ORDER & OPINION
This matter is before the Court on TAS’ 1 Motion for Summary Judgment under the Doctrine of Res Judicata (Doc. 18). Cummins has responded in opposition to this Motion (Doc. 20), and TAS has replied to this Response (Doc. 22). Cummins has also filed a Motion for Leave to File a Surreply to Defendant’s Reply (Doc. 23), which TAS has opposed (Doc. 24). In addition, TAS has filed a Motion to Stay Discovery Pending Resolution of the instant Motion for Summary Judgment. (Doc. 26). For the reasons stated below, TAS’ Motion for Summary Judgment is granted, Cummins’ Motion for Leave to File a Surreply is denied, and TAS’ Motion to Stay Discovery is denied as moot.
Background
In 1997, TAS and Cummins entered into a License Agreement, a Master Agreement, and a Consulting Services Agreement. The License Agreement granted Cummins a license to use certain TAS technology, subject to certain reserved rights, and set out royalty and payment terms. This TAS technology included two technologies that are patented as U.S. Patent No. 5,072,703 (the “'703 Patent”) which issued on December 17, 1991, and is entitled “Apparatus For The Automatic Starting, Running, And Stopping Of An Internal Combustion Engine,” and U.S. Patent No. 5,222,469 (the “'469 Patent”) which issued on June 29, 1993, and is entitled “Apparatus For Monitoring An Internal Combustion Engine Of A Vehicle.” TAS’ Temp-a-Start and Temp-a-Stop systems incorporate these technologies.
In 2003, TAS filed suit against Cummins, alleging that Cummins had violated
A second case was filed against Cummins by TAS on May 31, 2007, in this Court; it is known as TAS II. (Case No. 07-CV-1141). This suit, which is currently pending, alleges that Cummins has breached the License Agreement, in that it allegedly “failed to pay royalties to TAS” for TAS technology allegedly embodied in Cummins’ products, and “has further failed ... to provide TAS with the monthly reports of sales of products called for in the License Agreement.” (TAS II, 07-cv-1141, Doc. 205 at 3). Alternatively, TAS asserts that Cummins has put its own “ISF Plus System” on its products, rather than TAS’ licensed system, and owes royalties to TAS under the License Agreement for the TAS technology that was thus not used. (TAS II, 07-cv-1141, Doc. 205 at 13-16).
On March 18, 2009, Cummins filed the instant suit, seeking to have this Court: (1) dismiss TAS’ suit in
TAS II,
(2) declare that the '703 and '469 patents are invalid, (3) declare the License Agreement void for patent misuse, (4) declare that TAS has engaged in patent misuse,
2
(5) declare that the '703 and '469 patents are unenforceable based on inequitable conduct, and (6) rescind the License Agreement and the Master Agreement. (Doc. 1 at 23-24). The basis of Cummins’ suit is the allegation that three alleged facts render the '703 and '469 patents invalid: products embodying the Temp-a-Start and/or Temp-a-Stop technologies were sold as early as 1986, more than one year prior to the 1991 and 1993 issuance of the '703 and '469 patents; the wrong inventor was named on the '469 patent;
3
and there is a gap in the chain of title between the inven
TAS opposes Cummins’ claims on their merits, but also filed the instant Motion for Summary Judgment under the Doctrine of Res Judicata on May 12, 2009. (Doc. 19). TAS alleges that the doctrine of res judicata bars Cummins’ suit, as Cummins could have raised these patent and contract issues in TAS I, as a defense or counterclaim.
Motion for Leave to File Surreply
On September 4, 2009, Cummins filed a Motion for Leave to File a surreply to TAS’ Reply to Cummins’ Opposition to its Motion for Summary Judgment. (Doc. 23). TAS opposed this Motion. (Doc. 24). Cummins argues that it should be allowed to file a surreply because, in its Reply to Cummins’ Opposition to its Motion for Summary Judgment, TAS made “significant misstatements regarding the appropriate legal standard for res judicata, inappropriately relied on dicta from otherwise irrelevant case law, and failed to acknowledge the importance of policy considerations when applying res judicata in Illinois courts. Additionally, TAS’ Reply failed to provide any reasoning as to why a majority of Cummins’ claims were barred by res judicata, and made inaccurate representations of United States Patent Law.” 5 (Doc. 23 at 2).
