Note: This disposition is nonprecedential.
United States Court of Appeals for the Federal Circuit
2008-1108, -1116
COMMONWEALTH SCIENTIFIC & INDUSTRIAL
RESEARCH ORGANISATION,
Plaintiff-Appellee,
v.
TOSHIBA AMERICA INFORMATION SYSTEMS, INC.,
NINTENDO OF AMERICA, INC., FUJITSU COMPUTER SYSTEMS CORPORATION,
ASUS COMPUTER INTERNATIONAL, D-LINK SYSTEMS, INC.,
BELKIN CORPORATION, ACCTON TECHNOLOGY CORPORATION USA,
SMC NETWORKS, INC., 3COM CORPORATION, BELKIN INTERNATIONAL, INC.,
and ACCTON TECHNOLOGY CORPORATION,
Defendants,
and
MARVELL ASIA PTE., LTD., MARVELL INTERNATIONAL, LTD.,
and MARVELL SEMICONDUCTOR, INC.,
Movants-Appellants.
-------------------------------------------------------------------------------------------
MICROSOFT CORPORATION, APPLE COMPUTER, INC.,
HEWLETT-PACKARD COMPANY and NETGEAR, INC.,
Plaintiffs,
v.
COMMONWEALTH SCIENTIFIC & INDUSTRIAL
RESEARCH ORGANISATION,
Defendant-Appellee,
v.
MARVELL ASIA PTE., LTD., MARVELL INTERNATIONAL, LTD.,
and MARVELL SEMICONDUCTOR, INC.,
Movants-Appellants.
James M. Wagstaffe, Kerr & Wagstaffe, LLP, of San Francisco, California,
argued for plaintiff-appellee and defendant-appellee. With him on the brief were
Michael K. Ng and Keith K. Fong.
Paul B. Gaffney, Williams & Connolly LLP, of Washington, DC, argued for
movants-appellants. With him on the brief was John G. Kester. Of counsel on the brief
were Warren S. Heit, White & Case LLP, of Palo Alto, California, and Marc E.
Ackerman, of New York, New York.
Appealed from: United States District Court for the Eastern District of Texas
Judge Leonard Davis
NOTE: This disposition is nonprecedential
United States Court of Appeals for the Federal Circuit
2008-1108, -1116
COMMONWEALTH SCIENTIFIC & INDUSTRIAL
RESEARCH ORGANISATION,
Plaintiff-Appellee,
v.
TOSHIBA AMERICA INFORMATION SYSTEMS, INC.,
NINTENDO OF AMERICA, INC., FUJITSU COMPUTER SYSTEMS CORPORATION,
ASUS COMPUTER INTERNATIONAL, D-LINK SYSTEMS, INC.,
BELKIN CORPORATION, ACCTON TECHNOLOGY CORPORATION USA,
SMC NETWORKS, INC., 3COM CORPORATION, BELKIN INTERNATIONAL, INC.,
and ACCTON TECHNOLOGY CORPORATION,
Defendants,
and
MARVELL ASIA PTE., LTD., MARVELL INTERNATIONAL, LTD.,
and MARVELL SEMICONDUCTOR, INC.,
Movants-Appellants.
MICROSOFT CORPORATION, APPLE COMPUTER, INC.,
HEWLETT-PACKARD COMPANY, AND NETGEAR, INC.,
Plaintiffs,
v.
COMMONWEALTH SCIENTIFIC & INDUSTRIAL
RESEARCH ORGANISATION,
Defendant-Appellee,
v.
MARVELL ASIA PTE, LTD., MARVELL INTERNATIONAL, LTD.,
and MARVELL SEMICONDUCTOR, INC.,
Movants-Appellants.
Appeals from the United States District Court for the Eastern District of Texas in Cases
No. 06-CV-550 and No. 06-CV-549, Judge Leonard Davis.
