In this patent case, Tokyo Tanabe Company, Ltd., now known as Mitsubishi-Tokyo Pharmaceuticals, Inc., and its exclusive United States licensee, Abbott Laboratories, have sued Dey, L.P. and Dey, Inc., for infringement of U.S. Patent No. 4,338,301 (the ’301 patent) and U.S. Patent No. 4,397,839 (the ’839 patent), which cover respectively an extract from mammalian lung tissue useful for treating hyaline-membrane disease and a method for producing the extract and a surface active material and process for preparing the material. Under the licensing agreement with Tanabe, Abbott used the technology covеred in the patents to make Survanta®, a surfactant
1
product used to
The purpose of this Order is to address and resolve two preliminary issues. The first issue involves the effect, if any, of a 1998 decision issued by Judge Richard Ar-cara in Forest Laboratories, Inc. and ONY, Inc. v. Abbott Laboratories and Tokyo Tanabe Company, Ltd., No. 96 CV-159A, in the Western District of New York concerning the construction of certain claims of the ’301 and ’839 patents. The second issue involves whether the plaintiffs are entitled to rely on the doctrine of equivalents to prove that Dey’s product infringes the claims of the patents in suit or whether Tokyo Tanabe relinquished the right to pursue infringement under that doctrine in the way it prosecuted the patent.
The Effect of Judge Arcara’s Decision
Defendants argue that Judge Arcara construed the same claim language that is disputed in this case and that his construction should carry the day here as well; they Contend that the doctrine of issue preclusion bars plaintiffs from relitigating those claim construction issues. Plaintiffs argue that the Court should not apply issue preclusion in this case because to do so would be unfair to them.
The doctrine of issue preclusion compels a court to honor the first actual decision of a matter that has been litigated.
See Chicago Truck Drivers v. Century Motor Freight,
But that does not end the inquiry. In some circumstances, even when these conditions are met, the court may decline to apply issue preclusion. The United States Supreme Court, the Seventh Circuit and the Federal Circuit have all said that courts should not apply non-mutual offensive collateral estopрel (or issue preclusion), which is what this is, if it would be unfair to the defendant.
See Parklane Hosiery Co. v. Shore,
This case does not appear to fall within any of these exceptions. The record suggests that Abbott and Tokyo Tanabe defended the
Forest
case with vigor, there are no judgments concerning the Tanabe patents that are inconsistent with Judge Arcara’s, and the discovery procedures available in this Court are likely the same as those available in thе
Forest
case. Although it is true that the Federal Circuit has not yet ruled on whether Judge Arcara correctly construed the patent claims in the
Forest
case, this issue is not a matter of general interest; indeed, the universe of parties who have an interest in how these claims are construed is quite small. And although claim construction presents a purely legal question, see
Markman v. Westview Instruments, Inc.,
There appear to be only two reported decisions in which the court was asked to consider the preclusive effеct to be given the claim construction decision of a prior court involving the same patents and the same patent holders but not the same opposing party. Sadly, the courts deciding those two cases reached opposite results. In
TM Patents, L.P. v. International Business Machines Corp.,
Even prior to Markman, the Federal Circuit had held that determination of the scope of a patent claim in a prior infringement action could have [issue preclusive] effect against the patentee in a subsequent case. See Pfaff v. Wells Elec. Inc.,5 F.3d 514 , 517-18 (1993). After Markman, with its requirement that the Court construe the patent for the jury as a matter of law, it is inconceivable that a fully-litigated determination after a first Markman hearing would not be preclusive in subsequent actions involving the same disputed claims under the same patent. The nature of the Markman proceeding is such that finality is its aim. Id. at 377,116 S.Ct. 1384 .
By contrast, in
Graco Children’s Products, Inc. v. Regalo International, LLC,
Additionally, in Graco the claim construction was not the reason for the loss; here it was. Because of the way he construed the claims, Judge Arcara found that no reasonable trier of fact could find that Forest’s product infringed the Tanabe patents. For these reasons, thе Court does not believe it would be unfair to apply the doctrine of issue preclusion in this case. The Court finds that Judge Arcara’s construction of “surface active material” and “based on dry weight” are binding on this Court.