The Motion for Leave to File a surreply is denied. In its support, Cummins argues that TAS has made legal mistakes in its Reply that Cummins must address. The Court is quite capable of determining the effect of these supposed misstatements of law on its own and does not require the assistance of Cummins’ surreply in doing so. Moreover, unlike some other courts,
6
this Court’s Local
Legal Standard
I. Summary Judgment
Summary judgment should be granted where “the pleadings, the discovery and disclosure materials on file, and any affidavits show that there is no genuine issue as to any material fact and that the movant is entitled to judgment as a matter of law.” Fed.R.Civ.P. 56(c). In ruling on a motion for summary judgment, the court must view the evidence on record in the light most favorable to the non-moving party.
SMS Demag Aktiengesellschaft v. Material Sciences Corp.,
II. Res Judicata
Res judicata, modernly known as claim preclusion, prevents a party from bringing a suit to resolve a claim that could have been decided in a prior action between the same parties or their privies. The res judicata effect of a prior judgment by a federal court sitting in diversity is governed by “federal common law,” which provides for the application of the law of the state in which the federal court sits.
Semtek International Inc. v. Lockheed Martin Corp.,
Analysis
I. Applicability of Res Judicata
Illinois requires that three requirements be met in order for res judicata to bar a subsequent suit: “(1) there was a final judgment on the merits rendered by a court of competent jurisdiction, (2) there is an identity of cause of action, and (3) there is an identity of parties or their privies.”
7
River Park, Inc. v. City of
In order to determine whether the two suits involve the same cause of action, Illinois applies a transactional test. This test views a claim “in ‘factual terms’ and considered ‘coterminous with the transaction, regardless of the number of substantive theories, or variant forms of relief flowing from those theories, that may be available to the plaintiff; ... and regardless of the variations in the evidence needed to support the theories or rights.’ ”
Id.
at 892
(quoting
Rest.2d Judg. § 24, cmt. a (1982)) (alteration in original). “[S]eparate claims will be considered the same cause of action for purposes of res judicata if they arise from a single group of operative facts, regardless of whether they assert different theories of relief.”
Id.
at 893
(citing Rodgers v. St. Mary’s Hosp. of Decatur,
Res judicata binds both parties to the earlier suit.
Fuller Family Holdings v. Northern Trust Co.,
The Court finds that Cummins’ instant claims could have been asserted in TAS I, as they arise from the same core of operative facts, all of which existed prior to TAS 7. As noted above, TAS I involved TAS’ claim that Cummins had violated the License Agreement by failing to adequately market the technologies as required in the License Agreement. In that action, Cummins counterclaimed, alleging that its obligation to pay royalties under the License Agreement expired on March 31, 2003. As noted by this Court in its Summary Judgment Opinion in TAS I, “[n]either party dispute[d] the validity of the contracts at issue in this case.” (TAS 7, 03-cv-1026, Doc. 36 at 7).
In
River Park,
the Illinois Supreme Court laid out several factors that are of use in deciding whether facts constitute a “transaction:” “whether the facts are related in time, space, origin, or motivation, whether they form a convenient trial unit, and whether their treatment as a unit conforms to the parties’ expectations or business understanding or usage.”
River Park,
In addition, a finding for TAS in the instant case would “either nullify the earlier judgment or impair the rights established in the earlier action.”
Corcoran-Hakala,
Cummins argues that the two suits do not concern the same “operative facts,” as a second suit is not barred merely because it concerns the same contract at issue in an earlier suit. In support of this argument, Cummins discusses two Illinois cases,
Saxon Mortgage, Inc. v. United Financial Mortgage Corp.,
Cummins cites the fact that TAS I and the instant suit allege different bases for relief and rely on different evidence, with TAS I’s counts relating to what “Cummins did to promote the TAS technology, namely what steps Cummins took to develop and promote the TAS technology, and — as has been litigated at length in the TAS v. Cummins II case — whether Cummins could include its own idle shutdown technology on its engines.” (Doc. 20 at 30). In contrast, Cummins asserts, the instant case “pertain[s] almost exclusively to TAS’ actions, TAS’ representations or misrepresentations, and TAS’ obligations in licensing its technology to Cummins, as well as TAS’ actions before the U.S. Patent and Trademark Office.” (Doc. 20 at 31). Cummins also asserts that the relevant actions were taken during different time periods, that the two suits involve separate clauses of the Agreements, and that the two suits seek different forms of relief. All of this may be true, but the facts remain that the validity of the Agreements is the essential fact to both suits and that the TAS’ alleged actions occurred prior to TAS I. Thus, a finding in Cummins’ favor here will result in the nullification of the Court’s decision in TAS I.
