Hyatt v. Matal
Date Filed2022-12-23
DocketCivil Action No. 2009-1872
JudgeJudge Royce C. Lamberth
Cited0 times
StatusPublished
Full Opinion (html_with_citations)
UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF COLUMBIA
________________________________________
)
GILBERT P. HYATT, )
)
Plaintiff, )
)
v. )
)
KATHERINE K. VIDAL, ) Civil Action No. 05-2310
) 09-1864
Under Secretary of Commerce ) 09-1869
for Intellectual Property and ) 09-1872
Director of the United States )
Patent and Trademark Office, )
)
Defendant. )
________________________________________ )
MEMORANDUM OPINION
This opinion concerns the complex principles underlying equitable defensesâwhen used
by and against the governmentâas well as the strange circumstance of applying the Federal Rules
of Civil Procedure to a trial that began in 2017 but will continue in 2023. The cases at issue arise
from four of the many lawsuits brought by inventor Gilbert P. Hyatt against the Under Secretary
of Commerce for Intellectual Property and Director of the United States Patent and Trademark
Office (the official and the office collectively the âPTOâ). These actions seek the issuance of
patents connected to four applications that were denied by the PTO.
In 2017, this Court held a bench trial where the PTO presented evidence on the affirmative
defense of âprosecution laches.â That equitable doctrine allows the PTO to resist issuing a patent
when the applicant has abused the patent examination system. The PTO presented its case-in-
chief first, after which this Court concluded that it had not met its burden of proof and entered
judgment for Hyatt without hearing additional evidence on prosecution laches. Hyatt v. Iancu,
1
332 F. Supp. 3d 113(D.D.C. 2018) (âHyatt Iâ). The Federal Circuit subsequently vacated in part and held that the PTO had met its burden. Hyatt v. Hirshfeld,998 F.3d 1347
(Fed. Cir. 2021)
(âHyatt IIâ). It then remanded the case for this Court to conduct further proceedings.
Having stopped the bench trial before Hyatt had a chance to present his case, this Court
must provide Hyatt that opportunity. The Federal Circuit has made clear that he now bears the
burden of proof. Hyatt II, 998 F.3d at 1370â72. And, with an eye toward Hyattâs likely proof, the
PTO now moves in limine to exclude evidence âregarding Defendantâs unclean hands, laches, and
administrative delayâ as well as the testimony of four of Hyattâs proposed witnesses. Def.âs Mot.,
ECF No. 296. 1
Upon consideration of the briefing, the applicable law, and the record, this Court will
GRANT IN PART AND DENY IN PART the PTOâs motion. The Court will bar Hyatt from
introducing evidence to prove that the unclean hands doctrine, which is unavailable to him, should
apply to the PTO. However, the Court will allow Hyatt to introduce evidence about PTO conduct
for other relevant purposes and allow him to call his four proposed witnesses.
I. BACKGROUND
This Court, and the Federal Circuit, have already voluminously explained the background
of this case. See Hyatt I, 332 F. Supp. 3d at 117â20; Hyatt II, 998 F.3d at 1351â60. Therefore,
the Court will only briefly review the most important parts of the factual and procedural history in
order to set the stage for resolution of the PTOâs motion in limine.
A. The GATT Bubble
âPrior to 1995, a patentâs term was measured as 17 years from the date of issuance.â Hyatt
II, 998 F.3d at 1351. That all changed in 1994 when the United States signed the Agreement on
1
Unless otherwise noted, all ECF entries are for 1:05-cv-02310-RCL.
2
Trade-Related Aspects of Intellectual Property (âTRIPS Agreementâ) at the Uruguay Round of
the General Agreement on Tariff and Trade (âGATTâ). Id. at 1352. Under the new regime, a
patentâs term would be measured as 20 years from the date of filing. Id. The impetus for the
change? âSubmarine patents.â Id. at 1351â52. That is, patents resulting from âcertain patentees
[] delay[ing] prosecuting their patents.â Id. They are termed submarine patents because, while an
application is pending, the underlying patent is metaphorically âsubmerged.â See id. When a
patent then issues, it has, to continue the metaphor, suddenly surfaced and surprised the relevant
product market. See id. âBy doing so, patentees could obtain a patent at a financially desirable
time when the accused product market had become suitably developed.â Id. This practice created
significant administrative burdens for the PTO and threatened to harm industry expectations. Id.
at 1352.
When Congress implemented TRIPS in 1994, it set June 8, 1995, as the date for the
switchover of the patent term regime. Id. This impending shift led to a massive increase in patent
applications in the days leading up to the switch from date of filing to date of issuance. Id. â[I]n
the nine days leading to June 8, 1995, the PTO reported that it received and processed over 50,000
applicationsâone-quarter of the entire yearâs projected filings.â Id. at 1353. This avalanche of
applications is known as the âGATT Bubble.â Id.
B. Gilbert Hyattâs Patent Applications
The plaintiff here âis the named inventor on 399 patent applications, 381 of which he filed
during the GATT Bubble.â Id. âHyattâs GATT Bubble applications, including the four at issue
here, are atypically long and complex,â involving hundreds of pages of text and dozens of pages
of figures, compared to the typical application of â20 to 30 pages.â Id. âOn October 24, 1995,
about five months after Hyatt filed his GATT Bubble applications, PTO group Director Nicholas
Godici [informally] met with Hyatt . . . and Hyatt agreed[] to focus each applicationâs claims on
3
distinct subject matter.â Id. âBetween that meeting and 2003, Hyatt filed a series of amendments
in his applications that grew the number of claims to a total of approximately 115,000, including
approximately 45,000 independent claims.â Id.
From 2003 to 2012, examination of the applications was stayed due to Hyattâs challenges
to various PTO decisions and procedures. Id. at 1354 & n.3. In 2013, the PTO began examining
the applications again and âthe PTO created an art unit, comprised originally of 12 experienced
examiners, dedicated to examining Hyattâs applications.â Id. at 1354. The PTO made a variety of
choices to facilitate that examination process, including notifying Hyatt regarding certain
âRequirementsâ that would streamline prosecution of his applications. Id. at 1354â55.
The four cases at issue here, however, deal with only four of those applicationsâ
specifically, the â639 application, â211 application, â398 application, and â062 application. Id.
at 1353. Each of the four ââapplicationsâ claims were finally rejected and reviewed on appeal by
the Board of Patent Appeals and Interferences [] which affirmed rejections of certain claims in
each application.â Id. at 1355. No application was rejected during that process on the grounds of
prosecution laches. Id.
C. History of this Lawsuit
In November 2005, Hyatt filed an action in this Court seeking to obtain a patent for one of
those applications. Id. In September 2009, he filed three more lawsuits seeking patents for three
additional rejected applications. Id.
In 2016, the PTO moved to dismiss all the cases on the grounds of prosecution laches. Id.
at 1356. Prosecution laches âis an equitable affirmative defenseâ which âmay ârender a patent
unenforceable when it has issued only after an unreasonable and unexplained delay in prosecution
that constitutes an egregious misuse of the statutory patent system under a totality of the
circumstances.ââ Id. at 1359ââ 60 (quoting Cancer Rsch. Tech. Ltd. v. Barr Labâys, Inc., 625 F.3d
4 724, 728 (Fed. Cir. 2010)). Under the PTOâs theory, Hyatt âengaged in a âpattern of delay in prosecuting his nearly 400 patent applications from 1969 through the present day.ââId. at 1356
(citation omitted). After Hyatt responded to the governmentâs motion, this Court treated the motions to dismiss as motions for summary judgment, determined that there were genuine issues of material fact, and sat for a consolidated bench trial on whether prosecution laches barred patents in all four cases.Id.
