United States Court of Appeals for the Federal Circuit
2006-1254
IN RE METOPROLOL SUCCINATE PATENT LITIGATION
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ASTRAZENECA AB, AKTIEBOLAGET HASSLE,
and ASTRAZENECA LP,
Plaintiffs/Counterclaim
Defendants-Appellants,
v.
KV PHARMACEUTICAL COMPANY,
Defendant/Counterclaimant-
Appellee,
and
ANDRX PHARMACEUTICALS, LLC and ANDRX CORPORATION,
Defendants/Counterclaimants-
Appellees,
and
EON LABS, INC.,
Defendant-Appellee.
Robert L. Baechtold, Fitzpatrick, Cella Harper & Scinto, of New York, New York,
argued for plaintiffs/counterclaim defendants-appellants. With him on the brief were
Henry J. Renk and Lisa B. Pensabene. Of counsel was Tara A. Byrne.
Charles A. Weiss, Kenyon & Kenyon LLP, of New York, New York, argued for
defendant/counterclaimant-appellee, KV Pharmaceutical Company. With him on the
brief were Richard L. DeLucia and Anita Pamintuan Fusco.
2
Steven A. Maddox, Foley & Lardner LLP, of Washington, DC, argued for
defendants/counterclaimants-appellees, Andrx Pharmaceuticals, LLC and Andrx
Corporation. With him on the brief were George E. Quillin and Douglas H. Carsten.
Also on the brief was Alan R. Clement, Hedman & Costigan, P.C., of New York, New
York.
William A. Alper, Cohen, Pontani, Lieberman & Pavane, of New York, New York,
argued for defendant-appeellee, Eon Labs, Inc. With him on the brief was Richard
Margiano.
Appealed from: United States District Court for the Eastern District of Missouri
Judge Rodney W. Sippel
2
United States Court of Appeals for the Federal Circuit
2006-1254
IN RE METOPROLOL SUCCINATE PATENT LITIGATION
_______________________________________________
ASTRAZENECA AB, AKTIEBOLAGET HASSLE,
and ASTRAZENECA LP,
Plaintiffs/Counterclaim
Defendants-Appellants,
v.
KV PHARMACEUTICAL COMPANY,
Defendant/Counterclaimant-
Appellee,
and
ANDRX PHARMACEUTICALS, LLC and ANDRX CORPORATION,
Defendants/Counterclaimants-
Appellees,
and
EON LABS, INC.,
Defendant-Appellee.
________________________
DECIDED: July 23, 2007
________________________
Before MAYER, SCHALL, and GAJARSA, Circuit Judges.
Opinion for the court filed by Circuit Judge GAJARSA. Circuit Judge SCHALL dissents
in part.
GAJARSA, Circuit Judge.
This is a consolidated multidistrict patent infringement litigation. Plaintiffs
AstraZeneca AB, Aktiebolaget Hässle, and AstraZeneca LP (collectively “Astra”) filed
multiple suits in various district courts asserting that the Abbreviated New Drug
Applications (“ANDA”) filed respectively by Defendants KV Pharmaceutical Co. (“KV”),
Andrx Pharmaceuticals, LLC, and Andrx Corp. (collectively “Andrx”), and Eon Labs, Inc.
(“Eon”) under 21 U.S.C. § 355(j) infringe Astra’s patents. Specifically, Astra alleged that
Defendants’ ANDAs seeking approval from the Food & Drug Administration to
manufacture and market generic versions of Toprol-XL® infringed Astra’s patents
pursuant to 35 U.S.C. § 271(e). The Judicial Panel on Multidistrict Litigation
consolidated the suits in the District Court for the Eastern District of Missouri. The
district court found Astra’s patents invalid and unenforceable, and granted Defendants’
motions for summary judgment. In re Metoprolol Succinate Patent Litigation (“Summary
Judgment”), No. 04-1620, slip op. (E.D. Mo. Jan. 17, 2006).
This court affirms the district court’s invalidity holding based on double patenting.
Because a genuine issue of material fact remains, however, we vacate the district
court’s inequitable conduct holding and remand the case.
I.
Astra manufactures and markets metoprolol succinate in “extended release”
forms under the brand name Toprol-XL®. Metoprolol is a therapeutically active
compound, which can form salts by reaction with acids and is used in the treatment of
angina, hypertension, and congestive heart failure. Metoprolol succinate is the salt of
metoprolol with succinic acid. See Summary Judgment, slip op. at 2-3.
2006-1254 2
A. Invention and Ownership
In 1971, an Astra employee “named Toivo Nitenberg synthesized metoprolol
succinate as well as the tartrate and sulfate salts of metoprolol” at Astra’s facilities in
Sweden. At the time, Astra chose to commercialize the tartrate salt product. Id. at 28.
Similarly in 1982, another Astra employee in Sweden named Lars Lilljequist synthesized
a number of metoprolol salts, including metoprolol succinate. The parties submitted
conflicting evidence as to whether two other Astra employees in Sweden, Curt
Appelgren and Christina Eskilsson, had directed Lilljequist to synthesize metoprolol
succinate. See id. at 28-30.
In 1983, Appelgren and Eskilsson left Astra to join another company, Lejus
Medical AB (“Lejus”). In January 1984, Lejus filed a patent application (SE 8400085)
with the Swedish Patent Office, describing “delayed and extended release dosage
forms of pharmaceutical compositions, including metoprolol succinate” and naming
Appelgren and Eskilsson as the inventors. In January 1985, Lejus filed U.S. application
Ser. No. 690,197 (the ’197 Application), claiming priority from the Swedish application.
Id. at 30.