In
Saxon Mortgage,
a federal court had granted summary judgment to the plaintiff in a breach of contract action. The defendant to that action then sought to dismiss a state court suit by the same plaintiff under the doctrine of res judicata; arguing that, because these two suits originated from the same agreement, res judicata should bar the second. The Illinois Appellate Court disagreed, finding that the two claims were distinct: the federal case concerned whether a mortgage loan’s deficiencies “impinged on that loan’s investment quality,” while the state case concerned whether certain “loans were paid in full within 180 days after the loans were sold.”
11
Torcasso
is likewise unhelpful to Cummins.
12
Torcasso, who had been the defendant in a prior action by Standard for payment of a leasing commission due under a contract, later sued Standard for breach of that same contract and fraud. The Illinois Appellate Court held that these were not the same cause of action, as the commission suit had relied on a lease procured by Standard in 1985, over a year after the events underlying Torcasso’s breach of contract and fraud claims. Because the facts asserted in the later case would not have controlled the outcome of the prior ease, the court held that the later case was not barred by res judicata.
Torcasso,
Further, the Seventh Circuit has also decided res judicata issues controlled by Illinois law, and has found that defendants to an earlier breach-of-contract action cannot later bring an action that would void the contract. In
Henry,
the Henrys, plaintiffs in a subsequent action in federal court, had been defendants to a prior state court foreclosure proceeding. Illinois law provided that, where the Henrys sought in the second action to prove that the mortgage on which the prior foreclosure action had been based was fraudulent and forged, the second action was barred, because the fraud and forgery claims would have been a complete defense to the foreclosure action.
A. Application to Patent-Based Claims
On the other hand, Cummins argues that, even if these contract claims are barred by the decision in
TAS I,
its patent-invalidity claims are not. This argument is unavailing. The patent-invalidity claims are, in this case, part of the group of facts needed to prove the contract claims and are thus the same cause of action as
TAS I. River Park,
II. Exceptions to Res Judicata
Cummins also argues that there are three additional reasons that res judicata, even if ordinarily applicable in this situation, should not apply. First, Cummins argues that there is a “declaratory judgment exception” that prevents the application of res judicata to its suit. Second, Cummins argues that Illinois law recognizes a “misrepresentation exception” to res judicata. Cummins also argues that federal policy requires the adjudication of its instant patent claims on the merits. None of these prevents the application of the res judicata bar to this case.
A. “Declaratory Judgment Exception”
Cummins argues that, under the “declaratory judgment exception,” res judicata is inapplicable to any findings made pursuant to Cummins’ counterclaim in TAS I. There are several problems with this argument. First, Allan Block v. County Materials Corporation, the case cited by Cummins for the “declaratory judgment exception,” arose under federal res judicata law. As discussed above, Illinois’ res judicata law governs the preclusive effect of the TAS I decision, as it was decided by this Court under Illinois law.
In Illinois, it appears that there is no “declaratory judgment exception.” In
Mandarino v. Pollard,
the Seventh Circuit noted that the Illinois courts do not appear to have adopted this exception.
Even if the “declaratory judgment exception” were part of Illinois law, though, it would not be applicable to this case under its own terms.
14
The Seventh Circuit held that “there is an exception to res judicata for cases in which the
only
relief sought in the first suit is a declaratory judgment.”
Allan Block v. County Materials Corp.,
B. Misrepresentation Exception
Cummins asserts that Illinois law recognizes an exception to res judicata
The Court has found no Illinois cases that discuss the “misrepresentation” aspect of this exception, which is also stated in the Restatement (Second) of Judgments § 26, comment j. 16 Both parties cite this comment, which instructs that
A defendant cannot justly object to being sued on a part or phase of a claim that the plaintiff failed to include in an earlier action because of the defendant’s own fraud____ The result is the same when the defendant was not fraudulent, but by an innocent misrepresentation prevented the plaintiff from including the entire claim in the original action----The result is different, however, where the failure of the plaintiff to include the entire claim in the original action was due to a mistake, not caused by the defendant’s fraud or innocent misrepresentation.
Rest.2d Judg. § 26, emt.j (1982).
The case cited by Cummins,
Thorleif Larsen,
did not apply the misrepresentation aspect, but relied on the fact that the defendant had previously acquiesced to the plaintiffs splitting his claim.
