From our friend Philippa Malas comes another guest post, this time on a subject that goes right to the core of intellectual property -- the citation of copyright-protected materials on patent proceedings. As often happens, most of the dynamic of the dispute which has triggered the current debate comes from the United States, but readers are invited to filter the issue into their own jurisdictions and consider the likely outcome there. Anyway, as Philippa explains:
The trigger for debate
The United States Patent and Trademark Office (USPTO) filed a motion in June 2012 to intervene in a case which argues that the reproduction of scientific journal articles as prior art in US patent applications infringes copyright under Copyright Act 17 U.S.C. §501. Will the US courts finally be able to reconsider and clarify the scope of “fair use” post-American Geophysical Union v Texaco Inc. 60 F.3d 913 (2d Cir.1994)? Maybe.
The background
In February 2012, publishers John Wiley & Sons, Ltd and the American Institute of Physics filed claims against two US law firms: Schwegman, Lundberg & Woessner, P.A.; and McDonnell Boehnen Hulbert & Berghoff LLP. The firms submitted copies of articles published by Wiley and AIP as prior art in patent applications. Wiley and AIP contend that the copies filed with the applications are unauthorised and that even copies made for research but not ultimately used in filings (distributed internally or to clients/opposition) also infringe as the copying is not covered by any licence. Wiley and AIP argue that the firms, by not paying licence fees specifically for these uses, are making a profit; they are using the ‘free’ copies as part of a service for which they receive compensation from the client. US patent applications, however, require the disclosure of certain information (37 C.F.R. §1.56), including prior art which helps establish whether an invention already exists. It is not surprising that the USPTO has taken a particular interest in these cases stating “the United States and the entire patent system instituted by Congress are at risk of serious harm if the USPTO is denied intervention”. It argues that a finding in favour of the Plaintiffs would have a “significant adverse effect not just on patent prosecution, but also patent infringement litigation”.
Fair use
The relevant defence to these claims is found under the US Copyright Act 17 U.S.C. §107: the “fair use” provision. This is an exception to the exclusive copying and distribution right imposed by 17 U.S.C. §§102 and 106. Fair use is not defined under the Copyright Act and therefore each case is determined to a great degree on its own facts (Campbell v Acuff Rose Music, 510 U.S. 569, 578 (1994). So far, so good but the regime also provides a framework to assist the court in determining whether the exception applies:
(1) the purpose and character of the use (including whether it is commercial/not for profit);
(2) the nature of the work to which the right is attached;
(3) the amount of the portion used in relation to the work as a whole and
(4) how the use effects the potential market for or value of the work.
The framework is cumulative as the weight of one factor can tip the balance in favour of fair use even if the argument under another limb is weak. These four limbs were considered by the U.S. Court of Appeals for the Second Circuit in American Geophysical Union v Texaco, 37 F.3d 882 (2nd Cir. 1994); a case which caused some consternation as it settled out of court before the fair use principles could be addressed and clarified by the Supreme Court. The appellate court held that Texaco could not rely on fair use to exculpate its scientists who had photocopied articles from scientific journals without paying royalties. This was regardless of Texaco having subscribed to the journals. In relation to the first limb, the court ruled that consideration of Texaco’s profit motive was relevant but failed to examine the difference between direct and indirect commercial use and instead drew an ambiguous distinction between institutional and independent research. They also held that the market was affected under limb four, relying on Texaco’s ability to make royalty payments via the Copyright Clearance Center (CCC). The Supreme Court has not been given the opportunity to reassess the framework since.
The USPTO’s view
The USPTO made clear how it would apply the current principles to this case before filing its intervention. In January 2012, it released a memorandum which opined on whether fair use was available for, what it termed, non-patent literature (“NPL”) which was copied and submitted during the course of patent applications or prosecutions. The memo applied relevant case law to each limb of the framework and unremarkably, concluded that both the USPTO and the applicant’s copying and supply of NPL fell within the exception. To reach this conclusion it argued that:
(1) NPL is submitted as evidence for a non-commercial governmental purpose. The use is arguably ‘transformative’ (a copyright work is used in a different context to serve a different function from the original) which is more likely to be considered fair use than non-transformative;
(2) NPL is factual, published work which receives a lesser degree of protection than expressive and/or unpublished work;
(3) the amount of the work used varies from a part to the entirety of a work but when considered with other limbs of the framework, a finding of “fair use” would be likely;
(4) as NPL is typically published several years prior to use in patent applications, its commercial value is limited. NPL is only used in the patent examination process, which the USPTO does not allow to become freely available on the internet (its is not published under Public PAIR) and means there is no market that is impaired by the use of the NPL.
The Intellectual Property Owners Association (“IPO”) has also taken an interest in the debate and on 11 June 2012 passed a resolution agreeing with the USPTO’s position: copies of NPL used “in the course of preparing and prosecuting patent applications and maintaining comprehensive files relating to prosecution is fair use under 17 U.S.C. §107”. Its position appears to be broader than the USPTO’s which carefully stated that it did not take a position on Wiley and AIP’s other submission regarding the use of copyright material more generally in the course of the litigation process.
