In the United States Court of Federal Claims
No. 15-1549C
(E-Filed UNDER SEAL: September 2, 2022)
(Reissued: September 14, 2022) 1
)
UNIVERSITY OF SOUTH )
FLORIDA, BOARD OF TRUSTEES, )
)
Plaintiff, )
Trial; Patent Infringement; 35 U.S.C. §
)
202(c)(4); Bayh-Dole Act; Paid-Up
v. )
License; Affirmative Defense.
)
THE UNITED STATES, )
)
Defendant. )
)
Steven B. Kelber, Bethesda, MD, for plaintiff. Jerry Stouck, Rockville, MD, of counsel.
Walter W. Brown, Senior Litigation Counsel, with whom were Brian M. Boynton,
Principal Deputy Acting Assistant Attorney General, and Gary L. Hausken, Director,
Commercial Litigation Branch, Civil Division, United States Department of Justice,
Washington, DC, for defendant. Joshua I. Miller, Carrie E. Rosato, and Brian N. Gross,
of counsel.
OPINION
CAMPBELL-SMITH, Judge.
In this patent dispute, plaintiff filed suit alleging that defendant infringed its patent
by allowing a third party to use and manufacture the invention described in its patent.
See ECF No. 1 (complaint). The court held trial in this matter in December 2021, after
1
This opinion was filed under seal on September 2, 2022. See ECF No. 286. The parties
were invited to identify source selection, propriety, or confidential material subject to deletion on
the basis that the material is protected or privileged. No redactions were proposed by the parties.
See ECF No. 288 (notice). Thus, the sealed and public versions of this opinion are identical,
except for the publication date and this footnote.
which the parties filed post-trial briefing. 2 See ECF No. 274 (plaintiff’s post-trial brief);
ECF No. 279 (defendant’s post-trial brief); ECF No. 280 (plaintiff’s post-trial reply
brief). This case has now been fully heard and is ripe for decision.
The court has considered all of the evidence and the parties’ arguments and
addresses the issues that are pertinent to the court’s ruling in this opinion. Based on the
evidence presented at trial, and for the following reasons, the court finds that defendant
held a license pursuant to the Bayh-Dole Act, 35 U.S.C. § 202(c)(4), and is thus not liable
for infringement of plaintiff’s patent. The court, therefore, enters judgment in
defendant’s favor.
I. Findings of Fact
A. Patent Overview
Plaintiff holds the rights to United States Patent Number 5,898,094 (the ’094
patent), which is titled “Transgenic Mice Expressing APPK670N,M671L and a Mutant
Presenilin Transgenes.” ECF No. 282-1 at 1 (joint exhibit 1). The ’094 patent issued on
April 27, 1999. See id. The patent involves “[a] method of preparing a transgenic animal
model with enhanced, accelerated pathology for Alzheimer’s Disease.” Id. The patent
notes that “[t]ransgenic model systems are needed to study neurodegenerative disorders,
both to understand the underlying disease pathology as well as to test treatment
protocols.” Id. at 4.
In more concrete terms, the patent “showed people how to make a good, robust
mouse model of Alzheimer’s disease,” ECF No. 270 at 42 (testimony of Dr. Karen Duff),
by crossing mice with specific genetic mutations so that they would develop “enhanced”
Alzheimer’s pathology at an “accelerated” pace, id. at 45. The mice produced by using
2
In addition to the post-trial briefs, the court considered the trial transcript, see ECF No.
270; ECF No. 271; ECF No. 272; ECF No. 273, and all of the exhibits introduced by the parties,
including those filed on the docket in this matter, see ECF No. 282 (notice and exhibits), ECF
No. 283 (corrected notice). The court notes that the official trial record is the trial transcript and
the exhibits admitted at trial as recorded therein. The clerk’s office, however, does not as a
matter of practice include trial exhibits when it uploads trial transcripts to the court’s case
management/electronic case filing system; the court, therefore, requested that the parties upload
the relevant exhibits for ease of access and clear citation in this opinion. Notwithstanding that
request, the official record remains the trial transcript. The court further notes that the court
reporter received the exhibits electronically from the parties during trial, and again after trial.