Because prosecution laches is an affirmative defense, the parties agreed to have the PTO
present its case-in-chief first. Hyatt I, 332 F. Supp. 3d at 118. This order would allow the Court to determine whether the PTO had even established a prima facie case before requiring Hyatt to present his case. âDuring the five trial days beginning October 6, 2017, during which the PTO presented its case in chief, the PTO presented the testimony of three witnesses: Robert A. Clarke, Gregory Morse, and Stephen Kunin, its expert witness. The parties also introduced a number of exhibits.âId.
During the trial, this Court granted a motion by the PTO barring evidence of the
equitable doctrine of unclean hands with a promise to ârevisit [the ruling] when and if we get to
the defendantâs case.â ECF No. 296-2. That time never arrived.
At the end of PTOâs case-in-chief, Hyatt moved for the Court to enter judgment under
Federal Rule of Civil Procedure 52(c), which allows a court to enter judgment against a party fully
heard âon a claim or defense that, under the controlling law, can be maintained or defeated only
with a favorable finding on that issue.â Fed. R. Civ. P. 52(c); see Hyatt I, 332 F. Supp. 3d at 119.
This Court then concluded that âthe PTO failed to prove unreasonable and unexplained delay that
5
supports a finding of prosecution lachesâ and granted Hyattâs motion. Hyatt I, 332 F. Supp. 3d
at 119. 2
On appeal, the Federal Circuit vacated in part the Courtâs judgment on prosecution laches.
Hyatt II, 998 F.3d at 1372. It concluded that the Court erred in granting the Rule 52(c) motion
because the PTO carried its burden to demonstrate that there was an unreasonable and inexcusable
delay as well as that there was prejudice because of the delay. Id. at 1371â72. The Circuit then
âremand[ed] to the district court for the limited purpose of affording Hyatt the opportunity to
present evidence on the issue of prosecution laches, consistent with the standards set forth in [the
Circuitâs] opinion.â Id. at 1371. At the same time, the panel retained jurisdiction over additional
issues and is holding them in abeyance while this Court resolves the prosecution laches issue on
remand. Id.
The parties subsequently moved for a status conference and created a joint proposed
âpretrial schedule.â ECF No. 283. They filed amended pretrial statements. Def.âs Amended
Pretrial Statement, ECF No. 286; Pl.âs Amended Pretrial Statement, ECF No. 287. They then filed
responses to each otherâs pretrial statements. Def.âs Response Amended Pretrial Statement, ECF
No. 288; Pl.âs Response Amended Pretrial Statement, ECF No. 290.
On May 2, 2022, the PTO moved in limine to exclude evidence of unclean hands and newly
added witnesses. Def.âs Mot.; Def.âs Mem., ECF No. 296-1. Hyatt opposed. Pl.âs Oppân, ECF
No. 300. And the PTO replied. Def.âs Reply, ECF No. 301.
The motion in limine is now fully briefed and ready for this Courtâs resolution.
2
The Court also conducted additional bench trials on patentability that are not relevant to this opinion. Hyatt II, 998
F.3d at 1358.
6
II. LEGAL STANDARDS
A. The Mandate Rule
Under the mandate rule, âan inferior court has no power or authority to deviate from the
mandate issued by an appellate court.â Briggs v. Pa. R.R. Co., 334 U.S. 304, 306(1948). âOnce a question has been considered and decided by an appellate court, the issue may not be reconsidered at any subsequent stage of the litigation, save on appeal.â Banks v. United States,741 F.3d 1268, 1276
(Fed. Cir. 2014). Nevertheless, the rule applies only to âissues âactually decided, either explicitly or by necessary implication.ââId.
(quoting Toro Co. v. White Consol. Indus., Inc.,383 F.3d 1326, 1335
(Fed. Cir. 2004)). In sum, âthe issues actually decidedâthose within the scope of the judgment appealed from, minus those explicitly reserved or remanded by the courtâare foreclosed from further consideration.â Engel Indus., Inc. v. Lockformer Co.,166 F.3d 1379, 1383
(Fed. Cir. 1999).
The Federal Circuit instructs that a district court must implement âboth the letter and the
spirit of the [Circuitâs] mandate.â TecSec, Inc. v. Intâl Bus. Machines Corp., 731 F.3d 1336, 1342(Fed. Cir. 2013) (quoting Engel Indus.,166 F.3d at 1383
). This is not always an easy task. See, e.g., Laitram Corp. v. NEC Corp.,115 F.3d 947, 951
(Fed. Cir. 1997) (âWhile the district courtâs interpretation of our mandate was reasonable, particularly in light of our refusal to clarify the issue when asked, the district courtâs reasoning was in error.â). 3 But it is the duty of a district court to determine the depth and breadth of a higher courtâs mandate and to implement it faithfully. This 3 There are three exceptional circumstances that allow for a lower court to circumvent the mandate. Banks,741 F.3d at 1276
. Those are: â(1) subsequent evidence presented at trial was substantially different from the original evidence; (2) controlling authority has since made a contrary and applicable decision of the law; or (3) the decision was clearly erroneous and would work a manifest injustice.âId.
(internal quotation marks omitted). The parties raise none of
these circumstances at this juncture and the Court therefore does not reach them.
7
is particularly true where, as is true here, the appellate court has vacated the lower courtâs prior
determination.
B. Motions in Limine and Relevance
Motions in limine allow for a court to provide a pretrial determination of the partiesâ
evidence and a clarification of the legal principles governing admissibility. 21 Charles A. Wright
& Kenneth W. Graham, Jr., Federal Practice and Procedure § 5037.10 (2d ed. Westlaw October
2022 Update). â[I]n limine rulings are preliminary in character.â Walter Kidde Portable Equip.,
Inc. v. Universal Sec. Instruments, Inc., 479 F.3d 1330, 1338 (Fed. Cir. 2007). The benefit of a
motion in limine is that it allows a court, and the parties, to narrow the expected issues at trial and
therefore to provide for a more efficient and seamless process of adjudication.
âAs provided in [Federal] Rules [of Evidence] 401â403, admissible evidence must be
relevant in that it must tend to make a consequential fact more or less probable.â Magnivision,
Inc. v. Bonneau Co., 115 F.3d 956, 961(Fed. Cir. 1997). âIrrelevant evidence is not admissible.â Fed. R. Evid. 402. Even probative evidence may be excluded âif its probative value is substantially outweighed by a danger of one or more of the following: unfair prejudice, confusing the issues, misleading the jury, undue delay, wasting time, or needlessly presenting cumulative evidence.â Fed. R. Evid. 403. And while it is important for a court to police the bounds of relevant evidence, âa motion in limine is not the appropriate vehicle for weighing the sufficiency of the evidence.â Meyer Intell. Properties Ltd. v. Bodum, Inc.,690 F.3d 1354, 1378
(Fed. Cir. 2012); accord Graves v. D.C.,850 F. Supp. 2d 6
, 10â11 (D.D.C. 2011).
C. Prosecution Laches
Under prosecution laches, a patent may be rendered unenforceable if the proponent
demonstrates â(a) that the patenteeâs delay in prosecution was unreasonable and inexcusable under
the totality of circumstances, and (b) that the accused infringer suffered prejudice attributable to
8
the delay.â Hyatt II, 998 F.3d at 1360, 1362. The purpose behind this equitable doctrine is that
an applicant may not âdeliberately and without excuse postpone[] beyond the date of the actual
invention, the beginning of the term of his monopoly, and thus put[] off the free public enjoyment
of the useful invention.â Id. at 1360 (quoting Woodbridge v. United States, 263 U.S. 50, 56(1923)). Unreasonable or inexcusable delay should be of the type that demonstrates an âegregious case[] of misuse of the statutory patent system.â Symbol Techs., Inc. v. Lemelson Med., Educ. & Rsch. Found.,422 F.3d 1378
, 1385 (Fed. Cir.), amended on rehâg in part sub nom.429 F.3d 1051
(Fed. Cir. 2005). For example, conduct âinvolv[ing] repetitive refilings that demonstrate
unjustifiable prosecution delayâ may meet the standard. Hyatt II, 998 F.3d at 1362. Prejudice
then requires the proponent to establish âevidence of intervening rights.â Id.