__________________________
DECIDED: October 23, 2008
__________________________
Before LINN and DYK, Circuit Judges, and STEARNS, District Judge. ∗
STEARNS, District Judge.
Marvell Semiconductor, Inc., Marvell Asia PTE, Ltd., and Marvell Int’l, Ltd.
(collectively “Marvell”), appeal from a decision of the United States District Court for the
Eastern District of Texas denying a motion to intervene for the purpose of seeking a
stay of proceedings or, in the alternative, the disqualification of the law firm of
Townsend and Townsend and Crew LLP (“Townsend”), counsel for appellee
Commonwealth Scientific & Industrial Research Organization (CSIRO). See Microsoft
Corp. v. Commonwealth Scientific and Indus. Research Org., 2007 WL 4376104 (E.D.
Tex. Dec. 13, 2007). 1 We affirm.
∗
Honorable Richard G. Stearns, District Judge, United States District Court
for the District of Massachusetts, sitting by designation.
1
In May of 2005, anticipating suit by CSIRO, Microsoft and Intel
Corporation filed separate declaratory judgment actions against CSIRO in the Northern
District of California. In December of 2006, the actions were transferred to Judge
Leonard Davis in the Eastern District of Texas. See Case No. 6:06-CV-549-LED
(“Microsoft action”), and Case No. 6:06-CV-551-LED (“Intel action”). In December of
2006, CSIRO asserted patent infringement claims against Toshiba America Information
Systems, Inc., and ten other computer parts manufacturers. See Case No.
2008-1108, -1116 2
I. BACKGROUND
CSIRO, a scientific research arm of the Australian government, holds U.S. Patent
No. 5,487,069 (“the =069 patent”), entitled AWireless LAN.@ The =069 patent teaches a
transceiver design for the wireless transmission of data over a local area network
(“LAN”). CSIRO claims that the =069 patent defines the operating technology used by
most LAN devices worldwide. Marvell supplies semi-conductor chips to manufacturers
of LAN-related products, such as notebook computers.
Townsend represents CSIRO in its efforts to enforce the =069 patent. Townsend
has filed infringement claims on behalf of CSIRO against a number of LAN component
manufacturers, including customers of Marvell. 2 Marvell claims to have indemnity
agreements with at least three customers who are parties to the Microsoft and Toshiba
actions. 3 Townsend also represents CSIRO in negotiations over the licensing of the
=069 patent.
In February of 1999, three years before CSIRO became a client, Townsend
6:06-CV-550-LED (“Toshiba action”). Neither Microsoft nor Intel is named as a
defendant in the Toshiba action.
2
Townsend has represented CSIRO since 2002 in litigation and licensing
matters involving the =069 patent.
3
On January 23, 2005, Marvell signed an agreement to indemnify
ACustomer A@ Ain certain patent infringement claims.@ In May of 2005, Marvell and
Customer A signed a forbearance agreement tolling Customer A’s indemnification
claims. Four days later, Customer A intervened as a plaintiff in the Microsoft action. On
September 4, 2006, Marvell signed an indemnity agreement with ACustomer B.@ Three
weeks later, CSIRO filed an answer and counterclaims alleging infringement of the =069
patent by Microsoft and Intel. In October of 2006, Customer A made a second tender to
Marvell under the indemnity agreement. On December 22, 2006, CSIRO filed the
Toshiba action. One month later, Customer B made a tender to Marvell under its
indemnity agreement. There are no details in the record regarding “Customer C,” other
than a notation in Judge Davis’s opinion that the identify of Customer C (as well as
Customer B, but not Customer A) was disclosed by Marvell to the court.
2008-1108, -1116 3
began representing Marvell in trademark prosecutions. In late 2005, Marvell began
sending patent work to Townsend. During 2006, Townsend represented Marvell in the
prosecution of four patent applications for LAN-related inventions. Sometime in early
2005, Marvell learned that Townsend also represented CSIRO. In June of 2005 and
February of 2006, Marvell asked Townsend to act as an intermediary in negotiating a
license from CSIRO. Townsend advised Marvell on both occasions that a license was
unnecessary because CSIRO had no intention of suing LAN component manufacturers.