The court understands that there was an administrative issue between the parties and the court
reporter regarding the exhibits that delayed their transmission to the clerk’s office and the
transcript was transmitted prior to the exhibits. The court delayed release of this opinion for a
time while awaiting the resolution of that issue.
2
the methods outlined in the patent are thus of utility in the research of Alzheimer’s
Disease and other neurodegenerative disorders. See ECF No. 282-1 at 4-5.
B. Patent Background
Dr. Karen Duff and Dr. John Hardy—named co-inventors on the patent, see id. at
1—were professors at the University of South Florida (USF) and worked together on
research involved in the patent. See ECF No. 270 at 40, 44-45 (testimony of Dr. Duff);
ECF No. 282-2 at 5-20 (joint exhibit 2, provisional patent application describing the
research and desired outcomes). Dr. Duff and Dr. Hardy submitted a provisional patent
application in October 1996 describing their research, which involved producing mice by:
crossing one transgenic animal containing within its genome at least one
copy of a first expressible wildtype or mutant mammalian transgene
responsible for causing a particular Alzheimer’s related pathology in humans
with another transgenic animal containing [ ] within its genome at least one
copy of a second expressible wildtype or mutant mammalian transgene also
responsible for causing the particular Alzheimer’s related pathology in
humans to produce offspring containing within its genome at least one copy
of both the first and second expressible wildtype or mutant mammalian
transgenes responsible for causing the particular Alzheimer’s related
pathology in humans.
ECF No. 282-2 at 9; see also id. at 4 (date of the application).
The doctors, along with other researchers, also submitted an application to the
National Institutes of Health (NIH) for grant funding in September 1995. See ECF No.
282-48 (defendant exhibit 59, grant application materials). The grant application sought
funding for “five, mutually interlinking projects aimed at elucidating the role of the
presenilins in Alzheimer’s disease.” Id. at 3. The proposed initial budget period for the
grant was July 1, 1996, through June 30, 1997, and the application requested additional
funding for four more years—five years of funding total. See id. at 12-14. On
September 30, 1996, the NIH issued a National Institute on Aging program project grant,
number 1P01AG014633 (AG014633) titled “Presenilins and Alzheimer’s Disease,” to the
Mayo Clinic, where Dr. Duff and Dr. Hardy had taken positions. See ECF No. 282-42
(defendant exhibit 41, NIH grant materials); ECF No. 282-47 at 10 (defendant exhibit 56,
notice of grant award); ECF No. 270 at 56 (testimony of Dr. Duff).
On April 25, 1997, Dr. Duff faxed a letter marked “urgent” to William Coppola in
plaintiff’s department dealing with patent applications detailing the process she and Dr.
Hardy had engaged in and the results of their work. See ECF No. 282-28 (defendant
exhibit 12, fax to Mr. Coppola); ECF No. 270 at 57-59 (testimony of Dr. Duff). This
letter constituted the first documented evidence that the mice the inventors had been
working on “did, indeed, develop pathology . . . at an age which was far accelerated.”
3
ECF No. 270 at 59 (testimony of Dr. Duff); see also id. at 64 (Dr. Duff confirming that
the letter was the “first documented evidence” she had of the mice). The doctors then
submitted their patent application on July 30, 1997, and the patent is dated April 27,
1999. See ECF No. 282-1 at 1. The patent was assigned to plaintiff at that time. See id.
Dr. Duff and Dr. Hardy also published an article in Nature Medicine in January
1998 documenting the invention. See ECF No. 282-27 (def. exhibit 11). Dr. Duff
testified at her deposition that “the invention actually became the 1998 Nature Medicine
paper,” ECF No. 282-62 at 70 (def. exhibit 439), though she testified at trial that she did
not recall “which batches of animals were in the patent versus th[e] paper,” and “whether
they’re exactly the same mice,” she could not say, ECF No. 270 at 106. The article notes
that the research documented therein was “supported by the Mayo/USF Program Project
on the presenilins (AG146133).” 3 ECF No. 282-27 at 4.