III. DISCUSSION
The PTO moves to exclude (1) evidence of âunclean hands, laches, and administrative
delayâ in its conduct toward Hyatt and (2) testimony from four witnesses that the PTO argues is
procedurally unavailable to Hyatt. Def.âs Mot. For the first, the PTO wishes to exclude âalleged
âinequitable actions and unclean hands.ââ Def.âs Mem. 1â2. It argues that the evidence is
irrelevant because the equitable doctrine of unclean hands is unavailable to Hyatt and such
evidence does not bear on the remaining prosecution laches issues on remand. Second, the PTO
wishes to exclude four witnesses that Hyatt seeks to add to the trial, but that were not previously
on Hyattâs witness list at the time of the original bench trial on prosecution laches. Def.âs Mem.
12â38.
As an initial matter, Hyatt cannot and will not be given short shrift simply because he won
on his Rule 52(c) motion at this Court, but then subsequently lost on appeal. See Intâl Union,
United Auto., Aerospace & Agr. Implement Workers of Am., UAW v. Mack Trucks, Inc., 917 F.2d
107, 110â111 (3d Cir. 1990). The proceedings here are meant to be conducted in a manner that
9
mimics âresumption of trial,â Hamlet v. United States, 14 F.3d 613(Fed. Cir. 1993) (per curiam) (unpublished), in which âthe [Rule 52(c)] verdict had been denied by the district court,â Mack Trucks,917 F.2d at 110
. Here, the PTO has presented its case-in-chief and met its burden. Now,
Hyatt will have the opportunity to present the case-in-chief that this Court previously held to be
unnecessary. Such a result is proper under âprinciples of fairness,â Hyatt II, 998 F.3d at 1372,
and the Circuitâs instruction that further proceedings be conducted âfor the limited purpose of
affording Hyatt the opportunity to present evidence on the issue of prosecution laches, consistent
with the standards set forth in th[e Circuitâs] opinion.â Id. at 1371.
For purposes of evaluating admissibility, the Court will act as if it had denied the Rule
52(c) motion and articulated the proper legal standard, as clarified by the Federal Circuit.
Irrelevant evidence will then be excluded from Hyattâs case-in-chief, as it would have been if this
Court had explained the appropriate state of the law upon denying the Rule 52(c) motion.
Before moving to the Federal Circuitâs opinion, this Court must start by considering
whether the unclean hands doctrine is available to Hyatt. After concluding that it is not, the Court
will then examine the relevant issues on remand for the two elements of prosecution laches and
consider whether the kind of evidence that the PTO wishes to exclude is relevant for those issues.
Lastly, the Court will resolve the remaining procedural issues regarding Hyattâs proposed
witnesses.
A. Unclean Hands is Unavailable to Hyatt Because the PTO is Pursuing a
Congressional Mandate in the Public Interest
âThe unclean hands doctrine derives from the equitable maxim that âhe who comes into
equity must come with clean hands.â The doctrine âcloses the doors of a court of equity to one
tainted with inequitableness or bad faith relative to the matter in which he seeks relief.ââ United
States v. Philip Morris Inc., 300 F. Supp. 2d 61, 74â75 (D.D.C. 2004) (internal citation removed)
10
(quoting Precision Instrument Mfg. Co. v. Auto. Maint. Mach. Co., 324 U.S. 806, 814(1945)). âIt is a self-imposed ordinance . . . rooted in the historical concept of court of equity as a vehicle for affirmatively enforcing the requirements of conscience and good faith.â Precision Instrument Mfg. Co.,324 U.S. at 814
. Therefore, even when the elements of prosecution laches have been met, the
doctrine of unclean hands might offer a party who has failed to rebut a prosecution laches defense
one last chance to prevent application of laches.
Hyatt seeks to use the unclean hands doctrine against the PTO and to admit evidence
demonstrating inequitable government conduct. Pl.âs Oppân 8â15. The PTO has moved to exclude
evidence of unclean hands because the doctrine cannot be asserted against the PTO in this context.
Def.âs Mem. 5â12. This Court holds that the unclean hands doctrine is unavailable because the
PTO is before this Court enforcing a congressional mandate in the public interest.
As a general matter, âwhen the government calls upon equity to enforce laws on behalf of
its citizens, a defendant may not rely on equitable defenses in the same manner as it could against
an ordinary litigant.â United States v. Bolton, 514 F. Supp. 3d 158, 168 (D.D.C. 2021). âAlthough the Supreme Court has left open the question of whether there exists a âflat rule that [unclean hands] may not in any circumstances run against the Government,â it has nonetheless recognized that âthe Government may not be estopped on the same terms as any other litigant.ââ Bartko v. Sec. & Exch. Commân,845 F.3d 1217, 1227
(D.C. Cir. 2017) (alteration in the original) (quoting Heckler v. Cmty. Health Servs.,467 U.S. 51, 60
(1984)). The reason is simple. To allow a private party to assert equitable doctrines like unclean hands against the government when it is enforcing the interests of the âcitizenry as a wholeâ would be to punish the broader public and undermine enforcement of law âbecause [of] the conduct of [the governmentâs] agents.â See Heckler,467 U.S. at 60
. This principle is at its apex when the government is âattempting to enforce a
11
congressional mandate in the public interest.â SEC v. Gulf & Western Ind., Inc., 502 F. Supp. 343,
348 (D.D.C. 1980).
This does not mean, however, that equitable defenses may never apply against the
government when it is seeking to enforce the public interest or a congressional mandate. That
question has been left open. See Bartko, 845 F.3d at 1227. At the very least, however, the non- governmental party would have to establish government misconduct rising to such an egregious level as to overwhelm âthe public interest in ensuring that the Government can enforce the law free from estoppelâ with prejudice rising to the degree âof a constitutional violation.â Seeid.
(internal quotation marks and citations omitted). 4 Applying these principles here, Hyatt may not
rely on the unclean hands doctrine. 5
To start, the PTO is sufficiently acting in an enforcement role here to be protected from
application of unclean hands. It is true that the PTO is before this Court as a defendant, but it is a
defendant in a special kind of civil actionâone that seeks to obtain patents rejected by the PTO
through âremedy by civil action against the Director.â 35 U.S.C. § 145; Kappos v. Hyatt,566 U.S. 431, 437
(2012). In response to Hyattâs lawsuit, the PTO is empowered to invoke prosecution
laches and resist issuing those patents.
4
There is no evidence of such an egregious situation here, nor does Hyatt plausibly try to establish one. See Def.âs
Reply 6 n.6.
5
To the extent that Hyatt argues against the general principle that equitable defenses fail to run against the government
in this context, he is mistaken. See Pl.âs Oppân 8â15. For one, Hyatt does not attempt to distinguish the many cases
explaining how enforcement of a congressional mandate in the public interest bars application of equitable doctrines
against the government absent extreme circumstances. Indeed, he seems to accept these cases, but merely argues that
no congressional mandate is at issue here. See id. at 13. Second, his cases involving litigation laches, which is about
delay in litigation, are inapposite to prosecution laches, which is about abuse and delay of the PTOâs patent system.
Third, his citations to equitable cases involving private parties say little about how equitable principles may be asserted
against the government. And finally, while it is true that courts may weigh the equities when considering injunctive
relief, that kind of equitable balancing is captured by the very nature of the prosecution laches inquiry, requiring a
finding of abuse of the patent system and material prejudice before prosecution laches may be applied. See infra Part
III.B.