How will the court addresses this wider contention, especially while concurrently implementing the fair use framework for NPL? One outcome could mean that law firms will have to keep a more watchful eye on their general use of copyright material, ensuring that they are aware of the extent of their existing intellectual property licences and subscriptions.
Not fair?
As skillful as the USPTO’s application of the principles might be, the four-limb framework offers little scope for certainty when trying to assess whether fair use applies. The second and third limbs are not overly complex in basis and as the USPTO’s memorandum shows, can be widely construed in support of the other limbs, which reiterates the importance of case-by-case analysis in this area. It also highlights a difference between “fair use” in the US, which is applicable to any work, and its cousin “fair dealing” in the UK which is subject to three limitations: fair dealing for the purposes of non-commercial research or private study; fair dealing for the purposes of criticism or review; and finally fair dealing for the purposes of news reporting. First, the UK court is required to find that a substantial part of the work has been copied after which it addresses whether the copying can be justified under one of three fair dealing exceptions. There is no general discretion for the court to find a use ‘fair’ and it could be argued that this leaves the UK court with less room to manoeuvre especially with the ever increasing pace of technological development. For the time being it does at least give rights holders and prospective infringers a greater capacity to predict what can and cannot be copied. In contrast, the US test leaves us to grapple with fluid principles which could eventually be cast in favour of one side of the rights holder vs public interest balance, depending on the stakeholders involved.
The US framework also provides a conceptual minefield when construing the first and fourth limbs. As the Texaco case demonstrates, this is especially so in relation to the shifting boundaries of publicly and privately funded research. Analysing the effect on the market is not straight-forward and the conclusion in Texaco that the CCC offers a mechanism by which such an effect can be judged is not necessarily concrete. The USPTO’s argument above supposes that a rights holder’s interests are overridden if a government body requires a copy of copyright material. Such reasoning cannot be right. It would undermine the intrinsic nature of a copyright regime and while the USPTO acknowledges that there is no rule, per se, that provides a blanket fair use exemption for government institutions, it references a number of cases which it argues lean towards such an exemption. Once again, this highlights the unpredictability of the fair use framework as the cases cited by the USPTO are broad in their factual basis and cannot automatically support such a general deduction. Guidance from the courts on these two limbs would be invaluable.
No stable basis
The reason for the breadth and difficulty of the US fair use test occurs because the nature of copyright does not provide a stable basis on which a fair use test can be formulated. The well recognized weighing of the rights holder’s interests against the public benefit remains at the fore. If this cannot be easily construed, how can a fair use doctrine be similarly defined? Perhaps this accounts for the difficulty of the current US regime and is the reason for much emphasis placed on the importance of each case turning on its own facts. In the UK, the exceptions for fair dealing are much narrower in scope which means flexibility is sacrificed in favour of some notion of certainty. The UK government continues to consider extending the exceptions but even this will not put the UK provisions in line with the US. Meanwhile, in a decision which is interesting to consider in relation to the US case, the UK government has recently announced its intention to make all publicly funded scientific research available under Open Access by 2014. The debate about open access to scientific knowledge and research may well prove an additional consideration in the Wiley and AIP cases which already require the court to perform a delicate balancing act of numerous conflicting interests.
Fair use analysis might be more predictive than usually thought. These might be of interest:
ReplyDelete"An Empirical Study of U.S. Copyright Fair Use Opinions, 1978-2005, Barton Beebe (2008) — Comprehensive look at how courts have actually applied fair use in decisions, including “which factors and subfactors actually drive the outcome of the fair use test in practice, how the fair use factors interact, how courts inflect certain individual factors, and the extent to which judges stampede the factor outcomes to conform to the overall test outcome.”
"Unbundling Fair Use, Pamela Samuelson (2009) — By grouping fair uses into different “policy-relevant clusters”, Samuelson shows that application of the doctrine is far more predictable than typically described.
"Predicting Fair Use, Matthew Sag (2011) — More empirical evidence that shows fair use law is more rational and consistent than commonly assumed.
"Making Sense of Fair Use, Neil Natanel (2011) — Combining the previous three empirical studies of fair use, Natanel adds his own research to this area to provide a comprehensive look at fair use case law."
blurbs taken from: http://www.copyhype.com/references/
Only Beebe's study is freely available, though copyhype does have links to abstracts for the other articles.
As far as UK copyright law is concerned, it is worth noting that in addition to ss 29-31 covering the fair dealing exemptions, there is also s 60 regarding the copying of abstracts of scientific and technical papers etc. While such abstracts would probably not contain sufficient detail to act as NPL in support of a UK patent application, the existence of the section does signify Parliament's intention back in 1988 to effectively put some scientific reporting in the public domain.
ReplyDeleteAlso where the posting suggests that the USPTO is invoking lese-majesty by arguing that the US government has a 'right' to access copyright data without a licence, this is not so far from what s 45 of CDPA does in respect of judicial proceedings, as we saw when HHJ Birss helpfully published the two photographs within his judgment in the Red Bus case, thus allowing commentators to further publish the said images with impunity, which of course would not have been possible under s 30(2) - reporting current events - because that sub-section does not apply to photographs.