C. Research Funding History
The research performed that resulted in the subject patent proceeded in multiple
steps. See ECF No. 270 at 68-69 (testimony of Dr. Duff). Dr. Duff first had the “idea to
create the[ ] mice” and “generated the presenilin mice,” and then “was responsible for
crossing [the] two mice together, for aging them . . . , and for discussing . . . exactly what
would happen to those mice, making a decision on when to sacrifice them and . . . what
procedures to perform on them.” Id. at 69. Dr. Duff moved from USF to Mayo in
December 1996 and “delegated” the immunohistochemistry work on the mice to Dr.
Marcia Gordon’s and Dr. David Morgan’s lab at USF. Id. at 68. Immunohistochemistry
is a “technique where you use an antibody, which is labeled with a dye, to identify the
protein of interest in tissue sections . . . . [it] would have been applied to identify the
amyloid plaques” in the tissue from the mouse brains. Id. at 65. The testing generated
the proof of accelerated Alzheimer’s pathology that was included in the fax that Dr. Duff
sent as evidence of the pathology. See id. at 65-66 (Dr. Duff’s testimony referencing
Figure 1 included in the fax to William Coppola); ECF No. 282-28 at 3.
The work in Dr. Gordon’s and Dr. Morgan’s lab was included in the NIH grant
application as Project Five, titled “Regulation and Function of the Presenilins in Rodent
Brain.” See ECF No. 282-29 at 208-09 (def. exhibit 17); see also id. at 212. Dr. Morgan
is listed as the principal investigator and Dr. Gordon is listed as a co-principal
investigator. See id. at 209. Dr. Gordon’s role is described in the grant materials as
“perform[ing] many of the histochemical procedures,” and “play[ing] the major role in
analyzing the histochemical data.” Id. at 212. And, Dr. Morgan’s role is described as
“perform[ing] many of the surgical procedures,” and “closely direct[ing] all experiments
using molecular biological approaches.” Id. The initial budget in the grant materials
3
Dr. Duff testified that the grant number should have read “AG014633.” See ECF No.
270 at 107.
4
specified that Dr. Morgan’s and Dr. Gordon’s salaries and fringe benefits would be paid
in part with grant funds. See id. at 210.
Because Dr. Gordon and Dr. Morgan were located at USF and the grant funds
ultimately were awarded to Mayo, see ECF No. 282-42 at 3, the funds were the subject of
a consortium agreement—a subcontract—between the two entities, see ECF No. 282-5 at
2-7 (joint exhibit 8). Mayo signed the subcontract on November 5, 1997, and plaintiff
signed on November 8, 1997. See id. at 7. The subcontract had an effective period of
September 1, 1997, to August 31, 1998. See id. at 3. Plaintiff’s proposal review and
certification form indicates that plaintiff’s internal account number for the funds was
6113-120-LO. See ECF No. 282-47 at 15; see also ECF No. 272 at 68 (testimony of Dr.
Morgan). It also indicates that the project period was from September 1, 1996, through
August 30, 1999, and the budget period was September 1, 1997, through August 30,
1998. See ECF No. 282-47 at 15. A second such form indicated the same project period
and a budget period of September 1, 1998, through August 30, 1999. See id. at 13.
The parties presented no form for the first year of the project, from September 30,
1996, through August 30, 1997. See ECF No. 272 at 65-76 (testimony of Dr. Morgan
discussing the forms). Dr. Morgan testified, however, that he “assumed” plaintiff “would
have gotten funding prior to the start of year two.” Id. at 75. He based that testimony on
the forms and the grant award for the second year of the grant. See ECF No. 282-47 at
10; ECF No. 272 at 73-75. Dr. Morgan also reviewed a document that indicated that the
“[t]he second year of the subcontract for NIH grant Account # 6113-127-LO closes
August 31, 1998. This is a Mayo Clinic Subcontract Grant from the [NIH],” 4 ECF No.