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As a broad matter, âthe PTO has the authority to deny patent issuance on prosecution laches
grounds.â Hyatt II, 998 F.3d at 1362. This is true both in the PTOâs internal process, In re Bogese,
303 F.3d 1362, 1367(Fed. Cir. 2002), as well as in an action like this one, see Hyatt II, 998 F.3d at 1362â63. In a Section 145 action, the PTO channels this authority by asserting it as an equitable affirmative defense,id.,
which Congress maintained in these actions,id.
(citing35 U.S.C. § 282
). But the foundation for the PTOâs authority is fundamentally the same here as it is for a PTO internal proceeding. Seeid. at 1363
(â[I]t would make little sense for the PTO to have the authority
to use prosecution laches as a basis for denying a patent, but to lack the authority to defend against
issuance of a patent in a § 145 action on the same basis.â). Even as it sits on the defendant side of
the âvâ in this case, the PTO is acting in an enforcement role by pursuing its prosecution laches
authority as an affirmative defense.
The PTOâs congressional mandate stems from its position as the agency tasked with the
issuance of patents and administration of the patent system. See 35 U.S.C. § 2. In managing that process, the PTO has the âauthority to sanction undue delayâ and âthe authority to reject patent applications for patents that would be unenforceable [due to prosecution laches].â In re Bogese, 303 F.3d at 1367â68. The Federal Circuit has held that this authority is âinherentâ in the PTOâs statutorily assigned role. Seeid.
(citing35 U.S.C. § 2
). Hyatt is therefore wrong to assert that âthere is no congressional mandate that PTO seeks to enforceâ because âthe PTO âshall issue a patentâ when âit appears that the applicant is entitled to a patent under the law.ââ Pl.âs Oppân 13â 14 (quoting35 U.S.C. § 131
). The requirement that the PTO must decide whether an âapplicant is entitled to a patent under the lawâ directs the PTO to resist issuing a patent in situations like this one. See35 U.S.C. § 131
(emphasis added). And Congress maintained that authority in a
Section 145 action. Hyatt II, 998 F.3d at 1362â63. Indeed, the Federal Circuit has previously
13
described the statutory mandate of the PTO using exactly this lens. See, e.g., BlackLight Power,
Inc. v. Rogan, 295 F.3d 1269, 1273(Fed. Cir. 2002) (considering it the âresponsibility, and the mission of the PTO . . . to assure that patents are properly examined, and validâ (citing35 U.S.C. § 151
and Skidmore v. Swift & Co.,323 U.S. 134
, 139â40 (1944)); id. at 1274 (â[T]he Commissioner has an obligation to refuse to grant a patent if he believes that doing so would be contrary to law.â (quoting In re Alappat,33 F.3d 1526, 1535
(Fed. Cir. 1994) (en banc), abrogated on other grounds by In re Bilski,545 F.3d 943
(Fed. Cir. 2008))).
As for public interest, the PTO litigates its congressional mandate in the public interest
whenever it satisfies the two prongs of prosecution laches. After all, the unclean hands doctrine
only applies when the PTO has successfully established the two elements of prosecution laches:
(1) unreasonable and inexcusable delay and (2) prejudice. Hyatt II, 998 F.3d at 1360, 1362. The
first prong requires the kind of delay demonstrating an âegregious case[] of misuse of the statutory
patent system.â Symbol Techs., 422 F.3d at 1385. The latter involves âevidence of intervening
rights.â Hyatt II, 998 F.3d at 1362. When the PTO resists issuance of a patent to someone who
has egregiously misused the patent system and prejudiced others, it is definitionally acting to
protect the public.
The public interest showing is particularly strong in this case, where, if Hyatt fails to meet
his burden, the evidence will have established that he is âresponsibl[e] for the sizable undue
administrative burden that his applications have placed on the PTO in its efforts to process Hyattâs
applications, which the record before [the Circuit] demonstrates to be extremeâ and his âconduct
amounted to a clear abuse of the PTOâs patent examination systemâ that requires him to show
âthat [his] delay has not caused the PTO or any third party material prejudice.â Id. at 1371â72. It
is possible, of course, that Hyatt will meet his burden to overcome that evidence, in which case he
14
will not need to rely on the unclean hands doctrine because he will have defeated prosecution
laches on the merits. But if he cannot meet his burden, then the PTOâs resistance of Hyattâs effort
to obtain these patents is in pursuit of the public interest. 6
Finally, even if it were possible for unclean hands to sometimes run against the government
when it is enforcing a congressional mandate in the public interest, it certainly is not appropriate
to impose unclean hands in the specific prosecution laches context. Indeed, the purpose of
prosecution laches cuts against Hyatt. This type of laches originates in a fundamental concern
about âthe rights of the publicâ and protecting the public from abuse of the beneficial patent
system. See Woodbridge, 263 U.S. at 58â60. That basis is at odds with permitting a litigant to
attack the propriety of the PTOâs conduct to force the issuance of a patent improperly delayed by
the applicant. Furthermore, the doctrine of unclean hands, upon which Hyatt relies, has largely
âevolvedâ in the patent prosecution context to prevent âegregious affirmative acts of misconduct
intended to deceive both the PTO and the courts [as well as] the mere nondisclosure of information
to the PTO.â See Therasense, Inc. v. Becton, Dickinson & Co., 649 F.3d 1276, 1285â87 (Fed. Cir. 2011) (en banc) (emphases added). It is telling that the form of unclean hands typically at issue when challenging behavior during the patent prosecution process, called âinequitable conduct,â seeid.,
is centered on harm and abuse to the PTO and its process. The aim is to protect the PTO and by extension the larger public. To then apply unclean hands against the PTO in the patent prosecution context would be at odds with the development of equity in this space and undermine the important policies underlying prosecution laches. Accordingly, when the PTO demonstrates 6 Because the Court finds that the PTO is acting to enforce a congressional mandate in the public interest, it need not address the extent to which only one of those elements is required. See Philip Morris Inc.,300 F. Supp. 2d at 75
(appearing to consider âthe unclean hands doctrine [] unavailable as a matter of lawâ whenever âthe Government acts
in the public interestâ). Contra Pl.âs Oppân 15 (â[I]t is not enough for an agency to assert that it is acting âin the public
interest.ââ (quoting Def.âs Mem. 9)).
15
the kind of abuse and harm necessary for a prosecution laches finding, the principles of equity do
not condone attacks on that showing by appeal to the principle of unclean hands.
* * *
In sum, the PTO is before this Court pursuing the public interest and doing so to enforce a
congressional mandate. Under the principles of equity, Hyatt is barred from asserting the unclean
hands doctrine to defeat the PTOâs affirmative showing of prosecution laches. Even if that were
not enough, the specific context of the PTO asserting its prosecution laches authority cuts against
allowing unclean hands to be wielded as a response. And because the unclean hands doctrine is
unavailable to Hyatt as a rebuttal to the PTOâs showing of prosecution laches, he may not introduce
evidence on this remand for the purpose of demonstrating unclean hands on the part of the PTO.
B. The Federal Circuitâs Opinion Sets Out the Relevant Prosecution Laches Issues on
Remand
As explained above, prosecution laches involves two elements that must be established by
the proponent, here the PTO. First, the defendant must establish âthat the patenteeâs delay in
prosecution was unreasonable and inexcusable under the totality of circumstances.â Hyatt II, 998
F.3d at 1362. Second, the proponent must establish âthat the accused infringer suffered prejudice
attributable to the delay.â Id. Since prosecution laches is an equitable affirmative defense, the
initial burden lay with the PTO to prove both elements. The Circuit concluded that it met both and
shifted the burden to Hyatt to rebut the PTOâs case. Hyatt II, 998 F.3d at 1371â72; see also
Serdarevic v. Advanced Med. Optics, Inc., 532 F.3d 1352, 1359â60 (Fed. Cir. 2008).
The Federal Circuit provided substantial guidance on how to apply prosecution laches.
