Robert J. Gartside and Richard C. Norton (collectively “Gartside”) appeal from the final decision of the Board of Patent Appeals and Interferences holding that claims 34, 35, and 37-47 of application Ser. No. 07/798,627 are unpatentable as obvious under 35 U.S.C. § 103. See Forgac v. Gartside, Paper No. 72 (BPAI May 21, 1998). Because the Board’s factual findings relating to its obviousness analysis are supported by substantial evidence, and because the Board did not err in concluding that the claims were unpatentable as obvious as a matter of law, we affirm.
BACKGROUND
A. The Invention
Gartside’s application is directed to “cracking” processes, i.e., processes that generate low molecular weight, purified hydrocarbons of desired molecular composition by breaking down impure, high molecular weight hydrocarbon feed oil. Cracking is accomplished by reacting impure feed oil with “solids,” particulate matter that induces the breakdown of feed oil by either a thermal or catalytic reaction mechanism. See ’627 application, J.A. at 63. The claims at issue are all directed to catalytic cracking processes. Independent claim 47 has been argued to us as being “representative” of claims 34, 35, 37-40, and 42-44 and reads as follows:
47. A catalytic process comprising the steps of:
catalytically cracking hydrocarbon feed oil in a reactor of a catalytic cracking unit in the presence of a cracking catalyst at a temperature ranging from 1100 to 1500F to produce a catalytically cracked effluent stream of upgraded oil containing catalyst;
substantially separating said catalyst from said upgraded oil in a separator and a cyclone; and
quenching said upgraded oil downstream of said separator upstream of said cyclone with a quenching oil.
Id. at 51 (paragraphing added). Independent claim 41 is similarly “representative” of dependent claims 45 and 46 and reads as follows:
41. A catalytic process, comprising the steps of:
(a) delivering hot particulate catalytic cracking solids to a catalytic cracking reactor;
(b) delivering a hydrocarbon feed to said reactors;
(c) cracking said hydrocarbon feed in said reactor at a temperature of from 1100 to 1500F to produce a cracked product;
(d) separating said catalytic solids from the cracked product;
(e) quenching said cracked product;
wherein the total residence time from step (a) through step (e) ranges from 0.1 to 0.6 seconds.
Id. at 49 (paragraphing added).
B. The Interference Proceeding
Gartside copied claims from Forgac’s U.S. Patent 5,043,058, entitled “Quenching Downstream of an External Vapor Catalyst Separator,” into the ’627 application, attempting to provoke an interference.
1
On February 4, 1994, the Administrative Patent Judge (“APJ”) declared the inter
On September 12, 1995, the APJ issued an order addressing the parties’ motions filed during the preliminary motion period. See Paper No. 41 at 1-2. Of the parties’ eight motions, only two are relevant here: Gartside’s motion to designate certain claims as not corresponding to the count, and Forgac’s motion for judgment that all of Gartside’s claims were unpatentable under 35 U.S.C. § 103. The APJ denied Gartside’s motion to designate claims 36, 41, 45, and 46 as not corresponding to the count, concluding that Gartside had failed to show that those claims were patentably distinct from the other claims corresponding to the count. See generally id. at 7-11. The APJ granted in part Forgac’s motion for judgment that Gartside’s claims were invalid under § 103. See id. at 11. The APJ first observed that while Forgac’s motion was directed to all of Gartside’s claims corresponding to the count (claims 34-47), Forgac only performed a § 103 analysis as to claim 47. See id. at 11-12. The APJ apparently concluded that this analysis was acceptable with regard to the claims for which Gartside had not presented specific patentability arguments, namely claims 34, 35, 37-40, and 42-44, and indicated that those claims would thus stand or fall based on the arguments made on behalf of claim 47. See id. at 12. Since Gartside argued separately the patentability of claims 36, 41, 45, and 46, the APJ indicated that those claims would be considered apart from claim 47. See id.