In October 1985, after noticing the publication of the Swedish application, Astra
commenced a transfer of ownership action with the Swedish Patent Office asserting that
Nitenberg, not Appelgren and Eskilsson, invented metoprolol succinate. Astra and
Lejus subsequently settled this ownership dispute. Id. at 30-31. In the settlement
agreement, Lejus agreed to divide claims to “metoprolol succinate” and to a
“pharmaceutical composition, characterized in that the active substance is metoprolol
succinate” from the ’197 Application and to assign the divided claims to Astra. The
2006-1254 3
settlement agreement listed Appelgren and Eskilsson as the inventors of the divided
metoprolol succinate claims. Astra agreed that Lejus retained the rights to the ’197
Application that did not include the divided claims.
B. Astra’s U.S. Patents
In March 1988 and in accordance with the settlement agreement, Lejus filed U.S.
application Ser. No. 172,897 (the ’897 Application), which was a continuation-in-part of
the ’197 Application. The record indicates that while the settlement agreement resolved
the issue of ownership, disagreement remained on the issue of inventorship. Lejus filed
the ’897 Application with Appelgren and Eskilsson as the named inventors. Both before
and after the filing, however, Astra’s in-house counsel asserted to Lejus that Nitenberg,
not Appelgren and Eskilsson, was the inventor of metoprolol succinate. Similarly, after
Lejus transferred the prosecution of the ’897 Application to Astra, Astra’s in-house
counsel asserted to Astra’s outside U.S. patent counsel that “there remains an open
question who is the proper inventor.” The last mention of this issue in the record is a
phone call between Astra’s in-house counsel and outside U.S. patent counsel in
January 1989. Summary Judgment, slip op. at 32-35.
In March 1991, the ’897 Application issued as U.S. Patent No. 5,001,161 (the
’161 Patent). The only claim of the ’161 Patent reads: “A pharmaceutical composition
comprising metoprolol succinate together with a sustained release pharmaceutically
acceptable carrier.” Id. col.2 ll.36-38.
In January 1992, a continuation of the ’897 Application issued as U.S. Patent No.
5,081,154 (the ’154 Patent). The only claim of the ’154 Patent simply reads, “Metoprolol
succinate.” Id. col.2 l.36.
2006-1254 4
The ’161 and ’154 Patents both list Appelgren and Eskilsson as the inventors,
and Astra as the assignee. Astra never revealed the inventorship issue to the U.S.
Patent & Trademark Office during the prosecution of the two patents. Summary
Judgment, slip op. at 25.
C. Lejus’s U.S. Patent
During the same time period, Lejus’s ’197 Application issued as U.S. Patent No.
4,780,318 (the ’318 Patent) in October 1988. Lejus is the assignee of the ’318 Patent,
which also lists Appelgren and Eskilsson as the inventors. While Lejus, Appelgren, and
Eskilsson are not parties in this multidistrict litigation, the ’318 Patent is pertinent
because the district court invalidated Astra’s ’161 and ’154 Patents as double patenting
over Lejus’s ’318 Patent. Claim 6 of the ’318 Patent claims an improved release oral
pharmaceutical composition having (i) “a core comprising the therapeutically active
compound,” (ii) “a first inner layer coating on the core,” and (iii) “a second outer layer
coating on the inner layer.” Id. col.5 ll.42-55. Claim 8 claims this composition,
wherein the active compound is quinidine sulphate, quinidine
bisulphate, quinidine gluconate, quinidine hydrochloride, metoprolol
tartrate, metoprolol succinate, metoprolol fumarate, or furosemide,
5-aminosalicylic aicd [sic], propranolol or alprenolol or a
pharmaceutically acceptable salt thereof, or a mixture thereof with
another weak base, weak acid, or salt thereof having a pka of 1 to
8.
Id. col.5 ll.61-68 (emphasis added).
D. Procedural History
Defendants KV, Andrx, and Eon each filed an ANDA under 21 U.S.C. § 355(j)
seeking approval from the Food & Drug Administration to market metoprolol succinate
formulations with the bioequivalence of Astra’s Toprol-XL®, certifying under
2006-1254 5
§ 355(j)(2)(A)(vii)(IV) that the ’161 and ’154 Patents are invalid or will not be infringed.
In 2003 and 2004, Astra filed multiple infringement actions based on the ’161 and ’154
Patents against Defendant KV in the District Court for the Eastern District of Missouri
and against Defendants Andrx and Eon in the District Court for the District of Delaware.
The defendants counterclaimed for declaratory judgment of invalidity and
unenforceability. In August 2004, the Judicial Panel on Multidistrict Litigation issued a
transfer order, consolidating the actions for pretrial proceedings in the District Court for
the Eastern District of Missouri.
All three defendants moved for summary judgment for invalidity of the ’161 and
’154 Patents based on double patenting and invalidity of the ’161 Patent based on
anticipation. Defendant Andrx also filed, and Defendants Eon and KV subsequently
joined, a motion for summary judgment for unenforceability of both patents based on
inequitable conduct. Astra cross-moved for partial summary judgment for validity of the
’154 Patent.
In January 2006, the district court issued a summary judgment decision and
accompanying judgment in favor of the defendants, granting both motions of the
defendants and denying Astra’s motion. Observing that other claims and counterclaims
remained pending, the parties correctly moved for a judgment pursuant to Fed. R. Civ.
P. 54(b) before filing a notice of appeal. The district court entered judgment pursuant to
Fed. R. Civ. P. 54(b). Astra appealed the grant of summary judgment for invalidity of
the ’154 Patent based on double patenting and the grant of summary judgment for
unenforceability of both patents based on inequitable conduct. Astra did not appeal the
2006-1254 6
grant of summary judgment for invalidity of the ’161 Patent based on anticipation and
double patenting.
This court has jurisdiction of the appeal pursuant to 28 U.S.C. § 1295(a)(1).
II.
A. Standard of Review
This court reviews de novo the grant of summary judgment. Genzyme Corp. v.