To determine what remains relevant, the Court will lay out the standard for each element of
prosecution laches, discuss the Circuitâs application of those elements to this case, and finally
identify the remaining issues on remand.
16
In sum, this Court will, and indeed must, allow Hyatt to present evidence on prosecution
laches in a manner mimicking a continuation of the bench trial after denial of the Rule 52(c)
motion. See Mack Trucks, 917 F.2d at 110â11. This is in keeping with the âprinciples of fairness
and due processâ that any litigant in front of a federal court is afforded. See Hyatt II, 998 F.3d
at 1351. Hyatt did not have a chance to put on his evidence. Now he will. And, in safeguarding
that opportunity, this Court will not unnecessarily and improperly limit the bounds of admissible
proof.
Wholly irrelevant evidence will of course be excluded. But the hour is yet to arrive when
this Court should weigh the sufficiency of the evidence. See Meyer Intell. Properties Ltd., 690
F.3d at 1378; Graves, 850 F. Supp. 2d at 10â11. Now is the time for Hyatt to make his case. It is
only upon the close of evidence that this Court will finally determine what weight his proof
deserves and then apply the relevant legal standards. Therefore, Hyatt will largely be allowed to
submit evidence about the PTOâs conduct.
1. Unreasonable and Inexcusable Delay Under the Totality of the Circumstances
a. The Federal Circuitâs Standard
In its opinion, the Federal Circuit clarified several important rules of law that govern the
application of the totality of the circumstances test for unreasonable and inexcusable delay. Of
course, â[w]hether an applicantâs delay is unreasonable depends on the specific circumstances.â
Hyatt II, 998 F.3d at 1366. Nevertheless, the Circuitâs opinion carefully lays out the legal
requirements guiding a district court during its review of the circumstances.
As to the initial burden, the Federal Circuit provided guidance regarding how a proponent
may âtrigger prosecution laches.â Id. at 1367â69. Ways of triggering prosecution laches include
(1) establishing a sufficient quantity of time of delay; (2) demonstrating that the applicant used âan
approach to prosecution that all but guaranteed indefinite prosecution delayâ; and (3) âshow[ing]
17
that [the applicant] engaged in specific, exemplary acts during prosecution that were patently
unreasonableâ such as failing to cooperate with the PTO. Id. at 1367â69. When sufficient
evidence has been put forth, the applicant must provide a reasonable explanation to justify the
conduct that triggered prosecution laches. See id. at 1369, 1371â72. And when âa clear abuse of
the patent systemâ has been demonstrated, it is no excuse for the applicant to declare that his or
her conduct did not âliterally violate regulations or statutory provisions.â Id. at 1369.
When considering evidence of unreasonable or inexcusable delay, a court errs by
inappropriately discounting evidence of an applicantâs overall conduct in pursuing patent
prosecution. This can occur by (1) disregarding prosecution conduct for related applications, or
(2) blaming the PTO for prosecution delays rather than focusing on the applicantâs choices. See
id. at 1363â67.
First, a court cannot overlook any discrete part of the applicantâs prosecution conduct and
related history when evaluating the totality of the circumstances. Id. at 1363â64. That includes
both the scope and the substance of the applicantâs conduct.
For scope, a court must consider the entire history of prosecution conduct, including related
conduct. Id. To determine relevant related conduct, a court should consider where there is
overlapping âsubject matter, claim scope, and priority disclosuresâ between the applications at
issue and proffered related applicationsâeven if the behavior occurs after the filing date of the
lawsuit, or after denial of the relevant applications. See id. Conduct for related applications can
be particularly important for determining whether a pattern of unreasonable and inexcusable delay
has been established. Id. at 1364.
For substance, a court must be careful not to discount any part of the applicantâs
interactions with the PTO. Therefore, a court must consider even informal interactions between
18
the applicant and members of the PTO so long as those interactions provide insight into the
unreasonableness or inexcusableness of the applicantâs conduct. See id. at 1363â65. Furthermore,
a court must consider the PTOâs fiscal and administrative burden in administering the applicantâs
applications as compared to the fees paid by the applicant. See id. And, whenever unreasonable
conduct is suggested or established by the prosecution history, such conduct cannot be
discountedâincluding filing claims already lost in interference proceedings or ârewriting or
shifting claims midway through prosecution in applications.â See id. at 1363â64.
Taken together, a district court errs by eliminating from consideration the scope and
substance of an applicantâs prosecution conduct. Id. And when that full scope and substance
reveals, a âconsistent pattern of conduct across an enormous body of similar applicationsâ that
pattern must be acknowledged and applied by the district court. Id.
Second, the totality of the circumstances test cannot serve âas a vehicle for blaming the
PTO for the prosecution delaysâ rather than focusing on the applicantâs own conduct. Id. at 1364â
66. Delay by the PTO âprovides a weak reason to negate prosecution lachesâ and the focus must
be on whether the applicant âprosecute[d] its applications in an equitable way that avoids
unreasonable, unexplained delay that prejudices others.â Id. at 1366.
Consequently, evidence concerning the PTOâs process cannot entirely excuse an
applicantâs delay. Id. at 1365. This includes (1) the formality or informality of the PTOâs
procedures and conduct; (2) the choice by the PTO of whether it wishes to follow regular
procedures; (3) whether the PTO decides to police the activity of the applicant during the
prosecution; and (4) if the PTO does so choose to police the applicant, the manner by which the
19
PTO notices applicants to their obligations and requirements. 7 See id. at 1364â66; see also id.
at 1366 (âRequiring the PTO to adopt tailored approaches to make sure that each applicant that
delays, is unresponsive, or is otherwise outside normal prosecution conduct successfully
progresses through prosecution would impose obligations on the PTO not contemplated by the
statute.â). Indeed, time periods of delay, or even suspension of prosecution by the PTO, cannot be
counted against the PTO if the delay or suspension was linked to the applicantâs actions, including
challenges in court to PTO procedures and conduct. Id. at 1365. In sum, â[t]he applicant is in the
driverâs seat and must take care to avail itself of the PTOâs beneficial patent examination process
as it stands and in a way that avoids undue delay leading to prejudice imposed on others.â Id.
at 1366.
b. Application by the Circuit to this Case
In its opinion, the Circuit concluded that the PTO met its burden on prosecution lachesâ
shifting the burden onto Hyattâand that Hyatt has thus far failed to demonstrate a sufficient
explanation for his conduct.
First, the PTO triggered prosecution laches just by establishing, as Hyatt conceded, that he
delayed âseven to 11 years to file the four applications at issue and between 10 and 19 years before
presenting the claims now in dispute.â Id. at 1368. 8 Thus, even by Hyattâs own calculations, âthe
magnitude of Hyattâs delayâ was sufficient as a matter of law to trigger prosecution laches. Id.;
see also id. at 1369 (â[A] delay of more than six years raises a âpresumption that it is unreasonable,
inexcusable, and prejudicial.ââ (quoting Wanlass v. Gen. Elec. Co., 148 F.3d 1334, 1337 (Fed. Cir.
7
Although, notifications to an applicant that give the applicant an opportunity to avoid prosecution laches, formal or
otherwise, will lend support to a prosecution laches finding. Hyatt II, 998 F.3d at 1366.
8
âHyatt argue[d]â for the time periods quoted from the Circuit. Hyatt II, 998 F.3d at 1367â68. Those periods of
delay were less than the ones PTO argued for, generally ranging from â12 to 28 years.â Id. âEven accepting Hyattâs
argumentsâ the Circuit concluded that the shorter periods of time alleged by Hyatt triggered prosecution laches. Id.
20
1998))). Given the Circuitâs discussion, the time of delay alone shifted the burden to Hyatt to
demonstrate a sufficient reason for the delay.