Analyzing the claims that stood or fell with claim 47 first, the APJ held that those claims were unpatentable as obvious under § 103. See id. at 12. The APJ based his conclusion on Gartside’s U.S. Patent 4,552,645, which teaches a process of thermally cracking feed oil that is nearly identical to the process claimed in claim 47, either alone or in combination with Gart-side’s U.S. Patent 4,288,235, which discloses apparatus that may be used for both thermal and catalytic processes employing low residence times and quenching to prevent undesired cracking. See id. The APJ found that the motivation to combine the thermal cracking teachings of the ’645 patent with a catalytic cracking process as disclosed in the ’235 patent arose from the nature of the problem to be solved, viz., undesired cracking due to the presence of thermal or catalytic solids. See id. at 15. Thus, the APJ concluded that claim 47, as well as claims 34, 35, 37-40, and 42-44, were unpatentable under § 103. See id. at 12.
Gartside requested reconsideration of the denial of his motion to redesignate claims 36, 41, 45, and 46 as not corresponding to the count, see Paper No. 45, and the granting in part of Forgac’s motion to hold Gartside’s claims unpatentable under § 103, see Paper No. 43. On reconsideration, the APJ denied both of these requests. See Paper No. 49. As for the sua sponte holdings of unpatentability, Forgac and Gartside each filed timely responses, neither of which persuaded the examiner to depart from his earlier holdings, see Paper No. 50 at 15. 4 The APJ then ordered the parties to show cause why judgment should not be entered against them with respect to the patentability of all the claims corresponding to the count. See id. In response, Forgac and Gartside each requested a final hearing before the Board. See Paper Nos. 51 and 54.
On May 20, 1996, Forgac withdrew his request for a final hearing and authorized the APJ to cancel claims 1, 2, and 13 from the ’058 patent.
See
Paper No. 63 at 1-2. Despite Forgac’s withdrawal from the interference, the APJ held that the interference should proceed based on our decision in
Perkins v. Kwon,
The Board first held that the APJ properly concluded that the Board retained jurisdiction over the patentability issues raised in the interference. See
Gartside,
Paper No. 72 at 9. The Board reasoned that under our decision in
Schulze v. Green,
Turning to the merits, the Board concluded that the APJ did not abuse his discretion 5 in holding that claims 34, 35, 37-40, 42-44 and 47 of the ’627 application were unpatentable under § 103. See id. at 19. The Board agreed with the APJ that those claims would have been obvious based on the ’645 patent alone or in combination with the ’235 patent. See id. at 19. The Board also agreed with the APJ that the motivation to combine those references arose from the nature of the problem to be solved, viz., minimizing undesired cracking. See id. at 15.
As for claims 41, 45, and 46, the Board first held that the APJ did not abuse his discretion in denying Gartside’s motion to redesignate those claims , as not corresponding to the count, reasoning that Gartside had failed to show that those claims were patentably distinct from the other claims corresponding to the count. See id. at 21-22, 27. The Board further held that the APJ did not abuse his disere: tion in holding sua sponte that those claims were unpatentable under § 103 based on the combination of the ’645 patent and the Castagnos patent, or those two patents in view of the ’235 patent, see id. at 28-29, and that a motivation to combine them arose from the nature of the problem to be solved (minimizing undesired cracking) and from the references themselves, see id. at 25-27. The Board also found that Gartside’s evidence of unexpected re-suits in the form of the'“second Johnson declaration” was unpersuasive, as that evidence did not pertain to the same process as that of the claims at issue. See id. at 3&-36.
DISCUSSION
A. Standards of Review . ,
1. Review of Factfinding by the Board of Patent Appeals and Interferences
In
Dickinson v. Zurko,
Section 706 reads in relevant part as follows: ,
§ 706. Scope of Review
The reviewing court shall—
s|s í¡í % # #
(2) hold unlawful and set aside agency action, findings, and conclusions found to be—
(A) arbitrary, capricious, an abuse of discretion, or otherwise not in accordance with law;
# sfc % # #
(E) unsupported by substantial evidence in a case subject to sections 556 and 557 of this title or other-wisé reviewed on the record of anagency hearing provided by statute ....
5 U.S.C. § 706(2)(A), (E) (1994). In
Zurko,
the Supreme Court did not determine whether the correct standard of review for PTO findings of fact is the “arbitrary, capricious” or the “substantial evidence” test.
See Zurko,
The Supreme Court has indicated that the “arbitrary, capricious” standard of review is highly deferential. Under that standard, a reviewing court “must consider whether the decision was based on a consideration of relevant factors and whether there has been a clear error of judgment.”