Transkaryotic Therapies, Inc., 346 F.3d 1094, 1096 (Fed. Cir. 2003). Summary
judgment is appropriate when there are no genuine issues of material fact and the
moving party is entitled to judgment as a matter of law. Fed. R. Civ. P. 56(c); Anderson
v. Liberty Lobby, Inc., 477 U.S. 242, 247-48 (1986).
B. Invalidity
Astra’s opening appellate brief states explicitly that “[a]lthough Astra disagrees
with the district court’s decision of invalidity of the ’161 patent, Astra is not appealing
that judgment.” Appellant Br. 4. Therefore, the parties do not dispute, and we do not
review, the invalidity of the ’161 Patent. Astra appeals only the judgment that the ’154
Patent was invalid for obvious-type double patenting.
“This court reviews double patenting without deference.” Perricone v. Medicis
Pharm. Corp., 432 F.3d 1368, 1372 (Fed. Cir. 2005) (citation omitted). “De novo review
is appropriate because double patenting is a matter of what is claimed, and therefore is
treated like claim construction upon appellate review.” Georgia-Pacific Corp. v. U.S.
Gypsum Co., 195 F.3d 1322, 1326 (Fed. Cir. 1999); cf. Eli Lilly & Co. v. Barr Labs., Inc.,
251 F.3d 955, 967-72 (Fed. Cir. 2001) (evaluating evidentiary submissions to determine
whether claims were patentably distinct in obvious-type double patenting challenge).
2006-1254 7
We have noted that “[n]on-statutory, or ‘obviousness-type,’ double patenting is a
judicially created doctrine adopted to prevent claims in separate applications or patents
that do not recite the ‘same’ invention, but nonetheless claim inventions so alike that
granting both exclusive rights would effectively extend the life of patent protection.”
Perricone, 432 F.3d at 1373 (citation omitted).
Generally, an obviousness-type double patenting analysis entails
two steps. First, as a matter of law, a court construes the claim in
the earlier patent and the claim in the later patent and determines
the differences. Second, the court determines whether the
differences in subject matter between the two claims render the
claims patentably distinct. A later claim that is not patentably
distinct from an earlier claim in a commonly owned patent is invalid
for obvious-type double patenting. A later patent claim is not
patentably distinct from an earlier patent claim if the later claim is
obvious over, or anticipated by, the earlier claim.
Eli Lilly, 251 F.3d at 968 (footnote and citations omitted).
In this case, under the heading “Claim construction,” the district court construed
Claim 8 of the ’318 Patent as directed
to an oral pharmaceutical composition that has (i) a core that
contains metoprolol succinate (or one of several other drugs), (ii)
the core is surrounded by an inner coating that allows a controlled
release of metoprolol succinate, and (iii) an outer coating that
resists dissolving in the stomach with the goal of releasing the
metoprolol succinate close to or within the colon.
Summary Judgment, slip op. at 10 (emphasis added). The only claim of the ’154 Patent
claims “[m]etoprolol succinate,” which the district court construed to be the composition
itself. Id. at 17.
Next, under the heading “Comparing the claims,” the district court compared the
claims. Stating that Claim 8 of the ’318 Patent “is directed to certain pharmaceutical
compositions containing metoprolol succinate” and that the ’154 Patent “broadly claims
2006-1254 8
any pharmaceutical compositions containing metoprolol succinate,” the district court
found the ’154 Patent to be a genus of the species claimed by the ’318 Patent. Since
the species claimed by the ’318 Patent issued prior to the genus claimed by the ’154
Patent, the district court concluded that the ’154 Patent was “void for double patenting
because it is not patentably distinct f[ro]m” Claim 8 of the ’318 Patent. Id. at 19-20.
The parties agree that the district court correctly construed Claim 8 of the ’318
Patent and the only claim of the ’154 Patent in its summary judgment decision under the
heading “Claim construction.” This court perceives no error in the district court’s claim
constructions, and therefore, the only issue on appeal regarding the invalidity of the ’154
Patent is whether the district court correctly found the claims not patentably distinct. 1
Astra asserts that the district court erred in concluding that Claim 8 of the ’318
Patent and Claim 1 of the ’154 Patent recited a species/genus relationship. Instead,
Astra asserts that the claims define an element/combination relationship. This court has
stated that such disputes “about the characterization of the relation between the two
claims” in a double patenting context are irrelevant.
Emert insists that the claims stand in a combination (’624 patent)
and subcombination (’887 application) relationship. The PTO
insists that the claims stand in a genus (’887 application) and
species (’624 patent) relationship. . . . In spite of the parties’
eagerness to conform the round-peg facts of the case into
semantic, square holes, the critical inquiry remains whether the
claims in the ’887 application define an obvious variation of the
invention claimed in the ’624 patent.
In re Emert, 124 F.3d 1458, 1461-62 (Fed. Cir. 1997). Therefore, Astra’s reliance on
semantic distinctions fails.
1
To the extent that Astra asserts that the district court changed the claim
constructions improperly between headings, this unarticulated argument would simply
be an attempt to recast the patentably distinct inquiry into a claim construction mold.
2006-1254 9
The holding of Emert also dictates that this court affirm the district court’s finding
of double patenting in this case. In Emert, this court held the claims of an application
unpatentable for double patenting, finding that “the ’887 application’s claimed invention,
an oil soluble dispersant comprising B1, while not anticipated by the ’624 patent due to
the slight modification of three claim limitations, would have been prima facie obvious in
light of the claim to the combination [A and B]” because the patentee “effectively
conced[ed] that the differences between B and B1 are not material and would have
been obvious to a person having ordinary skill in the art.” 124 F.3d at 1463. Similarly,
in this case, Claim 1 of the ’154 Patent claiming a compound (A1) is an obvious
variation of Claim 8 of the ’318 Patent claiming a composition comprised of one
compound of an enumerated list (A1, A2, A3, etc.), an inner layer (B), and an outer
layer (C). Specifically, it would have been an obvious variation of Claim 8 of the ’318
Patent to omit the inner layer (B) and the outer layer (C). Astra offers no convincing
reason why Emert does not apply. 2 See also Geneva Pharms., Inc. v. GlaxoSmithKline
PLC, 349 F.3d 1373, 1382-83 (Fed. Cir. 2003) (holding that later patent claiming
pharmaceutical composition was obvious variant of earlier patent claiming
pharmaceutical composition with “enhanced storage stability, the closed container, [and]
the packaged unit-dosages”).