Second, the PTO demonstrated that Hyattâs âpatterns of prosecution conduct created a
perfect storm that overwhelmed the PTOâ and therefore âall but guaranteed indefinite prosecution
delay.â Id. at 1368. Hyattâs âapplications claim[ed] priority to a large number of earlier
applications, creating a large number of possible priority dates.â Id. Hyatt âfail[ed] to identify
written description support for his claimsâ for âmany yearsâ despite âthe length and complexity of
both the specifications themselves and those of the priority applications.â Id. He effectively
restarted examinations over and over again by âadding hundreds of claims to each applicationâ
âfil[ing] identical or patentably indistinct claims across different applicationsâ and âengaging in a
pattern of rewriting claims entirely or in significant part midway through prosecution.â Id. In
sum, â[i]t was virtually impossible for examiners to perform a double patenting analysis . . .
determine[] priority dates and identify[] written description support.â Id. The Circuit therefore
found that Hyattâs choices âmade it effectively impossible for the PTO to processâ his applications.
Id.
Finally, the Circuit concluded that Hyattâs âspecific, exemplary acts during prosecutionâ
âwere patently unreasonable.â Id. at 1368. One act was Hyattâs decision to âfile[] claims that he
had previously lost in interference proceedings.â Id. at 1369. The Circuit held that, regardless of
intent, those filings at the very least evince âthat his prosecution approach had overwhelmed even
his own ability to manage his applications and claims.â Id. And more broadly, the Circuit held
that Hyatt had not been able to justify his prosecution approach with any âreasonable explanation.â
Id. The Circuit explained that this was particularly true given his October 1995 discussion with
Director Godici in which he agreed to âdemarcate his applicationsâ but then âdid precisely the
21
opposite to an extreme degreeâ without âa âmaster planâ for demarcating his applications.â Id.
(citation omitted).
The Circuit also found this Courtâs previous opinion lacking because, in the Circuitâs
estimation, it âdiscount[ed] or ignore[ed] evidenceâindeed swaths of evidence in certain
situationsâregarding Hyattâs prosecution conduct as a cause for delay.â Id. at 1364. Specifically,
this Court erred by focusing on the time period up until 2002, rather than the entire temporal range,
discounting other applications by Hyatt, failing to consider âa consistent pattern of conductâ by
Hyatt, and improperly shifting blame onto the PTO. Id. at 1364â66.
Considering the PTOâs proof, the Circuit found that âthe conclusion is inescapable that the
PTO satisfied its burden of proving that Hyatt engaged in unreasonable and unexplainable delay,
as prosecution laches requires.â Id. at 1369. Indeed, the Circuit explained that it âc[ould] divine
no reason in the record currently before the court that would sufficeâ âto negate that [Hyattâs]
delay has been unreasonable and unexplained.â Id. at 1372. The Circuit specifically held that the
following reasons âwithout more are insufficient as a matter of law to negate that Hyattâs delay
was unreasonable and unexplainedâ: (1) âhe timely completed examinationâ for the âfour
applications at issue;â (2) âhis conduct during prosecution of his other GATT Bubble applications
is irrelevant to the prosecution laches analysis;â (3) âhe filed his GATT Bubble applications to
cover a number of inventions he believed he had made;â and (4) â[he] met statutory requirements
and followed the PTOâs rules in prosecuting his applications.â Id. at 1371.
Given the circumstances of this case, the Circuit concluded that âHyatt must show by
preponderance of evidence that Hyatt had a legitimate, affirmative reason for his delayâ strong
enough to âexcuse Hyatt from responsibility for the . . . extremeâ âadministrative burden that his
applications have placed on the PTO.â Id. at 1371â72. At the very least, Hyatt must justify his
22
(1) âdecision to ignore Director Godiciâs instruction to demarcate his applications in 1995;â (2)
âdecision to adopt the specific prosecution approach that he didâunique in its scope and natureâ
as detailed in the PTOâs Requirements;â and (3) âfailure to develop a plan for demarcating his
applications over at least the 20 year period from 1995 to 2015.â Id. at 1372. âAny reasons that
fall short of justifying those decisions or omissions fail to negate that his delay has been
unreasonable and unexplained.â Id.
c. The Relevant Issues on Remand
On remand, Hyatt is entitled to âpresent evidence and be heardâ on the element of
unexplained and inexcusable delay. Id. Therefore, Hyatt may challenge evidence offered by the
PTO during its case-in-chief with a case-in-chief of his own aimed at (1) rebutting the assertion
that his approach âall but guaranteed indefinite prosecution delayâ and (2) justifying his âspecific,
exemplaryâ and apparently âpatently unreasonableâ actions. See id. at 1367â69. Per the Circuitâs
discussion of scope and substance, Hyatt may (and must) discuss not just the applications before
this Court, but also his pattern of conduct and interactions with the PTO across all relevant
applications. See id. at 1363â67. And Hyatt must specifically address the three decisions singled
out by the Circuit for justification. See id. at 1371â72.
Hyatt argues that the PTOâs conduct is relevant for his burden on unreasonable and
inexcusable delay. Pl.âs Oppân 15â18. The PTO argues that such evidence has been largely
foreclosed by the Circuitâs opinion. Def.âs Reply 15â18. The PTO makes strong points on why
the Federal Circuitâs reasoning suggests that it will ultimately succeed on a final weighing of the
evidence. But that is not the posture of this case. Hyatt is entitled to present evidence in his favor
so long as it makes a fact of consequence under the legal standard more or less probable. And the
Court concludes that PTO conduct may be relevant to Hyattâs burden on delay in several ways.
23
First, outward-facing PTO conduct that Hyatt was aware of is intuitively relevant when
used to explain Hyattâs own choices. For example, if Hyatt took a certain action based on a PTO
communication sent to him, he may seek to admit evidence of that communication to justify his
action.
Second, PTO conduct may also be relevant to overcome the implication, on the current
record, that Hyattâs approach âall but guaranteed indefinite prosecution delay.â See Hyatt II, 998
F.3d at 1367â69. PTO communications and decisions, even if unknown to Hyatt at the time, may
be relevant when used to establish that Hyattâs conduct did not invariably guarantee delay. For
example, Hyatt may pair a justification for his choice to âclaim priority to a large number of earlier
applications, creating a large number of possible priority datesâ with evidence suggesting that his
decision did not actually âfrustrate[] the examinersâ ability to take the preliminary step of
identifying the relevant body of prior art for purposes of examining the claims.â See id. at 1368.
Third, evidence challenging responsibility for periods of delay is not entirely irrelevant.
Of course, the Circuit ultimately concluded that, under any calculation of delay, prosecution laches
has been triggered by Hyattâs conduct. Id. at 1367â68. And the PTO relies on that determination
to argue that all discussion of responsibility for delay is now irrelevant. Def.âs Reply 15â16. Not
so. The triggering of prosecution laches has shifted the burden to Hyatt to rebut the PTOâs case.
While Hyatt has a heavy burden to overcome, he may still attempt to discredit or refute the PTOâs
evidence, including on responsibility for delay. The Court will then consider that evidence when
evaluating the totality of the circumstances in accordance with the instructions from the Circuit.
Of course, â[t]he PTO's delay [] provides a weak reason to negate prosecution laches.â Id. at 1366.
But Hyatt is nevertheless entitled to provide such evidence in the hope that, combined with other
evidence justifying his choices, he will be able to ultimately rebut the PTOâs case as it stands.
24
It is true, however, that evidence admitted simply to establish a lack of good faith by the
PTO is inadmissible. See supra Part III.A. Instead, evidence of outward-facing or internal PTO
conduct must relate to Hyattâs burden to rebut the PTOâs case and the legal elements identified as
important by this Court and the Circuit.
In sum, the Federal Circuit made clear that even though it could âdivine no reason in the
record currently before the courtâ that might justify the delay here, âHyatt is entitled as a matter
of fairness to present evidence and be heard on this issue.â Hyatt II, 998 F.3d at 1372. Keeping
those dual considerations in mind, Hyatt must be provided a sufficient opportunity to make his
case. And this Court has accordingly laid out the legally relevant issues under which PTO conduct
may be relevant.