On March 5, 2007, Marvell made a third inquiry of Townsend about obtaining a
license from CSIRO. After considerable back-and-forth, Townsend informed Marvell
that it would need a written conflict waiver before undertaking a license negotiation.
Marvell agreed to waive any prospective conflict, but not past conflicts. On March 13,
2007, Marvell informed Townsend of the existence of the indemnity agreements.
Marvell accused Townsend of violating its ethical obligations and duty of loyalty to
Marvell by its continued representation of CSIRO.
On March 21, 2007, Marvell filed suit against Townsend in the California state
court, seeking to enjoin Townsend from representing CSIRO in the Microsoft and
Toshiba actions. In May of 2007, Marvell brought a declaratory judgment action against
CSIRO in the Eastern District of Texas, Case No. 6:07-CV-204-LED, seeking a
judgment of non-infringement. On June 13, 2007, the California court ruled that it
lacked jurisdiction to enter an order disqualifying a law firm from representing a party in
a federal court action.
On July 3, 2007, Marvell sought permission to intervene in the Microsoft and
Toshiba actions for the limited purpose of seeking a stay of the litigation involving its
2008-1108, -1116 4
customers, or in the alternative, the disqualification of Townsend. 4 On December 13,
2007, Judge Davis denied Marvell’s motion to intervene as moot after discussing the
merits of Marvell’s motion to stay and/or disqualify (both of which Judge Davis also
denied). 5 This appeal followed.
II. DISCUSSION
This Court has jurisdiction pursuant to 28 U.S.C. § 1295(a)(1). Denying a motion
to intervene is a final judgment subject to appellate review. See Stringfellow v.
Concerned Neighbors In Action, 480 U.S. 370, 377 (1987) (“[W]hen an order prevents a
putative intervenor from becoming a party in any respect, the order is subject to
immediate review.”). We need not decide whether in general in considering an appeal
from the denial of a motion to intervene, we may also consider the merits of the specific
underlying reason for which intervention is sought, in this case the disqualification
motion. This is an unusual situation in which a district court denied a motion to
intervene after rejecting the underlying disqualification motion on its merits. 6 We
4
No customer of Marvell joined the motion; one opposed it.
5
Marvell sought to intervene in the alternative as a matter of right, although
its motion clearly fell under the permissive intervention prong of Fed. R. Civ. P. 24(b),
and was treated as such by Judge Davis.
6
Marvell also sought, in the alternative, a stay pursuant to the “customer-
suit doctrine.” Under this doctrine, “litigation against or brought by the manufacturer of
infringing goods takes precedence over a suit by the patent owner against customers of
the manufacturer.” Katz v. Lear Siegler, Inc., 909 F.2d 1459, 1464 (Fed. Cir. 1990).
The district court rejected a stay on the ground that Marvell’s justification – that a stay
would obviate the need to disqualify Townsend – was spurious in light of Marvell’s
admission that a stay would not in fact negate the issue. As Judge Davis observed,
“partially staying the case without addressing the disqualification issue would . . . only
prolong the issue instead of efficiently disposing of it.” We agree with the district court’s
reasoning in this regard and follow its example in focusing our analysis on the motion
for disqualification.
2008-1108, -1116 5
conclude that the district court did not err in rejecting the motion to disqualify, and thus
did not err in denying intervention. 7
As the parties recognize, a motion to disqualify counsel is governed by Fifth
Circuit law. Picker Int=l, Inc. v. Varian Assocs., Inc., 869 F.2d 578, 580-81 (Fed. Cir.