282-47 at 7, and concluded that the first year of the subcontract would have been from
September of [19]96 to August of . . . [19]97,” ECF No. 272 at 76.
Dr. Morgan and Dr. Gordon both testified that Dr. Gordon was paid with funds
from the NIH grant beginning October 1, 1996. See id. at 78-80 (testimony of Dr.
Morgan); id. at 148-57 (testimony of Dr. Gordon). Both based their testimony on their
understanding of Dr. Gordon’s employment forms. See id.; see also ECF No. 282-46 at
1-14 (def. exhibit 51, Dr. Gordon’s various employment forms). Dr. Gordon’s
employment contract notes that her appointment ran from October 1, 1996, through June
12, 1997, and was “funded through contract/grant Mayo Clinic, account # 6113120LO.”
ECF No. 282-46 at 14. It further states that her “employment ends with the expiration of
this contract or the cancellation of the contract/grant, whichever occurs first.” Id. The
4
Trial testimony clarified that USF had two account numbers for the grant. See ECF No.
272 at 155-57 (testimony of Dr. Gordon). Dr. Gordon stated that “sometimes the university
would give you a new account number for a new fiscal year of a grant . . . . It could be a
completely different grant or it could be a different fiscal year of the same grant.” Id. at 155.
She did not recall working on any other grant tied to the Mayo Clinic. See id. at 157. The court
thus concludes, based on the testimony and the statement in the document, that both account
numbers reflect the Mayo Clinic subcontract grant.
5
contract was signed by plaintiff’s representative on October 22, 1996, and was signed by
Dr. Gordon on May 2, 1997. See id. Likewise, Dr. Gordon’s appointment change form
listed her appointment date as October 1, 1996, and the end date as June 12, 1997, with
her salary being paid out of account number 6113120LO—the Mayo grant account
number. See id. at 12. And, her appointment status form lists the same appointment
dates, the same payment account, and a preparation date of December 16, 1996. See id.
at 10. A second appointment status form with a preparation date of June 2, 1997, lists Dr.
Gordon’s appointment dates as January 1, 1997, through June 12, 1997, and the same
Mayo grant payment account number. See id. at 9.
Dr. Gordon testified that her position at the time was grant-funded—her salary had
to be supported by “funding from a grant.” ECF No. 272 at 150. She stated that she did
not recall working on any Mayo Clinic grant other than the one awarded by NIH. See id.
at 157. She also testified that the delay in her signature on her employment contract was
a result of “[u]niversity bureaucracy at its finest,” because the contract was awaiting the
signature of the university president for six months after the human resources person
signed it. Id. at 150. But, she noted, she would have been paid even while the contract
was pending signature, and her salary would have come from the Mayo grant. See id. at
151. Dr. Gordon explained that “if the grant was funded and awarded, . . . even if the
physical check hadn’t come from the NIH yet . . . there was a system of underwriting . . .
so [USF] would underwrite certain things, and the would include salary, and then the
university would recoup those funds once the physical . . . check was actually deposited.”
Id. at 156.
Dr. Morgan’s testimony agreed with Dr. Gordon’s as to her employment
documents, and he also noted that plaintiff would have been charging expenses and
salaries to the Mayo grant by “late 1996,” and that “it’s plausible that [he] would have
also requested an underwrite at that time.” Id. at 77. Dr. Morgan explained further that
Dr. Gordon would have been paid under the subcontract as of October 1996, “or else
there were ‘rets’ that were prepared to retroactively charge for salary that was paid from
another source for that,” meaning that “the department may have essentially subsidized
her for some period of time, and then the grant was charged once . . . the subcontract was
finalized for that purpose.” Id. at 79. Dr. Morgan concluded that “because [they] were
working on that project, and that was the first year of the grant, [ ] starting in September
of 1996,” and “because there was an account number that it stated as paying for her
salary,” it made sense to him that Dr. Gordon was paid under the Mayo subcontract. Id.