A few other jurisdictions have discussed § 26, comment j in their cases, and their applications of the rule are illustrative. In
A Massachusetts Appeals Court rejected a plaintiffs claim that res judicata should not bar his suit, though he claimed that the defendant “deliberately concealed [its insurer’s] conflict of interest.”
Gloucester Marine Ry. Corp. v. Charles Parisi, Inc.,
In support of its argument that this exception should apply, Cummins asserts that “TAS affirmatively represented to Cummins that its patents were valid and that TAS was entitled to license the patents to Cummins,” though it knew that the 1986 sales of Temp-a-Start products would defeat the '703 and '469 patents, that a gap in the chain of title exists as to the '703 patent, and that Mr. Sutton’s brother invented the technology of the '469 patent. (Doc. 20 at 34). Cummins points to § 9 of the Master Agreement as one proof of this misrepresentation, as well as Mr. Sutton’s alleged failure to inform the U.S. Patent Office of these facts, and Mr. Sutton’s deposition testimony in TAS I.
TAS agrees that such a misrepresentation exception exists but denies that it made any misrepresentations or that it hid information from Cummins. TAS argues that Cummins was informed of the 1986 sales of the Temp-a-Start product prior to execution of the Agreements and that it was again informed of these sales during the
TAS I
litigation.
17
In support of this contention, TAS offers the minutes of an October 22, 1996, meeting between itself
The Court is not convinced, even when all the evidence is viewed in the light most favorable to Cummins, that TAS has made any misrepresentations that prevented Cummins from including its contract and patent invalidity claims in TAS I. The primary “misrepresentation” Cummins claims is embodied in § 9 of the Master Agreement — Cummins cites the following language for support:
(a) ... TAS hereby represents and warrants that TAS is the sole and exclusive owner and/or licensee of the Subject Technology and Related Intellectual Property, and that TAS has the unconditional right and authority to grant Cummins the rights and licenses, and to make the undertakings, set forth in the Agreements....
(c) TAS [also] represents and warrants that ... no claim, action, lawsuit, arbitration, investigation, or administrative proceeding related to the Subject Technology or Related Intellectual Property ... has been instituted by or against TAS, nor has any court, arbitral panel, or government agency issued any order, judgment, or decree relating to the Subject Technology, Related Intellectual Property, or TAS’s design, development, engineering, testing, installation, application, manufacture, distribution, advertising, or sale of the Products. TAS further represents that, after a diligent investigation, TAS does not know or have reason to know of any basis for any such claim, action, lawsuit, arbitration, investigation, or administrative proceeding, or order; judgment, or decree.”
(Doc. 20 at 34 (quoting Doe. 19, Ex. C at 6) (omissions in Cummins’ quotation)). Cummins argues that this language is an “affirmative misrepresentation by TAS that it had the authority to license the '703 and '469 patents to Cummins. Further, TAS warrants ... that it was unaware of any basis for which such a suit could be brought.” (Doc. 20 at 34). Cummins reasons that, because TAS allegedly knew that the three bases of Cummins’ claim that the patents are invalid existed at the time of contracting, its assertions that it had the right to license the technology and that it did not know of any basis for a claim against the technology were misrepresentations.
Even assuming that Cummins’ factual allegations regarding the patents’ validity are true, and that TAS knew in 1997 that the patents were subject to attack, § 9 does not constitute a “misrepresentation” that caused Cummins to fail to include its contract and patent claims in
TAS I,
such that res judicata is inapplicable. The language of § 26, comment j,
18
As Cummins acknowledges, it was told of the 1986 sales of the Temp-a-Start products in October of 1996, and Mr. Berryhill memorialized this revelation in his minutes.
20
(Doc. 19, Ex. F). Thus, Cummins was on notice well prior to contracting and to
TAS I
that the patented technology had been sold prior to the issuance of the patents. In addition, during
TAS I,
Mr. Sutton was deposed by Cummins, and testified that Temp-a-Start was first sold in 1986. (Doc. 19, Ex. I at 11:2-6). These disclosures vitiate any claim by Cummins that TAS’ § 9 assertions caused it to fail to investigate the validity of the patents. Cummins had a duty of due diligence in entering into the agreement and in defending
TAS I,
and could not close its eyes to the possibility, revealed by the 1986 sales, that the patents might be subject to doubt.