Instead, Astra asserts that other cases favor a finding of validity in this case.
First, Astra cites three decisions of the Court of Customs and Patent Appeals, one of
the predecessors of this court, for the proposition that there is no double patenting
2
Moreover, the omission of the known elements from the composition in
this case is “the product not of innovation but of ordinary skill and common sense.”
KSR Int’l Co. v. Teleflex Inc., 550 U.S. ----, 127 S. Ct. 1727, 1742 (2007).
2006-1254 10
because an earlier claim to a combination sets forth a later claimed element. The cases
cited by Astra do appear to support this proposition. See In re Walles, 366 F.2d 786
(C.C.P.A. 1966); In re Allen, 343 F.2d 482 (C.C.P.A. 1965); In re Heinle, 342 F.2d 1001
(C.C.P.A. 1965). Indeed, the dissent in Allen characterizes the decision as establishing
“a new and dangerous rule” and provides a presciently appropriate hypothetical:
Thus, as I interpret the majority opinion, an applicant would be
allowed to patent a chemical combination, e.g., a wonder drug and
a suitable carrier for the drug, and then later to patent the drug
alone based upon an application filed after the combination
application. Seventeen years after the combination of drug and
carrier had been patented, the public would still not be free to use
the drug with the carrier or in any other obvious manner because of
the dominance of the later issued patent to the drug alone. That
result is an unlawful extension of the patent . . . .
343 F.2d at 1322-23 (Almond, J., dissenting).
The decisions of the Court of Customs and Patent Appeals bind this court. In re
Stereotaxis, Inc., 429 F.3d 1039, 1041 (Fed. Cir. 2005) (citing South Corp. v. United
States, 690 F.2d 1368, 1371 (Fed.Cir.1982) (en banc)). Where decisions of the Court
of Customs and Patent Appeals conflict, however, the later issued decision controls
“because the Court of Customs and Patent Appeals always sat in banc and therefore
later decisions overcome earlier inconsistent ones.” Celestaire, Inc. v. United States,
120 F.3d 1232, 1235 (Fed. Cir. 1997) (citation omitted).
Here, In re Schneller, 397 F.2d 350 (C.C.P.A. 1968), is a later issued decision
that refutes the suggestion that under the previous holdings of Walles, Allen, and
Heinle, a patentee may claim an element after claiming the combination without fear of
double patenting. In Schneller, the Court of Customs and Patent Appeals affirmed a
double patenting rejection where the patentee’s
2006-1254 11
first application disclosed ABCXY and other matters. He obtained a
patent claiming BCX and ABCX, but so claiming these
combinations as to cover them no matter what other feature is
incorporated in them, thus covering effectively ABCXY. He now,
many years later, seeks more claims directed to ABCY and
ABCXY. Thus, protection he already had would be extended, albeit
in somewhat different form, for several years beyond the expiration
of his patent, were we to reverse. . . . He was shown no
justification for such extended protection. He has made no effort
not to extend it.
397 F.2d at 355-56. Similarly, in this case, Lejus first obtained a patent claiming (A1,
A2, A3, etc.)BC in Claim 6 of the ’318 Patent, and years later, Astra obtained a patent
claiming A1 in Claim 1 of the ’154 Patent. Moreover, Schneller explicitly limited Heinle
and Allen to the “particular fact situations” of those cases. Id. at 355 (citation omitted).
Therefore, Astra’s reliance on Walles, Allen, and Heinle fails because Schneller controls
as the later issued Court of Customs and Patent Appeals decision.
Second, citing to General Foods Corp. v. Studiengesellschaft Kohle mbH, 972
F.2d 1272, 1281 (Fed. Cir. 1992), Astra asserts in its briefs that this court’s “precedent
makes clear that the disclosure of a patent cited in support of a double patenting
rejection cannot be used as though it were prior art, even where the disclosure is found
in the claims.” This is true. The disclosure of the claims forming the basis of a double
patenting rejection cannot be used as “prior art” for a rejection under 35 U.S.C. §§ 102,
103. The language of General Foods and of the precedents cited in the decision
explain, however, that what is claimed, as opposed to what is disclosed to one skilled in
the art, remains critical. See id. at 1281-82. Indeed, adopting Astra’s argument that
there can never be “double patenting simply because a later claimed element is set
forth in an earlier claim to the combination,” Appellant Br. 52, would require that this
court eviscerate obviousness-type double patenting, thereby reducing invalidity based
2006-1254 12
on double patenting to the § 101 statutory prohibition against claims of the same
invention. See Geneva, 349 F.3d at 1377-78 (stating that “applicants can evade this
[§ 101] statutory requirement by drafting claims that vary slightly from the earlier patent”
and that this “court’s predecessor . . . recognized this problem and fashioned a doctrine
of nonstatutory double patenting (also known as ‘obviousness-type’ double patenting) to
prevent issuance of a patent on claims that are nearly identical to claims in an earlier
patent” (footnote omitted)).