The Court notes that even if it were not bound to follow Judge Arcara’s ruling, it would nonetheless apply the same claim construction — at least with respect to the meaning of the phrases “surface active material” and “based on the dry weight of the- material.” Judge Arcara’s reasoning on these points is persuasive. The plaintiffs argue that Judge Arcara’s cоnstruction of these claim terms was “plainly wrong” for several reasons, and that they should therefore be permitted to relitigate the claim construction issues anew in this Court. There is some authority for the proposition that a “plainly wrong” determination may not be entitled to preclusive effect,
see
Restatement (2d) of Judgments
Moreover, the Court does not believe Judge Arcara’s decision was “plainly wrong.” In support of its argument in this regard, the plaintiffs first argue that Judge Arcаra should not have read a temporal limit into the term “surface active material” because the claims do not limit that term to dry powder or impose a temporal element on that material. The Court disagrees. The claims clearly contemplate that the “surface active material” exists first, and then, after a “pharmaceutically acceptable carrier” is added to the surface active material, the surface active material ceases to exist and becomes a “pharmaceutical composition.” See, e.g., U.S. Patеnt No. 4,397,839, at col. 18, lines 15-19. As Judge Arcara noted, it was undisputed that the chemical composition of the lung surfactant extract material changes when it is added to water (one of the claimed elements of the “pharmaceutically acceptable carriers,” see id., col. 18, lines 26-28). If that is the case — and the parties in this case certainly seem to agree that it is— once the pharmaceutically acceptable carrier is added to the surface active material, the surface active material no longer exists, or at least it does not exist in the same form.
Second, the plaintiffs argue that Judge Arcara’s construction of “surface active material” is wrong because a solid, which is what the surface active material must be under Judge Arcara’s view, cannot be added “dropwise” as required by claim 1, and cannot be administered orally or intraperi-toneally (through a syringe) as discussed in the specification. The plaintiffs have not explained why this is so, however. In fact, their argument seems to assume that the terms “solid” and “liquid” are black and white, and that only “liquids” can be dropped or put into a syringe. Not that the Court hаs any particularized knowledge about the specific state of matter of the “surface active material” described in the patent, but as a matter of common sense, some “solids” are more solid (in the sense of being unmalleable) than others. For example, cake frosting and toothpaste, which most people probably think of as solids, can be added dropwise onto a surface, which is what the claims of the patent contemplate. So just saying something is a “solid” does not necessarily mean that it cannot be made to perform in the ways required under the patent. More importantly, the intraperitoneal insertion language comes from the examples provided in the specification, not from the claims themselves, and it therefore may not be read into the claims.
See, e.g., Laitram Corp. v. Cambridge Wire Cloth Co.,
The plaintiffs next argue that Judge Ar-cara’s claim construction was wrong because he held that claim 1 is a subset of claim 9, which is impossible if claim 9 depends from claim 1, which it unquestionably does. The Court disagrees with this characterization of the ruling. Judge Ar-cara did not hold that claim 1 depended from claim 9; rather, he held (correctly in this Court’s view) that the “surface active material” claimed in claim 1 is one component of the “pharmaceutical composition” claimed in claim 9. The plain language of the claims makes this much сlear; claim 9 claims “[a] pharmaceutical composition ... comprising an effective amount of a surface active material as set forth in claim 1 and a pharmaceutically acceptable carrier thereof.” U.S. Patent No. 4,397,839, col. 18, lines 15-19.
Tying this argument in with their point that a solid cannot be inserted intraperito-neally, the plaintiffs argue that Judge Ar-cara was wrong to infer that “surface active material” is a solid because even Dey’s own surfactant expert, Joseph Zasadzinski, testified that the phrase did not “fit within a particular state of mattеr.” See Plaintiffs’ Brief on the Correct Construction of [Claim Terms], p. 8 (quoting Zasadzinski’s deposition testimony). But the deposition excerpt makes clear that Zasadzinski was asked to define the phrase as a general proposition, whereas Judge Arcara was asked to define that phrase as it used in the context of the ’301 and ’839 patents. Those patents define “surface active material” as something that must be combined with water and physiological saline (i.e., made more liquid) to form the “pharmaceutical composition” to be used in treating RSD. See U.S. Patent No. 4,397,939, col. 18, lines 15-19, 26-31. Judge Arсara was right to conclude that “surface active material” and “pharmaceutical composition,” as used in the patent, do not mean the same thing.