Citizens to Preserve Overton Park, Inc. v. Volpe,
On the other hand, the “substantial evidence” standard asks whether a reasonable fact finder could have arrived at the agency’s decision,
see Consolidated Edison Co. v. NLRB,
Substantial evidence is more than a mere scintilla. It means such relevant evidence as a reasonable mind might accept as adequate to support a conclusion .... Mere uncorroborated hearsay or rumor does not constitute substantial evidence.
Consolidated,
Moreover, courts have recognized that the “arbitrary, capricious” standard is one of default.
See Association of Data Processing Serv. Orgs., Inc. v. Board of Governors of Fed. Reserve Sys.,
745 F.2d
Section 706(2)(E) provides that “substantial evidence” review is afforded to agency factfinding performed during an adjudication in two circumstances: (1) factfinding performed in “a case subject to sections 556 and 557 of this title,” and (2) factfinding performed in a case “reviewed on the record of an agency hearing provided by statute.” 5 U.S.C. § 706(2)(E). Factfinding by the Board does not fall within the first category, as § 554 excludes PTO adjudication from the trial-type procedures set forth in 5 U.S.C. §§ 556 and 557. Specifically, section § 554(a)(1) excludes agency adjudication from these requirements when the subject matter of that adjudication is subject to a subsequent trial de novo, see 5 U.S.C. § 554(a)(1) (1994), 6 as in the case of Board adjudication, see 35 U.S.C. § 145 (1994) (“Civil action to obtain a patent”); id. § 146 (1994) (“Civil action in case of interference”). Accordingly, these interrelated statutes dictate that Board factfinding does not fall within the first catégory of § 706(2)(E).
We next consider whether our review of Board factfindings made in the course of its adjudicatory proceedings falls within the second category of § 706(2)(E), i.e., “or otherwise reviewed on the record of an agency hearing provided by statute.” 5 U.S.C. § 706(2)(E). Section 144 explicitly provides that we must review Board decisions “on the record” developed by the PTO, see 35 U.S.C. § 144.(1994) (“The United States Court of Appeals for the Federal Circuit shall review the decision from, which an appeal is taken on the record before the Patent and Trademark Office.”) (emphasis added), and it is for this reason that the Commissioner is required to convey the record to us in the event of an appeal, see id. § 143. Moreover, the “hearing” upon which the “record” is based is “provided by” 35 U.S.C. § 7(b), which states that:
The Board of Patent Appeals and Interferences shall, on written appeal of an applicant, review adverse decisions of examiners upon applications for patents and shall determine priority and patent-ability of invention in interferences declared under section 135(a) of this title. Each appeal and interference shall be heard by at least three members of the Board of Patent Appeals and Interferences, who shall be designated by the Commissioner. Only the Board of Patent Appeals and Interferences has the authority to grant rehearings.
35 U.S.C. § 7(b) (1994) (emphasis added). Thus, the plain language of §§ 7 and 144 of Title 35 indicates that we review Board decisions “on the record of an agency hearing provided by statute,” and that we should therefore review Board factfinding for “substantial evidence.”
See also
Thomas Leonard Stoll,
A Clearly Erroneous Standard of Review,
79 J. Pat. &
In appeals from the Board, we have before us a comprehensive record that contains the arguments and evidence presented by the parties, including all of the relevant information upon which the Board relied in rendering its decision.
See
85 U.S.C. § 143 (1994) (“[T]he Commissioner shall transmit to the United States Court of Appeals for the Federal Circuit a certified list of the documents comprising the record in the Patent and Trademark Office.”). That record, when before us, is closed, in that the Board’s decision must be justified within the four corners of that record. The record before us on appeal thus dictates the parameters of our review. We cannot look elsewhere to find justification for the Board’s decision. Furthermore, the record reflects the results of a proceeding in the PTO during which the applicant has been afforded an opportunity to bring forth the facts thought necessary to support his or her position. Accompanying the record is a detailed opinion from the Board. We have expressly held that the Board’s opinion must explicate its factual conclusions, enabling us to verify readily whether those conclusions are indeed supported by “substantial evidence” contained within the record.