Hughey v. Industrial Commission,
Thus, when Cummins was accused of breaching its contract with TAS in
TAS I,
Cummins should have taken advantage of the opportunity for discovery of information relevant to the patents’ validity. This discovery in
TAS I
should have also included information on the supposed inventorship of the '469 patent and the chain of title to the '703 patent, the other two bases
Further, Cummins alleges that “TAS represented the validity of its patents to Cummins by virtue of its actions” before the U.S. Patent Office. (Doc. 20 at 35). It asserts that Mr. Sutton failed to disclose to the Patent Office the facts of the 1986 Temp-a-Start sales and that his brother invented the '469 patent. 21 Whatever Mr. Sutton may have failed to disclose to the Patent Office, and whatever effect this might have had on the actual validity of the patents, this did not constitute a “misrepresentation” to Cummins that caused it to fail to contest the validity of the patents and the Agreements in TAS I, as TAS itself knew of the 1986 sales. In addition, Cummins asserts that Mr. Sutton, in his deposition in TAS I, “claimed the 1986 Temp-a-Start was patented (by then existing patents, as opposed to being covered by patents filed several years later).” (Doc. 20 at 36). This characterization of Mr. Sutton’s testimony is plainly untrue. Mr. Sutton did not say that the 1968 Temp-a-Start was already patented in 1986, but rather that he did not remember when the patent for that technology was obtained. (Doc. 22, Ex. B at 11:11-12). There is no way that this could be a “misrepresentation” to Cummins. 22 Therefore, the misrepresentation exception to res judicata is inapplicable to this case.
C. Federab Policy
Cummins argues, finally, that there exists a federal policy in favor of determining the validity or invalidity of patents, and that this policy should prevent the application of res judicata to its patent claims.
23
In support of this contention, Cummins cites
Kraly v. National Distillers and Chemical Corp.,
in which the Seventh Circuit indeed noted “the public interest in obtaining a judicial determination of the invalidity of a worthless patent,” and that “federal law requires that all ideas in general circulation be dedicated to the common good unless they are protected by a valid patent,” such that “this federal policy prevails over the ‘technical requirements of contract doctrine.’ ”
In
Wikomi,
the Seventh Circuit revisited the issue of what res judicata effect should be accorded to consent decrees in patent infringement litigation, and found that federal patent policy justified the limitation of
Kraly
to the situation in which a consent decree states only that a patent is valid.
Here, of course, TAS I was a prior judicial decision, not merely a consent decree, and so it is entitled to even greater res judicata effect. Cummins has cited no authority for the proposition that federal patent policy requires that a final decision by a court, such as that in TAS I, not be given full res judicata effect. Indeed, as shown by Wikomi, this policy does not even avoid res judicata for all consent decrees. Therefore, federal patent policy does not prevent the application of res judicata to this case. 24 In addition, the reasons given in Wikomi for foreclosing relitigation of the patent-validity issue are equally applicable here — it is “not only consistent with but is also the most effective way to enforce the Lear policy of facilitating competitive access to ideas.” Id. at 548.
The Seventh Circuit first found that applying res judicata would “encourage earlier and more vigorous challenges to the validity of patents,” as, “[i]f they were given a second chance to litigate the issue of validity, alleged infringers might well accept a license under a consent decree and forego an attack on validity until favored by a stronger financial position, or until threatened by other manufacturers who were not paying royalties.”
Id.
at 548
(quoting Schlegel Manufacturing Co. v. USM Corp.,
Conclusion
As they could have, and should have, been litigated in TAS I, res judicata bars Cummins’ claims in this case against TAS, and none of the exceptions to res judicata apply to prevent its application. Therefore, TAS’ Motion for Summary Judgment (Doc. 18) is GRANTED. Further, Cummins’ Motion for Leave to File a surreply (Doc. 23) is DENIED, and TAS’ Motion to Stay Discovery (Doc. 26) is DENIED AS MOOT.
CASE TERMINATED.
Notes
. Because this is the third related case in this Court between these two parties, the Court will refer to Plaintiff as TAS, and to Defendant as Cummins.
. Patent misuse requires a showing that "the patentee has impermissibly broadened the 'physical or temporal scope’ of the patent grant with anticompetitive effect.”
Windsurfing Intern. Inc. v. AMF, Inc.,
Cummins asserts that the License Agreement, because it requires Cummins to pay royalties past the expiration of the '703 and '469 patents, is "invalid as a matter of law under the doctrine of patent misuse which voids license agreements in which royalty payments accrue after the expiration of the licensed patents.” (Doc. 1 at 18). In addition, Cummins claims that TAS' enforcement of the allegedly invalid patents has “improperly restrained competition and/or created an anticompetitive effect.” (Doc. 1 at 19).