at 80. He further stated that his recollection, although without documentation, was that
plaintiff “had funds by December [1996] that we were using in order to pay for the mouse
costs and pay for the reagents that we used. . . . And people’s salaries as well.” Id. at 94;
see also id. at 120-21 (“[W]hat I would have assumed I would have done, is that once I
learned from the Mayo Clinic that they had received the notice of award from the NIH
. . . . I would have gone to USF and requested that they provide an advance on that award
. . . . [W]e were very dependent financially upon this project.”).
6
II. Legal Standards
The Bayh-Dole Act requires that a funding agreement between the United States
and a nonprofit organization include a provision stating that “[w]ith respect to any
invention in which the contractor elects rights, the Federal agency shall have a
nonexclusive, nontransferrable, irrevocable, paid-up license to practice or have practiced
for or on behalf of the United States any subject invention throughout the world.” 35
U.S.C. § 202(c)(4). The Act defines “funding agreement” as “any contract, grant, or
cooperative agreement entered into between any Federal agency . . . and any contractor
for the performance of experimental, developmental, or research work funded in whole or
in part by the Federal Government. Such term includes any . . . subcontract of any type.”
35 U.S.C. § 201(b). It further defines “subject invention” to mean “any invention of the
contractor conceived or first actually reduced to practice in the performance of work
under a funding agreement.” Id. § 201(e). Thus, the Act “vests in the government the
right to a paid-up license to practice the invention when the contractor elects to retain
title.” Campbell Plastics Eng’g & Mfg., Inc. v. Brownlee, 389 F.3d 1243, 1247 (Fed. Cir.
2004).
Defendant may raise the existence of a license as a defense when it is sued for
patent infringement. See Tech. Dev. Corp. v. United States, 597 F.2d 733, 746 (Ct. Cl.
1979); see also Madey v. Duke Univ., 413 F. Supp. 2d 601, 611 (M.D.N.C. 2006)
(“[C]ourts have recognized that the license may be raised by the Government as an
affirmative defense when the Government is sued for patent infringement in the Court of
Federal Claims.”). To successfully raise the defense, defendant “must establish by a
preponderance of the evidence that a conception or a first actual reduction to practice
occurred in the performance of a Government contract.” Tech. Dev. Corp., 597 F.2d at
746 (citation omitted). If it does so, defendant is “not liable for royalties for any uses of
that invention within the scope” of the license. Madey, 413 F. Supp. 2d at 612.
To prove the defense by a preponderance of the evidence, defendant must prove
that “‘the existence of a fact is more probable than its nonexistence.’” Ortiz v. Principi,
274 F.3d 1361, 1365 (Fed. Cir. 2001) (quoting In re Winship, 397 U.S. 358, 371-72
(1970)). In other words, a preponderance “‘describe[s] a state of proof that persuades the
factfinders that the points in question are more probably so than not.’” Id. (quoting
Mueller & Kirkpatrick, Evidence § 3.3 (1995)) (emphasis removed). It is “the greater
weight of the evidence, evidence which is more convincing than the evidence which is
offered in opposition to it.” Hale v. Dept. of Transp., F.A.A., 772 F.2d 882, 885 (Fed.
Cir. 1985).
III. Analysis
The court is persuaded that the greater weight of the evidence demonstrates that
defendant has a license to the ’094 patent, and thus has successfully asserted an
7
affirmative defense to plaintiff’s claim. Specifically, the court is persuaded that the
evidence shows that the subject invention was first reduced to practice while the
inventors were working pursuant to a funding agreement. See 35 U.S.C. § 202(c)(4); see
also id. §§ 201(b), 201(e).