General Foods is also factually distinguishable. In General Foods, the earlier
patent claimed a nine-step process for recovering caffeine. 972 F.2d at 1277. The later
patent, challenged for double patenting, claimed a two-step process for decaffeinating
coffee. Id. at 1276. Contrary to the district court’s findings, id. at 1280, and the
representations of the dissent-in-part, post at 5-6, these two processes had only one
step in common—“decaffeinating raw coffee with supercritical water-moist carbon
dioxide,” see General Foods, 972 F.2d at 1277-78. The other eight steps of the earlier
patent related to recovering caffeine, while the other step of the later patent related to
recovering decaffeinated coffee. See id. Therefore, the earlier patent claimed a nine-
step process comprising steps ABCDEFGHJ, 3 and the later patent claimed a two-step
process comprising steps AK. Based on this construction of the claims, this court
reversed the district court’s holding that the later patent was an obvious variant of the
earlier patent. Specifically, the district court’s opinion exhibited a “distressing failure to
adhere to firmly established and universally understood rules of claim interpretation” by
“using nothing but the disclosure of clause (a) of claim 1 as though it were prior art, and
3
We preserve the language of the original claim, which contains no step I.
Id. at 1277.
2006-1254 13
in not reading claim 1 to determine what invention it defines-like the metes and bounds
of a deed.” See id. at 1280-81, 1283. By contrast, in this case, the composition of the
earlier patent claim includes the compound of the later patent claim in its entirety.
Specifically, the earlier patent not only discloses but also claims a composition
comprised-in-part of metoprolol succinate. Therefore, General Foods does not preclude
a finding that a claim on a compound (A) cannot be an obvious variant of an earlier
claim on a composition comprised of compound (A), inner layer (B), and outer layer (C).
Third, Astra asserts that In re Coleman, 189 F.2d 976 (C.C.P.A. 1951), requires
that courts analyze “badges of distinctness.” Astra does not dispute that it never raised
this “badges of distinctness” argument with the district court. Even if Astra had
preserved this argument, the defendants correctly point out that Coleman examined
statutory “same invention” double patenting before the Court of Customs and Patent
Appeals recognized the doctrine of non-statutory, obvious-type double patenting in its
current form. See id. at 1159-60 (“As is usual in such cases, the issue reduces itself to
a determination of whether or not the appealed claims and those in the patents are
directed to one and the same invention.”); General Foods, 972 F.2d at 1280 (“[T]he
development of the law came to a turning point in In re Zickendraht, 319 F.2d 225
(C.C.P.A. 1963), particularly in the concurring opinion therein. Soon thereafter the
obvious variant kind of double patenting came to be known as ‘obviousness-type’
double patenting.”). Moreover, Astra fails to cite any controlling case that has applied
the “badges of distinctness.”
Lastly, Astra asserts that the district court’s public policy statement that a
contrary finding of validity “would defeat the public policy behind the double patenting
2006-1254 14
doctrine which is to allow the public to freely use a patent upon its expiration” was
erroneous. Regardless of the parties’ characterization of it, the district court made this
statement in a concluding paragraph after already holding that the ’154 Patent was
invalid for double patenting. See Summary Judgment, slip op. at 20.
Therefore, based on Emert, this court agrees with the district court that Claim 1
of Astra’s ’154 Patent is invalid for obviousness-type double patenting. Astra does not
appeal the district court’s invalidity holdings regarding Astra’s ’161 Patent. Accordingly,
we affirm the district court’s summary judgment holding Astra’s asserted patents invalid.
C. Unenforceability
The district court also held on summary judgment that that the ’161 and ’154
Patents were unenforceable based on inequitable conduct. 4 Summary Judgment, slip
op. at 42-45. While Astra asserts several errors regarding this holding, we focus on the
district court’s factual finding of an intent to deceive.
We have stated that “‘[i]ntent need not, and rarely can, be proven by direct
evidence.’ Rather, intent to deceive is generally inferred from the facts and
circumstances surrounding the applicant’s overall conduct.” Impax Labs., Inc. v.
Aventis Pharm. Inc., 468 F.3d 1366, 1375 (Fed. Cir. 2006) (quoting Merck & Co., Inc. v.
Danbury Pharmacal, Inc., 873 F.2d 1418, 1422 (Fed. Cir. 1989)). Because “[t]his court
has consistently treated inequitable conduct as an equitable defense that may be
adjudicated by the trial court without a jury,” Agfa Corp. v. Creo Prods. Inc., 451 F.3d
4
We reach this issue because the parties dispute whether a patentee may
reinstate the validity of a patent by filing a terminal disclaimer during litigation. This
court has not decided the issue. See Perricone, 432 F.3d at 1375 (stating that “while [a
patentee] might still file a terminal disclaimer to overcome prospectively the double
patenting basis for invalidity, this court makes no determination about the retrospective
effect of such a terminal disclaimer”).
2006-1254 15
1366, 1375 (Fed. Cir. 2006), a “patentee has no right to a jury trial respecting the factual
element of culpable intent as part of the defense of inequitable conduct,” Paragon
Podiatry Lab., Inc. v. KLM Labs., Inc., 984 F.2d 1182, 1190 (Fed. Cir. 1993). “Thus, a
disputed finding of intent to mislead or to deceive is one for the judge to resolve, not the
jury, albeit not on summary judgment if there is a genuine dispute.” Paragon, 984 F.2d
at 1190 (emphasis added).
In this case, the district court inferred intent to deceive on summary judgment
based on an analysis of what could have happened if Astra had disclosed the
inventorship dispute to the U.S. Patent & Trademark Office.
Not only was the issue of the dispute of inventorship highly
material, Astra had a strong incentive to not disclose the dispute. If
a patent examiner had learned of the dispute and found Nitenberg
to be the sole inventor of metoprolol succinate, the ’897 patent
application would not have been entitled to priority to the January
1985 United States application. The effective filing date for the ’897
patent would have been March 25, 1988. As a consequence,
Astra’s metoprolol succinate patents may have been denied as
anticipated by the prior art of the publication of the Lejus’ European
application on July 17, 1985.