2. Prejudice
a. The Federal Circuitâs Standard
In addition to unreasonable and inexcusable delay under the totality of the circumstances,
a proponent of prosecution laches must also establish prejudice attributable to the patenteeâs
delayâthat is, âevidence of intervening rights.â Id. at 1362, 1369â70. This rule applies to the
PTO. Id.
The prejudice burden can be satisfied a variety of ways. One method is by demonstrating
âa delay of more than six yearsâ which then âraises a âpresumption that it is . . . prejudicial.ââ Id.
at 1369 (citation omitted). Upon a showing of an unreasonable and unexplained prosecution delay
of six years or more, the burden shifts to the applicant to demonstrate either that (1) the delay was
reasonable or excusable or (2) the proponent of prosecution laches âsuffered neither economic nor
evidentiary prejudice.â Id. at 1369â70 (citation omitted).
Prejudice can also be established when âa patent applicant has committed a clear abuse of
the PTOâs patent examination system.â Id. at 1370. Clear abuse is met when âthe applicantâs
25
conduct unduly increases the administrative burden on the PTO and thereby effectively taxes
everyone using the system.â Id. Such behavior creates âa dangerous likelihoodâ of harm to the
overall public interest, and therefore the âapplicantâs conduct and its effects on the PTO can alone
suffice to prove prejudice.â Id. In keeping with the extraordinary nature of clear abuse, this
should, however, be a ârare circumstance.â Id. Nevertheless, the PTO need not prove an
intentional abuse to satisfy this standard. See id.
b. Application by the Circuit to this Case
This Court did not squarely reach the prejudice issue in its earlier ruling. See id. at 1369
n.10. The Circuit then resolved the issue for the first time on appeal.
The Circuit concluded that the PTO had established during its case-in-chief six years of
unreasonable and unexplained delay âby any measureâ as well as a clear abuse of the PTOâs patent
examination system. Id. at 1370. The former alone shifted the burden to Hyatt to establish that
there had been a lack of prejudice. Id. For the latter, the Circuit looked to (1) Hyattâs approach to
prosecuting his applications; (2) the PTOâs special art unit created to deal with his applications,
the associated atypical procedures, and the âinordinate amounts of time preparing office actionsâ;
and (3) the $3 million deficit between PTO administrative expenses over five years and the $7
million in fees paid by Hyatt. Id. at 1370â72. Taking those details and âcombined with the details
surrounding Hyattâs pattern of prosecution conduct[,]â the Circuit held that the PTO had
established a clear abuse contributing to the delay for the applications at issue in this case. Id.
at 1370â71. Given those two showings, the burden has shifted to Hyatt to rebut the presumption
of prejudice established by the PTO. See id. at 1370â72.
26
c. The Relevant Issues on Remand
In response to the PTOâs motion, Hyatt argues that the PTOâs actions and choices are
relevant to rebut its showing of prejudice and therefore he may demonstrate that the governmentâs
actions were not taken in good faith. Pl.âs Oppân 17â18. The PTO argues that, given the Federal
Circuitâs findings and the nature of the PTOâs procedures, the governmentâs conduct is largely
irrelevant at this point. Def.âs Reply 16â17. Once again, Hyattâs evidence will largely be allowed.
At trial, it will be Hyattâs burden to âprove that Hyattâs delay has not caused the PTO or
any third party material prejudice.â Hyatt II, 998 F.3d at 1372. His showing must be substantial
to defeat the showing of prejudice made by the PTO; the Circuit already opined that it âcannot
guess what might negate this evidence.â Id. To succeed, Hyatt will have to show that his conduct
did not cause harm to the PTO and its patent examination process in the ways discussed by the
Circuit and that, despite the âdangerous likelihoodâ of broader harm to the publicâs interest, there
was in fact no material prejudice to third parties. See id. at 1370â72.
To satisfy Hyattâs burden for prejudice, the conduct of the PTO may indeed be relevant.
Evidence demonstrating that the PTO did not actually suffer material prejudice based on Hyattâs
actions is relevant for Hyattâs case on the prejudice prong of prosecution laches. Therefore,
evidence explaining why administrative expense and burden were not, in fact, caused by Hyattâs
approach to prosecuting his applications may be admissible when used for that purpose. This
includes evidence of internal PTO conduct making it more probable that independent PTO
decisions are responsible for administrative burdens presumptively attributable to Hyatt. Evidence
admitted simply to establish a lack of good faith by the PTO is still, however, inadmissible.
Once again, this decision is in keeping with the Federal Circuitâs dual statements that it
âcannot guess what might negate this evidence of prejudiceâ and yet âHyatt is entitled to present
27
evidence that his delay did not cause prejudice.â Id. at 1372. The Court may not disregard either
directive and it shall not do so. Hyatt will be permitted to offer relevant evidence and the Court
will accord it whatever weight it merits.
C. Hyatt May Call the Four Witnesses Identified
In addition to the PTOâs broader relevance arguments, it takes issue with four witnesses
Hyatt seeks to call. First, the PTO argues that those witnesses are untimely because they are, in
essence, being added âin the middle of the trialâ and that the PTO is prejudiced. Def.âs Mem. 27â
29, 31â32 (emphasis removed). Second, the PTO argues that the witnesses are irrelevant because
they address PTO conduct. Id. at 18â27, 30. Finally, the PTO argues that issues of attorney-client
privilege and deliberative-process privilege will infect testimony by the proposed witnesses. Id.
at 35â39. 9 While the Court will not preclude Hyattâs witnesses from testifying, it will limit the
scope of their testimony based on relevance. Determination of the privilege issues would be
premature at this juncture.
1. Hyattâs Four Witnesses May Testify
The PTO argues that Hyattâs witnesses should be excluded because Hyatt seeks to, in
essence, add witnesses in the middle of a trial in violation of Federal Rule of Civil Procedure Rule
37(c)(1). That rule states: â[i]f a party fails to provide information or identify a witness as required
by Rule 26(a) or (e), the party is not allowed to use that information or witness to supply evidence
on a motion, at a hearing, or at a trial, [or the Court may impose an alternative sanction as provided
for in the Rule] unless the failure was substantially justified or is harmless.â Fed. R. Civ. P.
37(c)(1). Rule 26(a)(3) requires that pretrial disclosures for witnesses âbe made at least 30 days
9
The PTO also argues, and Hyatt concedes, that the witnesses cannot testify as experts and thus will not be called
upon to give expert opinions. Def.âs Mem. 32â35; Pl.âs Oppân 28. PTO asks this Court to enter an order holding him
to that concession, see Def.âs Reply 23 (arguing that Hyatt may still try to elicit expert testimony). The Court sees no
need to issue such an order. If Hyatt attempts to admit expert testimony, then the PTO may object at that time.
28
before trial.â Fed. R. Civ. P. 26(a)(3). The PTO reasons that the trial here began in 2017 and is
continuing on remand. Therefore, since Hyatt did not include the witnesses in his pretrial
statement at that time, he should be excluded from calling the four witnesses absent a showing of
substantial justification or harmlessness. Def.âs Mem. 28. While Hyattâs proposed witnesses do
violate Rule 26(a)(3), this Court concludes that they are permissible under Rule 37(c)(1). 10
The Court held a trial in 2017 which ended upon the Rule 52(c) motion for judgment. The
Federal Circuit vacated the Courtâs judgment in part and remanded for âfurther proceedings.â
Hyatt II, 998 F.3d at 1372. In many ways, these proceedings will be a resumption of the 2017
trial. The PTOâs evidence, for example, will stand as it did when the Rule 52(c) motion was
granted. On the other hand, both parties have recognized that the further proceedings cannot
literally continue from the moment that the PTOâs case-in-chief concluded. For example, both
have filed amended pretrial statements, ECF No. 286, 287. It is impossible to pretend that not a
day has passed when the Court plans on resuming the bench trial more than five years after the
first part of the trial concluded.