1989). In the Fifth Circuit, motions to disqualify counsel “are determined by applying
standards developed under federal law,” and “by reference to the ethical rules
announced by the national profession.” In re Dresser Indus., Inc., 972 F.2d 540, 544,
543 (5th Cir. 1992). 8 In resolving conflict issues, the Fifth Circuit looks to the American
Bar Association (ABA) Model Rules. See Perillo v. Johnson, 205 F.3d 775, 801 (5th
Cir. 2000); In re Asbestos Litig., 90 F.3d 963, 977 (5th Cir. 1996); Beets v. Scott, 65
F.3d 1258, 1269-70 (5th Cir. 1995). ABA Model Rule 1.7(a) states that:
[e]xcept as provided in paragraph (b), a lawyer shall not represent a client
if the representation involves a concurrent conflict of interest. A
concurrent conflict of interest exists if:
(1) the representation of one client will be directly adverse to
another client; or
(2) there is significant risk that the representation of one or more
clients will be materially limited by the lawyer=s responsibilities to
another client, a former client or third person or by a personal
interest of the lawyer.
In his analysis, Judge Davis concluded that Marvell’s motion should be governed
by the more lenient disqualification standard that applies to former as opposed to
concurrent client representation. In this regard, Judge Davis credited Townsend’s claim
7
Since the issue has not been raised by either party, we express no view
as to whether the district court properly tied the intervention motion to the merits of the
disqualification motion.
8
The moving party bears the burden of proving that disqualification is
warranted. See In re Am. Airlines, Inc., 972 F.2d 605, 614 (5th Cir. 1992).
2008-1108, -1116 6
that it only became aware of the potential conflict arising from its representation of
CSIRO in March of 2007 when Marvell disclosed the existence of the indemnity
agreements. Upon being informed of the agreements (and after being denied a waiver),
Townsend terminated its representation of Marvell.
In deciding to treat CSIRO as a former client of Townsend’s, Judge Davis relied
principally on comment 5 to ABA Model Rule 1.7. Comment 5 recognizes the “thrust
upon” exception to what is colloquially termed the “hot potato” gambit C the stratagem
by which a law firm creates a conflict to rid itself of one client so as to retain another
(usually more lucrative) client. 9 See Picker, 869 F.2d at 582. As Judge Davis
explained, “[t]he ‘thrust upon’ exception applies when [as here] unforeseeable
developments cause two concurrent clients to become directly adverse.” Microsoft,
2007 WL 4376104, at *6.
Marvell objects vehemently to Judge Davis’s finding that it created the conflict in
March of 2007 by disclosing to Townsend the hitherto concealed indemnity agreements.
Marvell maintains that the conflict arose in September of 2006 when Townsend filed
counterclaims on behalf of CSIRO in the Microsoft action, and was exacerbated in
December of 2006 when the Toshiba action was filed (thereby potentially exposing
9
Comment 5 to ABA Model Rule 1.7 states that “[u]nforeseeable
developments, such as changes in corporate and other organizational affiliations or the
addition or realignment of parties in litigation, might create conflicts in the midst of a
representation, as when a company sued by the lawyer on behalf of one client is bought
by another client represented by the lawyer in an unrelated matter. Depending on the
circumstances, the lawyer may have the option to withdraw from one of the
representations in order to avoid the conflict. The lawyer must seek court approval
where necessary and take steps to minimize harm to the clients. See Rule 1.16. The
lawyer must continue to protect the confidences of the client from whose representation
the lawyer has withdrawn. See Rule 1.9(c).”
2008-1108, -1116 7
Marvell to liability under the agreements). 10 Marvell contends that Townsend should
have known of the existence of the agreements because such agreements are an
“industry standard.” Therefore, Marvell argues, it was incumbent on Townsend to
Adiscover@ the conflict without Marvell’s assistance.
The argument is unpersuasive. As Judge Davis observed,
Marvell takes the position that it had no reason to disclose its indemnity
obligations as those agreements might be used against them in licensing
negotiations with CSIRO. While Marvell is free to choose which facts it does and
does not disclose to counsel, Marvell cannot subsequently assert those
purposefully withheld facts as a means to disqualify. This is the exact scenario
Comment 5 [to ABA Model Rule 1.7] contemplates.