See Gechter v. Davidson,
In addition to the statutory language discussed above, Supreme Court precedent and the law of our sister circuits also indicate that “substantial evidence” review is appropriate in view of the plenary nature of the record before us. The Supreme Court has stated generally that the “basic requirement” for “substantial evidence” review is that the agency hearing produce a record that serves as the foundation for the agency’s action.
See Overton Park,
Chrysler Corp. v. DOT,
The reasoning of the D.C. Circuit also supports our conclusion that “substantial evidence” review applies when the reviewing court must confine its review of agency factfinding to the record produced by the agency proceeding. In
Data Processing,
the D.C. Circuit considered the APA standards of review, and concluded that “[t]he distinctive function of paragraph (E)— what it achieves that paragraph (A) does not — -is to require substantial evidence to be found
vrithin the record of closed-record proceedings
to which it exclusively applies.”
Data Processing,
Because our review of the Board’s decision is confined to the factual record compiled by the Board, we accordingly conclude that the “substantial evidence” standard is appropriate for our review of Board factfindings. See 5 U.S.C. § 706(2)(E).
2. Other Applicable Standards of Review
Whether the Board possessed jurisdiction to continue the interference in order to decide the patentability of Gartside’s claims is a question of law that we review de novo.
See James M. Ellett Constr. Co. v. United States,
Whether a claimed invention is unpatentable as obvious under § 103 is a question of law based on underlying findings of fact.
See In re Dembiczak,
B. Jurisdiction
Gartside argues that the Board erred in retaining jurisdiction over the interference proceeding, as no interfering subject matter remained after Forgac’s withdrawal from the interference. Gartside thus contends that the interference should have been dissolved and that the patentability issues should have been decided by the examiner ex parte. Gartside further asserts that the Board abused its discretion in addressing those issues, as the public interest relied on in Perkins v. Kwon :was not here implicated, and the denial of remand to the examiner deprived him of certain procedural safeguards, e.g., the right to amend, refile as a continuation application, and present evidence of unexpected results.
Citing
Guinn v. Kopf
Section 135(a) sets forth the Commissioner’s authority to declare interference proceedings and the Board’s jurisdiction to resolve issues relating to priority and pat-entability that arise during such proceedings. Section 135(a) provides in relevant part that:
(a) Whenever an application is made for a patent which, in the opinion of the Commissioner, would interfere with any pending application, or with any unexpired patent, an interference may be declared and the Commissioner shall give notice of’ such declaration to the applicants, or the applicant and paten-tee, as the case may be. The Board of Patent Appeals and Interferences shall determine questions of priority of the inventions and may determine questions of patentability.
35 U.S.C. § 135(a) (1994) (emphasis added). In
Perkins,
we held that under
In
Guinn
we extended
Perkins,
holding that even when a party attempts to terminate the interference by disclaiming all of its claims relating to the count, the Board should decide priority when priority issues have been fairly raised and fully developed at the Board.
See Guinn,
Guinn appealed and we affirmed, holding that the disclaimer of all the claims corresponding to a count did not divest the Board of jurisdiction over the interference. See id. at 1421-22, 40 USPQ2d at 1159. We reasoned that once an interference has been properly declared, § 135(a) directs that the Board “shall determine questions of priority,” and that under Perkins, the Board should resolve priority issues that have been fully developed before the Board. See id.
Based on
Perkins
and
Guinn,
we agree with the Commissioner that Forgac’s withdrawal did not divest the Board of jurisdiction over the interference, and that the Board did not abuse its discretion in deciding the patentability of Gartside’s claims. Even though
Guinn
involved a remaining issue of priority rather than patentability, we agree with the Commissioner that
Guinn
is sufficiently on point. In For-gac’s notice to withdraw his request for a final hearing, Forgac authorized the APJ to cancel claims 1, 2, and 13 from the ’058 patent,
see
Paper No. 63 at 2, the functional equivalent of Guinn disclaiming his claims corresponding to the count under § 253. Likewise, neither party here disputes that the interference was properly declared. While part of our reasoning in
Guinn
hinged on the fact that § 135(a) mandates that the Board
“shall
determine questions of priority,” in
Perkins
we interpreted the language
“may
determine issues of patentability” as nearly mandatory when those issues have been fairly raised and fully developed before the Board.