As further evidence that “surface active material” is not limited to a solid state, the plaintiffs offer a copy of the extension it received from the PTO under 35 U.S.C. § 156. The plaintiffs reason that because the patentee submitted “testing conducted on the
post-suspension
product Survanta,® but did not submit any testing on a ‘dry’ precursor product” in support of its application for the extension, and because the PTO granted the extension, the PTO necessarily found that Survanta® was a “surface active material” within the meaning of claim 1.
See
Plaintiffs’ Brief on the Correct Construction of [Claim Terms], at 7-8. This evidence is extrinsic and, absent an ambiguity in the patent’s claims, specification and prosecution history (which is lacking here), it should not be considered in determining what the claims of the patent actually mean; certainly, this evidence cannot be used to contradict the claim construction unambiguously apparent from the intrinsic evidence.
See Vitronics Corp. v. Conceptronic, Inc.,
Finally, the plaintiffs argue that Judge Arcara’s ruling prevents the patentee from determining' whether a publicly-available product produced by a potential infringer actually infringes the ’839 patent because they would have to test the precursor to the publicly-available product — what Dey has referred to in court as “the paste”—
Prosecution History and the Doctrine of Equivalents
Claim 1 of the ’301 and ’839 patents specifies certain percentage ranges within which the components of the surface active material must fall. For example, the ’301 patent claims a “[sjurface active material ... characterized in that the phospholipid content is 75.0-95.5%, the neutral lipid content is 1.8-14.0%, the total cholesterol сontent is 0.0-3.0%, the carbohydrate content is 0.1-1.5%, the protein content is 0.5-5.0% and water content is 1.7-6.0%, all based on the dried weight of said material ....” U.S. Patent No. 4,338,301 at col. 17, lines 59-68. And the ’839 patent claims a “surface active material ... characterized in that the overall phospholipid content is 68.6-90.7%, the overall neutral fat content is 0.3-13.0%, the total cholesterol content is 0.0-8.0%, the overall free fatty acid content is 1.0-27.7%, the carbohydrate content is 0.1-2.0%, the protein content is 0.0-3.5%, and the water content is 21-5.2%, all based on the dry weight of the material....” U.S. Patent No., 4,397,839, at 17, lines 13-25. The plaintiffs allege that Dey’s product infringes all of the elements of claim 1, some literally because Dey’s product contains some of the components in percentages that fall within the ranges specified in the claim, and one under the doctrine of equivalents because Dey’s product contains phospholipid in a percentage that falls outside the range given in the claim but is not substantially different from that specified in the claim. 4 Dey claims that the plaintiffs are precluded from arguing infringement under the doctrine of equivalents because of arguments and amendments madе during Tanabe’s prosecution of the ’301 patent. The plaintiffs disagree, arguing that nothing in the prosecution history of either the ’301 or the ’839 patents suggests that Tanabe intended to limit its right to exclude products containing the claimed components in percentages different from those claimed.
“If an asserted claim does not literally read on an accused product, infringement may still occur under the doctrine of equivalents if there is not a substantial difference between the limitations of the claim and the accused product.”
Bayer AG v. Elan Pharmaceutical Research Corp.,
After reviewing the prosecution history of both patents, the Court agrees with Dey that Tanabe and the plaintiffs are estopped from arguing infringement based on the doctrine of equivalents with respect to the ranges claimed for the specified components of the surface active material. As originally submitted to the PTO, the ’301 patent claimed:
1. Surface active material containing phospholipid, neutral lipid, total cholesterol, carbohydrate and protein, all of which are present in the lung tissue of a mammal, characterized in that the phos-pholipid content is 75.0-95.5%, the neutral lipid content is 1.8-14.0%, the total cholesterol content is 0.0-3.0%, the carbohydrate content is' 0.1-1.5% and the protein content is 0.5-5.0%, all based on the dried weight of said material. See Application for U.S. Patent No. 4,338,-301, Prosecution History at p. 45, lines 4-11.