It appears that patent misuse is only a defense to a patent-infringement claim, not an affirmative basis for relief. J. Thomas McCarthy,
McCarthy’s Desk Encyclopedia of Intellectual Property
208 (1991)
(citing Windsurfing Intern.,
. Loran Sutton is named as the inventor of the subject matter of the '469 patent. Cum
.More specifically, Cummins alleges that Loran Sutton, the inventor of the '703 patent, assigned the '703 Patent to Temp A Start, Inc. on October 16, 1990, and Thermo King Corporation assigned it to Trans-Pro, Inc. on October 25, 1993. Thus, there is a three-year gap in the chain of title between Temp A Start, Inc. and Thermo King Corporation, such that Thermo King Corporation did not have any right to assign the '703 Patent to Trans-Pro, Inc., and, if Thermo King Corporation did not have any rights to assign to Trans-Pro, Inc., then Trans-Pro, Inc. did not have any rights to assign to TAS. TAS disputes the allegation that there was a gap in the chain of title, asserting that “the '703 patent indicates on its face that the patent rights were assigned directly from Mr. Sutton to Thermo-King when the patent was issued.” (Doc. 19 at 14).
. Cummins also claims that TAS' Opposition to Cummins’ Motion For Summary Judgment on Count II in TAS II "contained significant misstatements regarding the appropriate legal standard for res judicata, again inappropriately relied on dicta from otherwise irrelevant case law, and failed to place proper emphasis on policy considerations in the context of res judicata.” (Doc. 23 at 2). Given that the surreply would be filed in the instant case, 09-cv-1096, any misstatements in TAS II that it seeks to address are irrelevant to the disposition of this Motion.
. For example, the Southern District of Indiana's Local Rule 56.1(d) provides: "If, in reply, the moving party relies upon evidence not previously cited or objects to the admissibility of the non-moving party’s evidence, the non-moving party may file a surreply brief limited to such new evidence and objections,
. Illinois recognizes that "[t]he purpose of res judicata is to promote judicial economy by requiring parties to litigate, in one case, all rights arising out of the same set of operative facts and also [to] prevent[ ] the unjust burden that would result if a party could be forced to relitigate what is essentially the same case.”
River Park,
. This is true even though a defendant in Illinois ordinarily may choose to bring a separate action for any claims he has against a plaintiff, rather than bringing them as a counterclaim to the plaintiff's action.
Fuller Family Holdings,
. The invalidity of the patents and contracts, if shown, would have also resulted in a finding in Cummins’ favor on its counterclaim, as the License Agreement would have been invalidated.
. Cummins argues that this breach of contract claim cannot be barred by res judicata,
. The Saxon Mortgage court also based its decision on an exception to the doctrine of claim-splitting.
. It is notable that
Torcasso
was decided under Illinois' "same evidence” test for determining whether two cases constituted the same cause of action for res judicata purposes. This test was used simultaneously by the Illinois courts until
River Park
rejected the same evidence test and decided that only the transactional test would be used.
. The Court also notes that the first Restatement of Judgments § 77, comment b, indicates a "declaratory judgment exception.” Only one Illinois case cited this section of the first Restatement, and that case did not adopt the exception, but merely noted that a declaratory judgment "would have made 'res judicata the matters declared by the judgment, thus precluding the parties to the litigation from relitigating these matters.’ ”
Williams v. Madison County Mut. Auto. Ins. Co.,
. TAS also argues that the "declaratory judgment exception” is inapplicable to this case because Allan Block notes that "if specific issues are resolved in the declaratory judgment action, their resolution will bind the plaintiff by virtue of the doctrine of collateral estoppel.” TAS argues that the Court's decision on Cummins' counterclaim in TAS I necessarily determined that the Agreements were valid.
The Court agrees that
TAS I,
both for purposes of TAS' claims and Cummins’ counterclaims, assumed that the Agreements were valid, and that a determination that the Agreements were invalid would nullify
TAS I.
It does appear that, under Illinois law, collateral estoppel might bar re-litigation of the question of contract validity, as it applies when "(1) the issue decided in the prior adjudication is identical with the one presented in the suit in question, (2) there was a final judgment on the merits in the prior adjudication, and (3) the party against whom estoppel is asserted was a party or in privity with a party to the prior adjudication.”