See Perkins,
First, the public interest as discussed in Perkins is clearly served by the Board’s resolution of the patentability issues surrounding Gartside’s claims. The Board had already addressed the patentability issues with respect to claims 34, 35, 37-40, and 42-44, and the validity of claims 41, 45, and 46 turned on two of the same references used to invalidate those other claims. By deciding the patentability of claims 41, 45, and 46, the Board avoided yet another round of duplicative arguments before the examiner and achieved a timely resolution to the benefit of the parties and the public in general. As we stated in Perkins:
The Board, by resolving both priority and patentability when these questions are fully presented, settles not only the rights between the parties but also rights of concern to the public. The public interest in the benefits of a patent system is best met by procedures that resolve administratively questions affecting patent validity that arise before the PTO. To do otherwise is contrary to the PTO’s mission to grant presumptively valid patents, 35 U.S.C. §-282, and thus disserves the public interest.
Perkins,
Moreover, we agree with the Commissioner that Gartside was not denied any procedural safeguards by the Board’s refusal to remand to the examiner. Gartside was afforded the opportunity to redefine the interfering subject matter by amending his claims, see 37 C.F.R. § 1.633(c)(2) (1999), and he was free to file a continuation application, see 37 C.F.R. § 1.633(d) (1999); see also 35 U.S.C. § 120 (1994). Moreover, 37 C.F.R. § 1.639 permits a party to introduce evidence in support of motions, oppositions, and replies, and 37 C.F.R. § 1.640(e)(3) also enables a party to introduce evidence in response to an order to show cause. Although Gartside alleges that he was prejudiced for want of other assorted procedural safeguards, these allegations are similarly without merit.
In sum, we conclude that the Board did not err in retaining jurisdiction over the interference to decide the patentability of Gartside’s- claims.
C. The Patentability of Claims 3k, 35, 37-W, k%-kk andk7
Gartside argues that the Board erred in holding claims 34, 35, -37-40, 42-44, and 47 unpatentable under § 103, because the references do not teach or suggest the claimed invention. Gartside principally contends that the ’645 and ’235 patents are directed to
thermal
cracking processes, and that there was no suggestion in the art to employ a quench step in
catalytic
cracking processes. Gartside further asserts that the ’235 patent teaches away from employing a quench in catalytic cracking. The Commissioner responds that the claims would have been obvious over Gartside’s ’645 and ’235 patents, as those references contain each and every element of the claimed processes. The Commissioner argues that one of ordinary
A claimed invention is unpatentable as obvious “if the differences between the subject matter sought to be patented and the prior art are such that the subject matter as a whole would have been obvious at the time the invention was made to a person having ordinary skill in the art to which said subject matter pertains.” 35 U.S.C. § 103(a) (1994);
see Dembiczak,
We agree with the Commissioner that substantial evidence supports the Board’s factfinding and that the Board correctly concluded that the claims were unpatentable under § 103. As an initial matter, we agree with the Commissioner that substantial evidence supports the Board’s finding that Gartside’s ’645 and ’235 patents contain all the limitations set forth in claim 47. See Gartside, Paper No. 72 at 12-13. The Board found that all the limitations of claim 47 are found in the ’645 patent, except that the ’645 patent accomplishes cracking by a thermal rather than a catalytic mechanism. See Gartside, Paper No. 72 at 13. This finding is clearly supported by the following disclosure in the ’645 patent:
[T]he reaction proceeds at 1500 F for a residence time of about 0.05 to 0.40 seconds, preferably form [sic] 0.20 to 0.30. The product gases are separated from the solids in separator 8 ... and the product gases pass overhead through a line 22 and are immediately quenched with typical quench oil that is delivered to line 22 through line 36. The quenched product is passed through a cyclone 24 where entrained solids are removed....
’645 patent, col. 2, 1. 62 to col. 3, 1. 2. The Board found the missing limitation in the ’235 patent, which teaches that the claimed apparatus may be used in catalytic cracking processes involving quenching and separation steps as in claim 47. See Gartside, Paper No. 72 at 13 (citing ’235 patent, col. 4, 11. 42-47). Based on the foregoing, we conclude that the Board’s finding that all of the limitations of the claimed invention are found in Gart-side’s ’645 and ’235 patents is supported by substantial evidence.