A. The ’094 Patent Was First Reduced to Practice in April 1997
The parties agree, and the evidence demonstrates, that the invention described in
the ’094 patent was first reduced to practice in April 1997. See ECF No. 274 at 31
(plaintiff stating that the “first actual reduction to practice is reflected in the letter written
by Karen Duff . . . on April 25, 1997”); ECF No. 279 at 10 (defendant stating that it
“agrees with [plaintiff] that its first actual reduction to practice occurred in April 1997”).
The evidence introduced at trial shows that on April 25, 1997, Dr. Duff faxed a
letter to plaintiff’s department handling patent matters detailing the process she and Dr.
Hardy had engaged in to create the mice that were eventually documented in the ’094
patent, and the results of their work. See ECF No. 282-28 (fax from Dr. Duff to Bill
Coppola). And the trial testimony established that this constituted the first documented
evidence that the mice the inventors had been working on “did, indeed, develop
pathology . . . at an age which was far accelerated.” ECF No. 270 at 59 (testimony of Dr.
Duff); see also id. at 64 (Dr. Duff confirming that the fax was the “first documented
evidence” of the mice).
The court thus concludes that the invention detailed in the ’094 patent was first
reduced to practice in April 1997.
B. Plaintiff Was Using NIH Grant Funds as Early as October 1996
Defendant argues in its post-trial brief that NIH program project grant AG014633
funded plaintiff’s first reduction of the invention to practice. See ECF No. 279 at 10-14.
Plaintiff, however, contends that no grant funds flowed to plaintiff until the formal
subcontract between the Mayo Clinic and plaintiff was signed in November 1997. See
ECF No. 274 at 32-33; ECF No. 280 at 8-11. According to plaintiff, it “paid for the work
on the mice of the ’094 Patent up to, through and beyond April 25, 1997.” ECF No. 280
at 8 (emphasis in original). And, plaintiff contends, four witnesses testified “the only
way for money to have flowed to [plaintiff] from the NIH grant in question . . . would
have been for a subcontract to be entered into between Mayo Clinic . . . and [plaintiff].”
ECF No. 274 at 32 (emphasis in original).
The evidence, however, shows that plaintiff paid for the work done by Dr. Gordon
at USF with the NIH grant funds. The trial record demonstrates that plaintiff assigned
account number 6113-120-LO to the grant funds that came from NIH to the Mayo Clinic
and then to plaintiff. See ECF No. 282-47 at 15; see also ECF No. 272 at 68 (testimony
8
of Dr. Morgan). Trial testimony also established that Dr. Gordon was paid with funds out
of that account beginning October 1, 1996. See ECF No. 272 at 78-80 (testimony of Dr.
Morgan); id. at 148-57 (testimony of Dr. Gordon). Dr. Gordon’s employment documents
likewise indicate that she was paid with funds out of plaintiff’s grant account for an
appointment term beginning in October 1996. See ECF No. 282-46 at 10, 12, 14.
Specifically, trial testimony revealed that Dr. Gordon would have been paid under
the subcontract as of October 1996, “or else there were ‘rets’ that were prepared to
retroactively charge for salary that was paid from another source for that,” meaning that
“the department may have essentially subsidized her for some period of time, and then
the grant was charged once . . . the subcontract was finalized for that purpose.” ECF No.
272 at 79 (testimony of Dr. Morgan). Dr. Morgan, a principal investigator on the grant
and specifically for the project being conducted at USF, concluded that “because [he and
Dr. Gordon] were working on that project, and that was the first year of the grant, [ ]
starting in September of 1996 . . . . And . . . because there was an account number that it
stated as paying for her salary,” it made sense to him that Dr. Gordon was paid under the
NIH grant by the Mayo Clinic subcontract. Id. at 80.
The greater weight of the trial testimony also established that plaintiff was using
NIH funds by December 1996 to pay for costs associated with conducting the
immunohistochemistry work that was a key part of the research that led to the ’094
patent. See id. at 94 (Dr. Morgan testifying that his recollection, although without
documentation, was that plaintiff “had funds by December [1996] that we were using in
order to pay for the mouse costs and pay for the reagents that we used . . . [a]nd people’s
salaries as well”); see also id. at 120-21 (Dr. Morgan testifying, “what I would have
assumed I would have done, is that once I learned from the Mayo Clinic that they had
received the notice of award from the NIH . . . . I would have gone to USF and requested
that they provide an advance on that award . . . . [W]e were very dependent financially
upon this project.”).
