parties’ cases” on appeal. Whilst this factor troubled Arnold J, and he considered Napp to have a weak case on appeal, based on Novartis this factor could not outweigh others.

The Novartis factors that persuaded Arnold J to grant an injunction in this case where:

The test for a preliminary injunction in life sciences...
i) Length of time before the appeal was likely to be heard:  

Dr Reddy’s solicitors had made enquiries to the effect that the Court of Appeal could, if it granted expedition, hear a one day appeal before the end of July 2016. On this basis, Arnold J decided to only grant an injunction until 16 August 2016. It is of note that, if such an expedited appeal does happen within this timeframe, then these proceedings will have progressed from Claim Form to Court of Appeal judgment in only 6 months!

ii) Balance of hardship to each party. 

Damages would not be an adequate remedy for Napp in respect of either Sandoz or Dr Reddy’s. This is a market where a price war is inevitable which will lead to significant price depression for Napp. Further, Sandoz had already effectively lost its first mover advantage due to the undertakings it had provided (in relation to which the correct remedy was a claim on the cross undertaking in damages).

Overall granting the injunction was the “lesser of two evils” and in such circumstances it is prudent to preserve the status quo. Echoing the Court of Appeal’s additional comments in Novartis, Arnold J provided a further warning to generic manufacturers by including in his reasoning the fact that the
 “Defendants could have avoided the problem if they had cleared the path for their products”.

الثلاثاء، 12 يوليو 2016

High Court summarily dismisses Seretide combination color mark

Face planting - the AmeriKat's new pastime after a summer
of political mayhem
For those readers who fancy a change from Brexit and UPC-fate related news, preferring instead a reminder of good, old fashioned IP cases, you are in luck.  A couple of weeks ago, His Honour Judge Hacon (sitting in theHigh Court) handed down his decision in Glaxo v Sandoz [2016] EWHC 1537 in which he was asked by Sandoz to determine, on a summary judgment application, whether Glaxo's EU Trade Mark No 3890126 was invalid.  The answer - yes.  Luke Maunder (Bristows LLP) reports on the decision which will be interest to anyone who loves color combination trade marks or trying to figure out how to precisely and clearly ring fence the scope of trade mark protection:
"The Facts 
Perhaps it is its common association with royalty and mystery/magic (and chocolate, unless you are the Court of Appeal), or perhaps it is its humble origins in Sea Snail mucous, but there is clearly something about the Colour Purple
Glaxo was granted an EU Trade Mark (the “Mark”) for inhalers - which is used for its Seretide® inhaler - that was represented as follows: 
Graphic Representation Description:

 
Description:    
“The trade mark consists of the colour dark purple (Pantone code 2587C) applied to a significant proportion of an inhaler, and the colour light purple (Pantone code 2567C) applied to the remainder of the inhaler.” 
The Mark was assigned an INID designation of 558, meaning it was registered as a mark consisting exclusively of one or several colours. Glaxo was pursuing Sandoz for infringement, but the judgment concerns Sandoz’s application for summary judgment in its counterclaim for a declaration that the Mark was invalid (and by extension summary judgment on Glaxo's infringement claim). 
Sandoz argued that the Mark was not a sign nor was it capable of being represented graphically within the meaning of Article 4 of the Trade Mark Regulation (TMR). At the heart of the argument was a submission that the Court should put the emphasis on the description to determine the scope of protection, which showed that what Glaxo had registered was a potentially limitless number of signs (based on the proportions of colour and potential patterns). 
The "abstraction"
Glaxo countered by suggesting that the Mark should be construed as an abstraction of the graphic representation (see right), with the description merely clarifying this, and that it therefore constituted a single sign. To the extent that the Mark did encompass narrow variants, Glaxo contended that such variants were permitted. 
Decision 
HHJ Hacon distilled his decision making process into two questions of general principle:
1.  How should a trade mark application or registration be construed where there is no strict congruence between the visual representation and the description, particularly in the context of a trade mark consisting exclusively of one or several colours?
2.  May a colour mark encompass more than one form, i.e. can there be variants without contravening Article 4 of the TMR. If so, how much freedom of variation is possible?
Having considered the submissions, he decided as follows:
1.  There is no automatic precedence as between the visual representation of a trade mark and its description. An application or registration for a trade mark should be interpreted by the court through its own eyes, doing its best to reconcile both despite any lack of congruence, although it must do so within the bounds of its INID designation, which was an “inflexible starting point”. As a side (but not minor) point, the HHJ Hacon did, however, reject Sandoz’s assertion that the words “consists of” in a trade mark application or registration should be taken as a term of art indicating the description was definitive.
    2.  Despite some creative arguments by Daniel Alexander QC based in part on Apple’s recent registration for a 3D representation of its store layout being inevitably open to variants (as the CJEU had held there was no need to include specific dimensions), a colour mark could not be validly composed of variants around a single sign (see the CJEU's decision in that case here).
Visual representation of Apple's application for a 3D mark
for specified retail store services
Taking the above answers on board, the judge went on to determine that the way the Mark was defined served only to pose a puzzle for the reader—it could be solved by interpreting the Mark either strictly (as the exact graphic representation), as the abstraction proposed by Glaxo or the potentially infinite marks proposed by Sandoz.
While he accepted that the first solution to the puzzle was a single sign, in his view the registration for the Mark had not limited itself clearly and unambiguously to just one such sign (it likely didn’t help in the judge's mind that Glaxo had, before the EUIPO, demonstrated another rectangular form of the abstraction which it said was a form of the Mark). The Mark was not sufficiently precise, clear or unambiguous as it set the reader a puzzle, and some of its solutions do not leave the reader any more certain of the Mark’s form. Consequently, the Court held, it was invalid.
Analysis
One can see shades (sorry) of the Cadburys judgment in HHJ Hacon’s thinking and indeed the Judge set out Sir John Mummery’s excellent precis of the key principles that could be distilled from the various CJEU decisions on colour mark registrations as part of his judgment. In particular, in my view the Judge particularly had in mind the following two points raised by Sir John in the Société des Produits Nestlé SA v Cadbury UK Ltd judgment: 
Graphic representation of colour  
(7) As for the second condition of graphical representation, in a mark consisting of two or more colours designated in the abstract and without contours, qualities of precision and uniformity are required. The colours must be arranged by associating them in a predetermined and uniform way.  
Colour without form/in a multitude of forms 
(8) Those requirements are not met by the mere juxtaposition of colours without shape or contours, or by reference to colours in every conceivable form, so that the consumer would not be able to recall or repeat with certainty the experience of a purchase. The scope of protection afforded by such a mark would be unknown both to the competent authorities responsible for maintaining the register and to economic competitors. Registration would confer unfair competitive advantages on the proprietor of the mark.” 
The round and rectangular abstractions argued to be forms
of the mark claimed
Further, it is worth noting that although HHJ Hacon declined to make a reference to the CJEU, he hesitated on the basis of Marques’ permitted intervention last year in Red Bull where the General Court said: 
“…it must be held that the case raises questions of principle regarding the graphic representation of a mark consisting of colours per se in the application for registration and in the registration, at least so far as concerns the interaction between the description of such a mark and that graphic representation in order to satisfy the requirements of Article 4 of Regulation No 207/2009.”
Although it is clear that the law envisages a combination colour mark is capable of being a sign, it remains to be seen just how one may successfully delineate the scope of protection for such a mark in a clear and precise manner within the bounds of the law (even when the new rules come into force next year). The guidance from HHJ Hacon is clearly a helpful further clarification of what will not be accepted, but no doubt practitioners will await any guidance on the threshold of precision that is acceptable with baited breath."