• Gartside further contends that the Board erred in finding that sufficient motivation existed to combine the ’645 and ’235 patents to arrive at the invention in claim 47.
See id.
at 14. We disagree. As the Board indicates, the ’645 patent addresses the problem of hot particulate solids con
Gartside also asserts that the ’235 patent teaches away from applying the process disclosed in the ’645 patent to catalytic reactions. This contention is without merit. Gartside cites the following language from the ’235 patent:
In some reaction systems, specifically catalytic reactions at low or moderate temperatures, quench of the product gas is undesirable from a process standpoint. In other cases, the quench is ineffective in terminating the reaction. Thus, these reaction systems require immediate separation of the phases to remove catalyst from the gas -phases. Once the catalyst is removed, the mechanism for reaction is no longer present.
’235 patent, col. 1,11. 49-56. As the Board found, however, this portion of the specification addresses the undesirability of a quench used in catalytic reactions at low to moderate temperatures, not the high temperature reactions at issue in the ’645 patent, and teaches that in other undefined systems, quenching is ineffective. See Gartside, Paper No. '72 at 16. That is not a clear “teaching away” from use of a quench in all catalytic systems. Accordingly, substantial evidence supports the Board’s finding that this disclosure does not teach away from the claimed invention. See id. at 16-17.
Having concluded that the Board’s factual findings relating to its § 103 analysis are supported by substantial evidence, we further conclude that the Board did not err as a matter of law that claims 34, 35, 37-40, 42-44 and 47 are invalid as obvious. We have carefully considered Gartside’s additional arguments but find them unpersuasive.
D. Patentability of Claims 41, 45 and 4.6
Gartside argues that the Board erred in its sua sponte holding that claims 41, 45, and 46 are unpatentable under § 103 based on the ’645 patent in view of the Castagnos patent, or on those two patents in view of the ’235 patent. Gart-side contends that the Board erred in combining those patents, because there was no teaching or suggestion to use a 0.1 to 0.6 second kinetic residence time in a catalytic cracking process. Gartside further argues that his showing of unexpected results, as described in the second Johnson Declaration, constitutes a secondary consideration weighing in favor of nonobviousness, and that the Board erred in discounting those results. The Commissioner responds that the Board correctly held that the claims were unpatentable, arguing that the motivation to combine the references arose from the references themselves, as well as the nature of the problem to be solved, viz., maximizing reaction conditions in cracking processes by minimizing residence time. The Commissioner further contends that Gartside’s evidence of unexpected results is not probative of nonobvi-ousness, as the examples disclosed in the second Johnson Declaration do not correspond to any process within the scope of the claims at issue.
We agree with the Commissioner that substantial evidence supports the Board’s
Gartside also argues that the Board erred in finding that the second Johnson declaration, which allegedly contains evidence of unexpected results, 11 did not weigh in favor of the patentability of claims 41, 45, and 46. We disagree. The Board essentially adopted the APJ’s order to show cause as it pertained to the second Johnson declaration, finding that the process recited in the declaration failed to reproduce the separation and quenching steps of the claimed process. See Gart-side, Paper No. 72 at 35-36. This finding is supported by the declarant’s own statements, which reveal that the quench in the declaration experiment preceded the separation of product from catalyst. See Paper No. 48 at 3, ¶ 9. Accordingly, we agree with the Commissioner that substantial evidence supports the Board’s finding that the examples in the declaration do not correspond to any process within the scope of the claims, and the declaration is therefore not probative of nonobviousness. See Gartside, Paper No. 72 at 35-36.
In summary, we conclude that all of the Board’s disputed factfindings are supported by substantial evidence and that the Board did not err as a matter of law in holding that claims 41, 45, and 46 are invalid under § 103. 12
CONCLUSION
The Board did not err in maintaining jurisdiction over the interference proceeding despite the withdrawal of the junior party, and further did not err in deciding the patentability of Gartside’s claims that corresponded to the count. To the extent that the Board’s decision to resolve the patentability issues surrounding claims 41, 45, and 46 under § 135(a) was discretion
Accordingly, we
AFFIRM.
Notes
. 37 C.F.R. § 1.601(i) defines an "interference” in relevant part as follows:
An interference is a proceeding instituted in the Patent and Trademark Office before the Board to determine any question of patent-ability and priority of invention between two or more parties claiming the same patentable invention.... An interference may be declared between one or more pending applications and one or more unexpired patents naming different inventors when, in the opinion of an examiner, any application and any unexpired patent contain claims for the same patentable invention.