Summary Judgment, slip op. at 44. Based on this but for analysis, the district court
found “by clear and convincing evidence that Astra’s motivation to not reveal the dispute
was great based on the risk of losing its metoprolol succinate inventions as anticipated
by prior art. The intent to deceive is clearly present.” Id. at 45.
On appeal, the parties dispute the soundness of the district court’s but for
analysis. Even assuming arguendo that the patents at issue would have been invalid
based on anticipation if Astra had disclosed the inventorship dispute to the U.S. Patent
& Trademark Office, the district court erred in equating the presence of an incentive with
an intent to deceive on summary judgment. Specifically, the deposition of Astra’s in-
2006-1254 16
house patent counsel indicates that he did not know of and was not concerned about
the incentives identified by the district court in its but for analysis. Therefore, the record
reveals a genuine factual dispute of whether Astra had an intent to deceive the U.S.
Patent & Trademark Office. The district court improperly resolved this factual dispute
on summary judgment and thus, erred in holding on summary judgment that the ’161
and ’154 Patents are unenforceable based on inequitable conduct.
III.
For these reasons, we affirm the district court’s invalidity holding regarding the
’154 Patent, vacate its inequitable conduct unenforceability holding regarding the ’161
and ’154 Patents, and remand the case.
AFFIRMED-IN-PART, VACATED-IN-PART, and REMANDED
Each party shall bear its own costs for this appeal.
2006-1254 17
United States Court of Appeals for the Federal Circuit
2006-1254
IN RE METOPROLOL SUCCINATE PATENT LITIGATION
-----------------------------------------------------------------------------
ASTRAZENECA AB, AKTIEBOLAGET HASSLE,
and ASTRAZENECA LP,
Plaintiffs/Counterclaim Defendants-
Appellants,
v.
KV PHARMACEUTICAL COMPANY,
Defendant/Counterclaimant-
Appellee,
and
ANDRX PHARMACEUTICALS, LLC and ANDRX CORPORATION,
Defendant/Counterclaimants-
Appellees,
and
EON LABS INC.,
Defendant-Appellee.
SCHALL, Circuit Judge, dissenting-in-part.
I agree with the majority that the district court erred in granting summary
judgment of unenforceability with respect to the ’161 and ’154 patents. I therefore join
the court’s opinion insofar as it vacates the judgment of unenforceability and remands
the case to the district court for further proceedings on that issue. However, because I
believe that claim 1 of the ’154 patent is patentably distinct from claim 8 of the ’318
patent, I respectfully dissent from the court’s opinion insofar as it holds that claim 1 is
invalid by reason of obviousness-type double patenting.
I.
Claim 8 of the ’318 patent depends from claims 6 and 7 of the patent. Claim 6 of
the ’318 patent claims an improved release oral pharmaceutical composition having (i)
“a core comprising the therapeutically active compound,” (ii) “a first inner layer coating
on the core,” and (iii) “a second outer layer coating on the inner layer.” ’318 patent,
col.5 ll.42-55. Claim 7 claims a pharmaceutical composition according to claim 6
wherein the therapeutically active compound in the core has a solubility in a specified
pH range. Id. col.5 ll.56-59. Claim 8 claims the composition of claim 7
wherein the active compound is quinidine sulphate, quinidine bisulphate,
quinidine gluconate, quinidine hydrochloride, metoprolol tartrate,
metoprolol succinate, metoprolol fumarate, or furosemide, 5-aminosalicylic
aicd [sic], propranolol or alprenolol or a pharmaceutically acceptable salt
thereof, or a mixture thereof with another weak base, weak acid, or salt
thereof having a pka of 1 to 8.
Id. col.5 ll.61-68 (emphasis added).
As I think the majority does, I agree with the district court that, distilled to its
essence, claim 8 of the ’318 patent claims an oral pharmaceutical composition that has
(i) a core that contains one of eleven possible active ingredients (metoprolol succinate
being one of the eleven), (ii) an inner coating surrounding the core (that allows a
controlled release of the active ingredient), and (iii) an outer coating (that resists
dissolving in the stomach, with the goal of releasing the active ingredient close to or
within the colon).
2006-1254 2
Claim 1 of the ’154 patent, which is the sole claim of that patent, claims the
compound metoprolol succinate. ’154 patent, col.2. l.36. As just seen, metoprolol
succinate is one of the possible active compounds of the composition of claim 8 of the
’318 patent.
The majority starts from the premise that claim 8 of the ’318 patent claims (i) a
composition comprised of one compound of an enumerated list of eleven compounds
(one of which is metoprolol succinate); (ii) an inner layer; and (iii) an outer layer. Slip
op. at 10. The majority states that “the composition of the [’318] patent claim includes
the compound of the [’154] patent claim in its entirety. Specifically, the [’318] patent not
only discloses but also claims a composition comprised-in-part of metoprolol succinate.”
Id. at 14. The majority reasons that “a claim on a compound (A)” is “an obvious variant
of an earlier claim on a composition comprised of compound (A), inner layer (B), and
outer layer (C)” Id. Based upon that reasoning, the majority concludes that claim 1 of
the ’154 patent is invalid by reason of obviousness type double patenting because it is
an obvious variation of claim 8 of the ’318 patent. Id. at 10.
II.
A double patenting analysis turns on what is claimed. General Foods Corp. v.