The court finds the testimony of Dr. Morgan and Dr. Gordon credible and is
persuaded “that the points in question are more probably so than not.’” Ortiz, 274 F.3d at
1365 (quoting Mueller & Kirkpatrick, Evidence § 3.3 (1995)). The court therefore
concludes that the evidence establishes that plaintiff’s work on the mice in the ’094
patent was performed using funds from NIH grant AG014633 as early as October 1996.
C. Plaintiff Performed the Work on the ’094 Patent Pursuant to an Implied
Subcontract with the Mayo Clinic
The trial record establishes that, beginning in October 1996, plaintiff operated
pursuant to an implied contract with the Mayo Clinic for grant funds under the NIH
AG014633 grant. Plaintiff argues that “[t]here simply never was an implied subcontract
between [plaintiff] and Mayo Clinic.” ECF No. 280 at 8. According to plaintiff, because
9
there was an express subcontract between plaintiff and the Mayo Clinic that was signed
in November 1997, there “could not have been an implied contract.” Id. at 11.
Defendant contends, however, that “[w]hen the evidence is viewed properly, it is clear
that an implied contract existed between USF and Mayo at the time of the April 1997
actual reduction to practice,” because “the conduct of the parties indicated that a
subcontract existed,” given that Dr. Gordon’s salary was paid out of grant funds. ECF
No. 279 at 16.
“[A]n implied-in-fact contract is one ‘founded upon a meeting of minds, which,
although not embodied in an express contract, is inferred, as a fact, from conduct of the
parties showing, in the light of the surrounding circumstances, their tacit understanding.’”
Atlas Corp. v. United States, 895 F.2d 745, 754 (Fed. Cir. 1990) (quoting Porter v.
United States, 496 F.2d 583, 590 (Ct. Cl. 1974)). In the court’s view, such a contract
existed between plaintiff and the Mayo Clinic.
As the court determined above, trial testimony established that Dr. Gordon was
paid out of plaintiff’s internal account for the grant funds. See ECF No. 272 at 78-80
(testimony of Dr. Morgan); id. at 148-57 (testimony of Dr. Gordon). Regardless of
whether plaintiff underwrote those funds for a time before money flowed from the Mayo
Clinic, it is clear in the record that plaintiff had a “tacit understanding” with Mayo that
the funds would eventually arrive. Atlas Corp., 895 F.2d at 754; see also, e.g., ECF No.
272 at 120-21 (Dr. Morgan testifying, “what I would have assumed I would have done, is
that once I learned from the Mayo Clinic that they had received the notice of award from
the NIH . . . . I would have gone to USF and requested that they provide an advance on
that award . . . . [W]e were very dependent financially upon this project.”). And plaintiff
was using grant funds as early as October 1996 to fund the immunohistochemistry work
that contributed to the ’094 patent. 5 See ECF No. 282-46 at 10, 12, 14 (Dr. Gordon’s
employment documents reflecting payment of her salary out of the grant account
beginning October 1, 1996). The court thus finds that the conduct of the parties
(plaintiff’s creating a grant account and charging Dr. Gordon’s salary to the account), in
light of the surrounding circumstances (the grant having been awarded in September
1996 and testimony that plaintiff was financially dependent on the award, see ECF No.