Microsoft, 2007 WL 4376104, at *7. We agree with Judge Davis that the more lenient
standard of ABA Model Rule 1.9 governing conflicts involving the representation of
former clients applies to Marvell’s motion to disqualify. 11
In cases involving former representation, a party moving for disqualification must
prove that the present and former matters are so “substantially related” that confidential
client information may be presumed to have been disclosed or that such information
was actually disclosed by counsel. Am. Airlines, 972 F.2d at 614-15. Under the
“substantial relationship” test, the movant must prove: A(1) an actual attorney-client
10
Marvel knew as early as 2004 of the threat of litigation over the =069
patent. Marvell participated in joint meetings convened among potential defendants to
develop a common defense strategy. CSIRO filed the first of its infringement actions
against Buffalo Technology (USA), Inc., in the Eastern District of Texas in February of
2005.
11
“A party seeking to disqualify opposing counsel on the ground of a former
representation must establish that: (1) an actual attorney-client relationship existed
between the moving party and the opposing counsel; (2) the present litigation involves a
matter that is ‘substantially related’ to the subject of the movant’s prior representation;
and (3) the interests of the opposing counsel’s present client are materially adverse to
the movant.” ABA Model Rule 1.9.
2008-1108, -1116 8
relationship between [it] and the attorney [it] seeks to disqualify and (2) a substantial
relationship between the subject matter of the former and present representations.@ Id.
at 614. In applying the test, courts consider three relevant factors: A(1) the factual
similarities between the current and former representations, (2) the similarities between
the legal questions posed, and (3) the nature and extent of the attorney’s involvement
with the former representation.@ Power Mosfet Techs, L.L.C. v. Siemens AG, 2002 WL
32785219, at *2 (E.D. Tex. Sept. 30, 2002). We agree with Judge Davis that Marvell
failed to meet its burden of showing a substantial relationship between the prior work
done on its behalf by Townsend and the LAN-related products figuring in the Microsoft
and Toshiba actions. 12
With respect to the disclosure of confidential client information, Marvell raises
several possibilities, only one of which merits discussion. In June of 2007, Townsend
undertook to recruit attorney Andrew Pratt as an associate in its Washington, D.C.
office. While employed as a junior lawyer at the firm of McGuireWoods LLP, Pratt
attended a meeting on February 1, 2007, at which Marvell’s strategy in dealing with the
CSIRO litigation was discussed. Marvell also claims that Pratt was copied on related
emails and other documents. When Townsend learned of the conflict involving Pratt, it
asked Marvell for a waiver. When Marvell refused, Townsend rescinded its job offer to
Pratt who has since been given only unrelated legal work by Townsend as a home-
based independent contractor. Marvell does not contradict Townsend’s affidavits that
12
Specifically, Judge Davis noted that Marvell offered no evidence – only
“broad statements” – that Townsend worked on matters related to Marvell’s LAN
products, and gave no explanation of how Townsend’s work on Marvell’s LAN patent
applications in 2006 could possibly relate to products that were accused in litigation
begun eighteen months earlier.
2008-1108, -1116 9
Pratt has no access to Townsend’s files, computer network, or telephone system, or
that he has no interaction with the lawyers assigned to the CSIRO team. 13 We agree
with Judge Davis that Townsend fully discharged its ethical obligations to Marvell by the
manner in which it dealt with Pratt.
Because we find that the district court properly denied Marvell’s motion to
intervene, we affirm.
13
“Townsend employees have been instructed not to communicate with
[Pratt] regarding his limited work for Marvell or any matters pertaining to CSIRO, and he
has been instructed not to talk to anyone at Townsend about such work.@ J.A. 632
(Herhold Decl. & 4).
2008-1108, -1116 10