Studiengesellschaft Kohle mbH, 972 F.2d 1272, 1275 (Fed. Cir. 1992) (“[T]he law of
double patenting is concerned only with what patents claim. ‘Double patenting,’
therefore, involves an inquiry into what, if anything, has been claimed twice.”) To me,
the critical point is that, in this case, the compound metoprolol succinate has not “been
claimed twice.” We explained in General Foods:
2006-1254 3
[E]ach claim is an entity which must be considered as a whole. It cannot
be said—though it often is, incorrectly, by the uninitiated—that a part of a
claim is “claimed” subject matter. For example, a claim to a process
comprising the step A followed by step B followed by step C defines, as a
matter of law, only the A-B-C process and one cannot properly speak of
any single step as being “claimed”, for it is not; all that is claimed is the
process consisting of the combination of all three steps. Such a claim,
therefore, creates no patent right or monopoly in step A, no right to
prevent others from using step A apart from the combination of steps A-B-
C. Step A is not “patented.”
Another way of stating the legal truism is that patent claims, being
definitions which must be read as a whole, do not “claim” or cover or
protect all that their words may disclose. Even though the claim to the A-
B-C combination of steps contains a detailed description of step A, that
does not give the patentee any patent right in step A and it is legally
incorrect to say that step A is “patented.”
972 F.2d at 1274-75 (emphases in original); see also Apple Computer, Inc. v. Articulate
Sys., Inc., 234 F.3d 14, 25 (Fed. Cir. 2000).
Bearing the foregoing in mind, I believe that what is patented by claim 8 of the
’318 patent is a three-element composition having (i) a core with any one of eleven
possible compounds, one of them being metoprolol succinate; (ii) an inner coating; and
(iii) an outer coating. Anything less than a compound with all three of these elements is
not what is claimed. See General Foods, 972 F.2d at 1280 (“There is a claim 1 [of the
’619 patent] and the first step of its 9 recited steps is designated ‘(a).’ . . . [S]tep (a) is
not ‘claimed’ in the ’619 patent, nor is it ‘patented’ or ‘covered’ . . . What is patented by
claim 1 of ’619 is a 9-step caffeine recovery process, nothing more and nothing less.”
(emphases in original)). In contrast, what is claimed by claim 1 of the ’154 patent is a
single compound: metoprolol succinate.
In my view, a comparison of the inventions actually patented by the two claims
reveals that claim 1 of the ’154 patent is patentably distinct from claim 8 of the ’318
patent. Far from claiming an obvious variation on the three-element composition
2006-1254 4
claimed in the ’318 patent, the ’154 patent, I think, lacks any semblance to the second
two elements in the three-element composition of claim 8. The patent does not claim
any type of inner coating or outer coating whatsoever. While the first element of claim 8
of the ’319 patent does disclose metoprolol succinate as one possible active ingredient,
that disclosure does not equate to a claim for metoprolol succinate or render obvious
the ’154 patent claim to that compound. In short, the two claims involve different
inventions. See Aro Mfg. Co. v. Convertible Top Replacement Co., 365 U.S. 336, 344
(1961) (recognizing that “if anything is settled in the patent law, it is that the combination
patent covers only the totality of the elements in the claim and that no element,
separately viewed, is within the grant”); Leeds & Catlin Co. v. Victor Talking Mach. Co.,
213 U.S. 301, 318 (1909) (noting that “[a] combination is a union of elements, which
may be partly old and partly new, or wholly old or wholly new. But, whether new or old,
the combination is a means⎯an invention⎯distinct from them”).
I believe the law is that there is no double patenting simply because a later
claimed element is set forth in an earlier claim to a combination. Significantly, in
General Foods, claims 1 and 4 of a later issued patent, the “decaffeination patent,”
defined a process of decaffeinating raw coffee with supercritical water-moist carbon
dioxide and recovering the decaffeinated coffee. 972 F.2d at 1277-78. The district
court relied on claim 1 of an earlier issued patent, the “caffeine recovery patent,” to
invalidate the later issued decaffeination patent claims based on double patenting. Id.
at 1274. The earlier caffeine recovery patent defined a 9-step process of obtaining
caffeine from green coffee. Id. at 1280. The first step recited “the essence of the very
same process claimed in the [later issued] patent in suit.” Id. at 1280. The district court
2006-1254 5
determined that the first step of the earlier caffeine recovery patent anticipated, or at
least rendered obvious, claims 1 and 4 of the later decaffeination patent because every
step of claims 1 and 4 were set forth in the first step of the caffeine recovery patent. On
appeal, this court concluded that the district court had erroneously used the disclosure
in the first step of the caffeine recovery patent as though it was prior art. Id. at 1281.
After describing the claimed inventions, this court stated: “It should be amply clear by
now that the decaffeination invention and the caffeine recovery invention are separate
and distinct inventions, directed to different objectives, and patentably distinguishable
one from the other.” Id. at 1277 (emphases in original). In sum, General Foods held
that a later patent claim to step A is patentably distinct from an earlier patent claim to
steps A-B-C-D. To me, it follows that, in this case, a later patent claim to compound A
is patentably distinct from an earlier patent claim to composition A-B-C. See also In re
Walles, 366 F.2d 786 (CCPA 1966) (finding that patent claims to a hair setting
composition, in which the resin of the appealed claims provided one component, were
not a bar per se to the application claims to the resin itself); In re Allen, 343 F.2d 482
(CCPA 1965) (holding no double patenting between the claims on appeal, directed to a
whaler bracket per se, and patent claims directed to a combination of walls, headed tie
rods having spacing washers and positioning means, and a whaler bracket); In re
Heinle, 342 F.2d 1001 (CCPA 1965) (reversing Patent Office Board of Appeals double
patenting rejection of claims to a single element E based on a patent claim to a
combination of A, B, C, D, and E). 1
1
The district court determined that claims 1 and 8 were in a genus/species
relationship and found double patenting on that basis. While the majority does not
2006-1254 6
While the majority recognizes General Foods and Walles, Allen, and Heinle, it
states that the former is distinguishable from this case, while the authority of the latter
three was undermined by the decision of the Court of Customs and Patent Appeals in In
re Schneller, 397 F.2d 350 (CCPA 1968). I am unable to agree with the majority on
either point.