37 C.F.R. § 1.601 (i) (1999).
. 37 C.F.R. § 1.601(f) defines “count” as follows:
A count defines the interfering subject matter between two or more applications or between one or more applications and one or more patents. At the time the interference is initially declared, a count should be broad enough to encompass all of the claims that are patentable over the prior art and designated to correspond to the count.
37 C.F.R. § 1.601(f) (1999).
. Although not appealed here, the APJ also concluded that claims 1, 2, and 13 of For-gac's '058 patent were all unpatentable under § 103 based on the '645 patent and U.S. Patent 4,764,268, or over those two references in combination with the '235 patent. See id. at 21.
. The APJ noted that in his response, Gartside had not contested the APJ's sua sponte holding that claim 36 was unpatentable (Paper No. 47), see Paper No. 50 at 14, and the APJ thus rendered judgment accordingly. Likewise, the Board did not address this claim in its final decision, see Paper No. 72 at 10 n. 10, and Gartside does not argue the patentability of claim 36 on appeal.
. 37 C.F.R. § 1.655(a) sets forth the Board’s standard of review with respect to interlocutory orders entered by the APJ:
The Board may also consider whether entry of any interlocutory order was an abuse of discretion. All interlocutory orders shall be presumed to have been correct, and the burden of showing an abuse of discretion shall be on the party attacking the order.
37 C.F.R. § 1.655(a) (1999).
. Section 554(a)(1) provides that:
(a) This section applies, according to the provisions thereof, in every case of adjudication by statute to be determined on the record after opportunity for an agency hearing, except to the extent that there is involved—
(1) a'matter subject to a subsequent trial of the law and the facts de novo in a court.....
5 U.S.C. § 554(a)(1) (1994) (emphasis added).
. We recognize that a distinction has been drawn between formal and informal proceedings to determine which APA standard to apply, with the most deferential standard thought to be applicable in reviewing agency decisions made in informal settings. See 6 Administrative Law § 51.01[2], at 51-48. This distinction alone, however, cannot dis-positively answer the standard of review question when an agency hearing is compelled by a law that also requires a closed record to be made of the proceeding, and Congress has limited the scope of appellate review to the record made of the agency's deliberations.
. Section 1.641(a) provides that:
During the pendency of the interference, if the administrative patent judge becomes aware of a reason why a claim designated to correspond to a count may not be patentable, the administrative patent judge may enter an order notifying the parties of the reason and set a time within which each party may present its views, including any argument and any supporting evidence, and, in the case of the party whose claim may be unpatentable, any appropriate preliminary motions under §§ 1.633(c), (d) and (h).
37 C.F.R. § 1.641(a) (1999) (emphasis added).
. Prior to Forgac’s withdrawal, Forgac raised the issue of the patentability of all of Gart-side's claims in a preliminary motion to the APJ, Gartside opposed that motion, and For-gac in turn replied to that opposition.
See
Papers No. 20, 29, and 36. Following the APJ's granting-in-part of Gartside's motion, Gartside further developed this issue in his request for reconsideration.
See
Papers No. 41 and 43. Moreover, the APJ independently raised and developed the issue of the patenta-bility of claims 41, 45, and 46 in his
sua
. The Board did not perform a separate "motivation to combine” analysis, but incorporated the reasoning from its conclusion that claims 41, 45, and 46 were not patentably distinct from Gartside's other claims that corresponded to the count. See Gartside, Paper No. 72 at 25-29.
. According to the second Johnson declaration, these unexpected results include a 5% increase in gasoline yield and considerably less undesired dry gas and liquefied petroleum. See Paper No. 48 at 8, ¶¶ 19-21.
.We will only briefly note Gartside's contention that the Board erred in even addressing the patentability of these claims. We agree with the Commissioner that the Board properly upheld the APJ's denial of Gartside’s motion to redesignate these claims as not corresponding to the count. See Gartside, Paper No. 72 at 28. In short, we agree with the Board that these claims are not patentably distinct from the other claims corresponding to the count for the same reasons that these claims are unpatentable under § 103.