During the first office action, the patent examiner rejected this claim because .he thought it should say “obtained from'lung tissue” rather than “present in lung tissue.” ’ See id. at 52. Tanabe made this change, as well as others not relevant for our purposes. The second time around, the patent examiner rejected the claim (now recast as claim 16) “as being prima facie obvious (35 USC 103) over the three references supplied by applications and herein cited.” 5 Id., gt 68. The examiner advised that Tanabe “should rebut these references on the récord. Note that these references show products quite proximate to those being claimed.” Id. In response to the examiner’s rejection of the claim, Tanabe amended it (now re-labeled as claim 41) to add a statement concerning “the minimum and maximum surface tension ranges of thе material estimated- in Wilhelmy’s method wherein the material is added dropwise to the surface of physiological saline ....” Id. at 73. Tanabe did not change anything relating to the components’ percentage ranges, but it explained the amendments to this claim and responded to the examiner’s concerns about the cited references as follows:
To better define, and distinguish the inventive substance over any substances which might be shown by the [three references noted by the examiner], the specific characteristics of the inventive surface active agent, with regard to the result of Wilhelmy’s method test is set forth in the claim.... None of the three references disclose any substance similar to the substance defined by claim 41.
The composition of the surface-active material isolated according to the invention is also not particularly shown in any of the references.
ifr # ■ ijs ‡ #
While the references disclose chemical compositions and physiological functions of mammal pulmonary surfactants, they do not demonstrate that their substances have a clear effect on “HMD.” ... The inventors of the invention covered by this аpplication have studied the suggestions of these three references and discovered, through experimentation, that only a surface active material having the chemical composition claimed and disclosed in Table I at page k of the application under the heading “Composition of the Material”* have theproperty of rapid spreading and of ultra-alveolar surface tension reduction.
Accordingly, it is believed all of the claims define a patentable invention over the cited references, whether these references are taken separately or in combination. Id. at 79-80 (emphasis added).
Although these remarks were made in connection with the prosecution of the ’301 patent, they apply with equal force to the ’839 patent, which claims an improvement of the ’301 patent, and the application for which was filed after the above remarks were made. See Application for U.S. Patent No. 4,338,301, p. 18, line 18— p. 19, line 5.
These remarks clearly suggest that Tan-abe intended to distinguish the particular composition of his invention and to limit his invention to surface active material specifically comprised of the components listed in the percentage amounts specified. Tanabe specifically distinguished the patented invention by the composition as specified in the included table, which listed the appropriate percentage ranges for each of the components of the material. It is true, as the plaintiffs argue, that arguments made during prosecution of the patent application must be viewed in context, and that not every statement made by a patentee during prosecution to distinguish prior art references creates a separate es-toppel.
See Read Corp. v. Portec, Inc.,
Notes
. Surfactant, as used in this context, is a biochemical substance that coats the alveoli in the lungs, allowing them to expand and contract mоre easily during respiration. Mature lungs produce surfactant, but the substance is often found lacking in the lungs of premature babies, causing them to suffer Respiratory Distress Syndrome.
. The ’301 patent expired May 21, 2000. The Court took these dates from Judge Arcara's decision and accepts them as true, though in their supplemental brief plaintiffs submitted a copy of a request for extension of the ’839 patent and the certificate extending the patent term which suggest that the patent may expire in early 2004.
. The Court looks to Seventh Circuit law because that is where the Federal Circuit would turn in applying issue preclusion in this case.
See Epic Metals Corp. v. H.H. Robertson Co.,
. These allegations are based on testing the plaintiffs did not on the precursor of the final Curosurf® product, but rather on a compound formed by drying the final product. The plaintiffs have not yet revealed the results of the tests they did on the precursor.
. The references were a 1972 article by King, et al.; a 1978 article by Adams, et al.; and a 1975 article by Harwood, et al. See id. at 70.