The facts of General Foods are set forth above. As far as I can tell, the only
difference between General Foods and this case is that General Foods dealt with
method claims, while this case involves product claims. That seems to me to be a
distinction without a difference. Neither am I able to agree that In re Schneller overruled
Walles, Allen, and Heinle. Briefly, in Schneller, the court upheld the rejection of
application claims to the combination ABCY as double patenting in light of earlier patent
claims to the combination ABCX. The court noted that the patented claims to ABCX
(Cont’d. . . .)
resolve this issue, I do not think that this case presents a genus/species situation. As
explained in In re Bronson,
In patent law it is axiomatic if claims are to be considered as being in the
same genus and species relationship, they must fall into the same
statutory class, and that a genus claim must be for the same combination
of elements as the species claims, and define broadly the elements or
steps which are variants in the several species. A generic claim should
include no material element in addition to those recited in the species
claim, and must comprehend the organization covered in each of the
species claims.
168 F.2d 548, 550 (CCPA 1948). The ’154 patent claim does not describe the same
combination of elements as claim 8 of the ’318 patent. Metoprolol succinate is the only
element in the ’154 patent claim, and it is narrower than the first element of claim 8 of
the ’318 patent, which lists eleven possible active ingredients. Even for the one element
that the two claims arguably share, metoprolol succinate, there is no legal or logical
support for a determination that metoprolol succinate describes a genus of the species
described by “quinidine sulphate, quinidine bisulphate, quinidine gluconate, quinidine
hydrochloride, metoprolol tartrate, metoprolol succinate, metoprolol fumarate, or
forosemise, 5-aminosalicylic acid, propanolol or alprenolol or a pharmaceutically
acceptable salt thereof.” ’318 patent, claim 8.
2006-1254 7
covered the preferred embodiment of ABCXY that was disclosed in the patent because
the claims were “comprising-type” claims, and that the later application claims to ABCY
would also cover the preferred embodiment of ABCXY that was disclosed in the
application because they were also “comprising-type” claims. In re Schneller, 397 F.2d
at 354. Thus, the court stated, “anyone undertaking to utilize what [the inventor]
disclosed in the patent . . . in the preferred and only form in which he described the
invention, would run afoul of” the application claims. Accordingly, the court held that
this timewise extension of protection was impermissible. Id. at 356. In this case,
however, the ’318 patent does not identify one single preferred embodiment that would
be impaired by the later application claim to metoprolol succinate. Metoprolol succinate
is only one of eleven possible active ingredients identified for the core of the
composition claimed in claim 8 of the ’318 patent. Moreover, that Schneller did not
overrule the Walles, Allen, Heinle, line of cases is made clear, I believe, by the following
paragraph in Schneller distinguishing Heinle:
In re Heinle is clearly distinguishable. The issued patent claimed a
mechanical combination for holding a toilet paper roll. The application
claimed a separately usable and salable element of that combination, a
particular core for the roll. A combination claim does not ‘cover’ or read on
a single element. The protection of the combination afforded by the single
Heinle patent claim would not have been extended by the application
claims directed to the element. We refer to our opinions therein and in In
re Allen, 343 F.2d 482, 52 CCPA 1315, decided the same day, for further
elucidation of our thinking on the subject and for the several earlier
precedents permitting patenting of a patentable element after the
patenting of a combination containing it, in the absence of a terminal
disclaimer.
In re Schneller, 397 F.2d at 355.
2006-1254 8
III.
In affirming the district court’s holding of double patenting with respect to claim 1
of the ’154 patent, the majority relies on In re Emert, 124 F.3d 1458 (Fed. Cir. 1997).
Slip op. at 10. In Emert, we upheld a double patenting rejection of a claim in a patent
application, which we characterized as a claim to “An oil soluble dispersant mixture
useful as an additive comprising: [B1].” Id. at 1460 (quoting U.S. Application No.
07/250,887) (alteration in original). The rejection was based on an earlier patent claim
that we characterized as a claim to “An oil soluble dispersant mixture useful as an
additive comprising: [A and B].” Id. at 1459 (quoting U.S. Patent No. 5,8763,624)
(alteration in original). I do not believe that Emert controls this case. In Emert, both the
patent claim and the application claim were to an oil soluble dispersant and the inquiry
focused on whether the content of one claimed dispersant was patentably distinct from
the content of the later claimed dispersant. In contrast, here we have an earlier claim to
a three-element composition and a later claim to a single compound. In my view, for
this reason, Emert is not controlling in this case.
IV.
The district court stated that “[i]f the ’161 and ’154 patents were valid, they would
prevent the public from using the earlier issued invention of claim 8 of the ’318 patent
upon its expiration because they completely encompass claim 8 as to metoprolol
succinate,” and that “[s]uch a result would defeat the public policy behind the double
patenting doctrine which is to allow the public to freely use a patent upon its expiration.”
In re Metoprolol Succinate Patent Litigation, No. 1620, slip op. at 11. “The basic
concept of double patenting is that the same invention cannot be patented more than
2006-1254 9
once, which, if it happened, would result in a second patent which would expire some
time after the original patent and extend the protection timewise.” General Foods, 972
F.2d at 1279-80. Allowance of claim 1 of the ’154 patent to metoprolol succinate will not
result in the improper extension of the patent for the invention claimed in the ’318
patent. That is because in this case, each patent is capable of being practiced by itself,
without infringing the other. The public can practice the invention in claim 8 of the ’318
patent when it expires by using any of the ten active ingredients recited in the claim
other than metoprolol succinate. While some may find it desirable to use metoprolol
succinate as the active ingredient in claim 8 of the ’318 patent, and those individuals will
be unable to do so until the ’154 patent expires, that does not result in the “extension” of
claim 8 in the ’318 patent, or in any recognized form of double patenting.
For the foregoing reasons, I respectfully dissent from the court’s opinion insofar
as it holds that claim 1 of the ‘154 patent is invalid by reason of obviousness-type
double patenting. I would reverse the decision of the district court on that issue.
2006-1254 10