Talarico v. Dunlap. 177
Ill.2d 185,
. To the extent
TAS
is claiming that because
its
only
counterclaim
was for declaratory judgment, the "declaratory judgment exception” applies, this argument is off the mark. Such an interpretation would turn
Allan Block
on its head — it would allow defendants to prevent the future application of res judicata merely by counterclaiming for declaratory judgment. The purposes of the exception, as discussed above, are to allow a victorious declaratory-judgment plaintiff to later sue to enforce his rights under the declaratory judgment, and to prevent plaintiffs from "thwarting the choice of forum by the defendant” by filing declaratory-judgment-only complaints at the time and place of their choosing.
Allan Block,
. The Illinois Supreme Court summarized the Restatement (Second) of Judgments § 26 in
Rein v. David A. Noyes & Co.:
“This section provides that the rule against claim-splitting does not apply to bar an independent claim of part of the same cause of action if: (1) the parties have agreed in terms or in effect that plaintiff may split his claim or the defendant has acquiesced therein; (2) the court in the first action expressly reserved the plaintiff’s right to maintain the second action; (3) the plaintiff was unable to obtain relief on his claim because of a restriction on the subject-matter jurisdiction of the court in the first action; (4) the judgment in the first action was plainly inconsistent with the equitable implementation of a statutory scheme; (5) the case involves a continuing or recurrent wrong; or (6) it is clearly and convincingly shown that the policies favoring preclusion of a second action are overcome for an extraordinary reason.”
. TAS denies that these prior sales defeat the patents' validity or that of the Agreements.
. As noted above, § 26, comment j provides that res judicata applies “where the failure of the plaintiff to include the entire claim in the original action was due to a mistake, not caused by the defendant's fraud or innocent misrepresentation.’’ Rest.2d Judg. § 26, cmt.j.
. Cummins states that "TAS cannot credibly state that it informed Cummins of the invalidity of its patent claims while at the same time affirming in Section 9 of the Master Agreement that TAS knew of no facts to call the patents’ validity into question.” (Doc. 20 at 33). The issue is not whether TAS “informed Cummins of the invalidity of its patent claims,” it is whether TAS made a misrepresentation that caused Cummins’ failure to contest the validity of the patents and the Agreements in TAS I. As TAS contests the assertion that its patents are invalid, it would be absurd for it to "inform” Cummins that they are invalid. As discussed above, however, TAS did inform Cummins of the key fact that Cummins relies on to allege that the patents are invalid, and this is sufficient to allow the application of res judicata.
. Cummins attempts to create a genuine issue of material fact by stating that it was not "aware (or should have been aware) of the patent-defeating nature of TAS’ 1985-1986 Temp-a-Start sales.” (Doc. 20 at 5). In addition, it states that Mr. Sutton’s deposition testimony is not “evidence that Cummins had full knowledge of the patent defeating effect” of the prior sales. (Doc. 20 at 7-8). This is unavailing, however. As Cummins does not contest that it knew of the prior sales, whether it knew of the legal effect of this fact is immaterial, as a matter of law, to whether it should have brought its current claims in TAS I. As explained above, enough facts were revealed to Cummins that it should have, with due diligence, discovered prior to or during Cummins I that it may have a claim against the validity of the patents, against the validity of the contracts, and that TAS breached § 9.
. As noted above, TAS disputes that Mr. Sutton’s testimony reveals that his brother is the inventor of the '469 patent.
. Finally, Cummins argues on this point that TAS has engaged in "dilatory and improper discovery tactics to further conceal the nature of the TAS technology.” (Doc. 20 at 36). Notably, though, this alleged misconduct occurred during TAS II, not during TAS I — what is at issue here is whether any misrepresentations by TAS prevented Cummins from including its patent and contract invalidity claims in TAS I. The events of TAS II are irrelevant to this question.
.TAS contends that federal patent policy is inapplicable to the res judicata effect of
TAS I,
as that is to be decided under Illinois law.
Semtek
does provide that Illinois law should ordinarily determine the effect of
TAS
I— unless it "is incompatible with federal interests.”
Semtek,
531 U.S at 509,
. In addition, in
USM Corporation v. SPS Technologies,
the Seventh Circuit chose not "to create an exception to
Wikomi
for cases where the patent is alleged not merely to be invalid but to have been procured by fraud on the Patent Office.”