Nevertheless, Hyattâs failure to disclose his proposed witnesses before the trial began in
2017 violates Rule 26(a)(3). He submitted them shortly after the Federal Circuitâs opinion was
issued. See ECF No. 300-4. Treating these proceedings as essentially a âresumption of trial,â
Hamlet, 14 F.3d, as if the Court had denied the Rule 52(c) motion, see Mack Trucks, 917 F.2d
at 110â11, the disclosure was not made thirty days before the start of the 2017 portion of the trial
that is about to continue. This formally violates Rule 26(a)(3).
Despite Hyattâs violation, the proposed witnesses will not be excluded under Rule 37(c)(1).
The sanction authority in Rule 37(c)(1) is not an inflexible one; it makes an exception upon
10
Because Rule 37(c)(1) permits the witnesses, the Court need not consider the effect of Local Rule 16.5(b)(5).
29
substantial justification or harmlessness. Fed. R. Civ. P. 37(c)(1). That carve-out ensures that a
court may âavoid unduly harsh penaltiesâ in unique situations like this one. See Fed. R. Civ. P.
37(c)(1), advisory committee note to 1993 amendment. And these circumstances truly are unique.
The Court will soon resume a proceeding on remand, based on the mandate from an appellate court
reversing a granted Rule 52(c) motion, more than half a decade since the last testimony was heard.
Given the significant passage of time between the PTOâs case-in-chief and the start of his own,
Hyatt was substantially justified in adding these four witnesses based simply on the posture of the
proceedings and the five-year gap. And the violation is also harmless here if cured by the
opportunity for depositions. See Robinson v. D.C., 75 F. Supp. 3d 190, 197(D.D.C. 2014). Either way, such depositions are in keeping with the âprinciples of fairnessâ that dictated this remand, Hyatt II, 998 F.3d at 1372, as well as the broad discretion afforded district courts in this area, see Hussain v. Nicholson,435 F.3d 359, 363
(D.C. Cir. 2006).
In sum, there is simply no basis to apply the âextreme sanctionâ of âpreclusion of evidenceâ
under these circumstances. Richardson v. Korson, 905 F. Supp. 2d 193, 200 (D.D.C. 2012). 11
Hyatt may properly use the proposed witnesses during his case-in-chief and the PTO may properly
depose them in order to prepare for that testimony.
2. The Witnesses May Testify Only to Relevant Issues, Including Bias
Of course, even though the four proposed witnesses may testify, they cannot do so
unbounded. The rule of relevance always applies. See Magnivision, Inc., 115 F.3d at 961. As this
Court has previously explained, the doctrine of unclean hands is not relevant on this remand and
the witnesses may not testify for the purpose of establishing the applicability of that doctrine. See
11
That is particularly true given the PTOâs own tardy noticing of witnesses in 2017, an allegation made by Hyatt that
the PTO does not dispute in its reply. Pl.âs Oppân 26â27; see generally Def.âs Reply.
30
supra Part III.A. The relevant issues will be those that go to Hyattâs burden on unreasonable and
inexcusable delay or prejudice. See supra Part III.B. For both relevant elements then, evidence
purporting to demonstrate a lack of good faith on the part of the PTO is not relevant without more.
To the extent that Hyatt expected that his witnesses would testify to that issue, he must abandon
that understanding and use the witnesses for the relevant purposes identified.
Finally, Hyatt argues that his witnesses should be allowed to testify that two of the PTOâs
witnesses were biased against Hyatt. Pl.âs Oppân 18. The PTO opposes, arguing that Hyattâs
âclaim of bias would discredit witnesses for the same reason they are competent to testify, i.e.,
their personal knowledge of the examination of his applications.â Def.âs Reply 18. The PTO
further fears that this Court will invite error by allowing evidence of bias. Id. The PTOâs
objections, however, are incorrect.
It is axiomatic that â[e]vidence otherwise inadmissible may be admitted if it shows bias on
the part of the witness.â United States v. Slough, 22 F. Supp. 3d 29, 33(D.D.C. 2014). âBias is never classified as a collateral matter which lies beyond the scope of [questioning], nor as a matter on which an examiner is required to take a witnessâs answer [and] may be proved by extrinsic evidence even after a witnessâs disavowal of partiality.â United States v. Robinson,530 F.2d 1076, 1079
(D.C. Cir. 1976) (quoting 3 Weinsteinâs Evidence 607â17 (1975)). Bias focuses on âthe relationship between a party and a witness which might lead the witness to slant, unconsciously or otherwise, [the] testimony in favor of or against a party.â United States v. Abel,469 U.S. 45, 52
(1984). Therefore, â[f]avor or friendly feeling toward a partyâ as well as âhostility against a partyâ
may be proven any number of ways including by admitting evidence of âthe witnessâs conduct or
expressions evincing such feeling.â 1 McCormick on Evid. § 39 (8th ed. Westlaw July 2022
31
Update) (emphasis in the original). Hyatt may accordingly offer evidence that makes the existence
of such hostility more likely.
At the same time, it is well within this Courtâs discretion to ensure that evidence as to bias
does not turn into a sideshow. See, e.g., Betts v. City of Chicago, 784 F. Supp. 2d 1020, 1028â29
(N.D. Ill. 2011) (policing the limits of relevant bias evidence). If Hyatt wishes to introduce
evidence showing specific evidence of bias against him, demonstrated by the two PTO witnesses
whom he identified, Hyatt may do exactly that. If, instead, Hyatt attempts to introduce evidence
that he understands the PTO as a whole to have been biased against him, particularly evidence of
non-witness bias, this Court can and will exclude such evidence as not bearing on the specific bias
of the specific witnesses he wishes to challenge.
3. The Court Cannot Yet Fully Resolve the Privilege Issues Identified
The PTO also challenges Hyattâs new witnesses on the grounds that they will testify to
matters of attorney-client privilege and deliberative-process privilege. Def.âs Mem. 36â39. As to
the former, Hyatt asserts that he âhas no intention of eliciting testimony that is subject to the
attorney-client privilege from any witness.â Pl.âs Oppân 28. He does not address the latter.
Given Hyattâs stated intention, there is not much for the Court to resolve at this juncture.
It is of course true that the attorney-client privilege is held by the client, here the PTO, and may
not be waived unilaterally by former employees of the PTO. See In re Subpoenas Duces Tecum,
738 F.2d 1367, 1369(D.C. Cir. 1984); Houser v. Church,486 F. Supp. 3d 117
, 138 (D.D.C. 2020). Similarly, the deliberative-process privilege is held by the PTO and covers predecisional and deliberative communications. Natâl Sec. Archive v. CIA,752 F.3d 460, 464
(D.C. Cir. 2014); see generally Natâl Pub. Radio, Inc. v. U.S. Depât of Homeland Sec., No. 1:20-CV-2468-RCL,2022 WL 4534730
, at *4â6 (D.D.C. Sept. 28, 2022) (discussing the standards for predecisional and
deliberative communications). If, after deposing the relevant witnesses, the PTO has additional
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concerns as to possibly privileged information being used at trial, it can act then to specifically
exclude identified topics and communications.
IV. CONCLUSION
It is unclear at this juncture how the testimony of Hyattâs witnesses, and for that matter his
exhibits, will fall inside and outside the bounds of relevance when trial resumes on this remand.
Consequently, this Court can only issue a broad order delineating the bounds of admissibility.
Objections to enforce the directives in this opinion and accompanying order may come at a later
date if necessary.
A separate order will issue this date.
Date: December 23
__, 2022 /s/ Royce C. Lamberth
________________________
Royce C. Lamberth
United States District Judge
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