272 at 121), indicates plaintiff’s and Mayo’s “tacit understanding” that grant funds would
flow from the NIH to the Mayo Clinic and ultimately to plaintiff. Atlas Corp., 895 F.2d
5
Plaintiff argued that the work done at USF by Dr. Gordon and Dr. Morgan was to
“document behavior in presenilin rodents, not to make new genetic variants.” ECF No. 274 at
34. The court cannot credit this argument in light of trial testimony that established that the USF
doctors did immunohistochemistry work pursuant to the grant project, and that
immunohistochemistry was the testing that generated the proof of accelerated Alzheimer’s
pathology. See ECF No. 270 at 65-66 (Dr. Duff’s testimony referencing Figure 1 included in the
fax to William Coppola); ECF No. 282-28 at 3. This testing appears to the court to be integral to
the project, especially so because it was included in the fax that Dr. Duff sent as evidence of the
pathology. See id.
10
at 754. The court therefore holds that the Mayo Clinic and plaintiff entered into an
implied subcontract on October 1, 1996, which is the same date as Dr. Gordon’s
appointment as documented in her employment forms. See ECF No. 282-46 at 10, 12,
14.
D. Defendant Held a Paid-Up License Pursuant to the Bayh-Dole Act
The Bayh-Dole Act requires that a funding agreement between the United States
and a nonprofit organization include a provision providing that “[w]ith respect to any
invention in which the contractor elects rights, the Federal agency shall have a
nonexclusive, nontransferrable, irrevocable, paid-up license to practice or have practiced
for or on behalf of the United States any subject invention throughout the world.” 35
U.S.C. § 202(c)(4). This court has held that “where a patentee has been intimately
involved in all phases of performance of a Government-funded contract during the
performance of which the invention was conceived and/or first actually reduced to
practice, and the work was, in fact, paid for in substantial part or entirely out of
Government funds, the Government is entitled to a license.” Tech. Dev. Corp., 597 F.2d
at 746. To establish its right to a license, therefore, defendant must demonstrate that
there was a funding agreement in place at the time the ’094 patent was conceived or first
reduced to practice.
The court finds here that defendant has met its burden and has demonstrated that
the work on the ’094 patent meets the terms of Bayh-Dole Act such that defendant held a
license. As an initial matter, the work was performed pursuant to a funding agreement.
The trial record established that plaintiff and the Mayo Clinic entered into an implied
subcontract beginning in October 1996 with respect to grant funds awarded by the NIH.
See supra Sections III.B. and III.C. The Act defines a funding agreement to include “any
contract, grant, or cooperative agreement entered into between any Federal agency . . .
and any contractor for the performance of experimental, developmental, or research work
funded in whole or in part by the Federal Government. Such term includes any . . .
subcontract of any type.” 35 U.S.C. § 201(b). Thus, the subcontract between Mayo and
plaintiff is considered a funding agreement.
Further, the trial record established that the ’094 patent constitutes a “subject
invention” because it was first actually reduced to practice in April 1997, during the
course of performance of work under the grant. See id. § 201(e); see also supra Sections
III.A, B, and C (determining that the patent was first reduced to practice in April 1997
and that the grant subcontract began in October 1996).
The court thus concludes that plaintiff was “intimately involved in all phases of
performance,” and the work performed by plaintiff “was, in fact, paid for in substantial
part or entirely out of Government funds.” Tech. Dev. Corp., 597 F.2d at 746.
Defendant is therefore entitled to a “nonexclusive, nontransferrable, irrevocable, paid-up
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license” to practice the ’094 patent. 35 U.S.C. § 202(c)(4). As such, defendant is not
liable for infringement of the patent, and the court need not reach the parties’ arguments
as to prior invention, obviousness, or damages. See Madey, 413 F. Supp. 2d at 612 (“If
the Government meets this burden, the Government is not liable for royalties for any uses
of that invention within the scope of the Government License.”). Plaintiff’s claims are
denied.
IV. Conclusion
Accordingly, for the foregoing reasons:
(1) The clerk’s office is directed to ENTER final judgment in defendant’s
favor; and
(2) On or before September 23, 2022, the parties are directed to CONFER
and FILE a notice attaching the parties’ agreed-upon redacted version of
this opinion, with all competition-sensitive information blacked out.
IT IS SO ORDERED.
s/Patricia E. Campbell-Smith
PATRICIA E. CAMPBELL-SMITH
Judge
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