Review of PTO Intramural Appeal Procedures
Thomas G. Field, Jr.
[Adapted from 33 IDEA 117 (1993). That was, in turn, adapted from a response to an U.S. Patent and Trademark Office request for comments published at 57 Fed. Reg. 34123 (Aug. 3, 1992). The contoversy
that sparked the PTO's interest was later addressed in In re Alappat, 33 F.3d 1526 (Fed. Cir. 1994) (en banc). However, appellant chose to appeal only the merits, forcing the Court to address it, somewhat awkwardly, in terms of jurisdiction.]
I. General Observations Re the PTO's Request for Comment
The PTO has requested comment about possible revisions to "the structure and operation of the Board of Patent Appeals and Interferences and the Trademark
Trial and Appeal Board."[1] However, options
under consideration are not indicated. It is difficult to respond to such an
open-ended request. Further, what the Commissioner should do is
constrained by what he can do. The notice states that the Commissioner
has the responsibility to oversee policy and legal matters. The statutes seem
clear: Trademarks are registered[2] and patents
are granted[3] in his name. Yet, fundamental
issues are not resolved, having only recently been directly confronted.
II. The Commissioner's Authority
A. Practice and procedure
The Commissioner's procedural authority, if exercised consistent with
35 U.S.C. and 15 U.S.C. §§ 1051 et seq. is large and explicit under
35 U.S.C. § 6. Also, rules of practice[4]
may gain additional force from having been promulgated through "informal" rule
making.[5]
Moreover, the Commissioner exercises exclusive intramural appellate review
over such matters through petition.[6] The
organic and enabling legislation does not provide for review of these
decisions, but "non-statutory review" is available.[7] Since Vermont Yankee,[8] however, procedural choices within the scope of the
Commissioner's statutory authority and in conformance with, e.g., the Fifth
Amendment, may be essentially unreviewable. Matters upon which comment is
requested seem to fall into that category.
B. Substantive matters
1. Rule Making
Notices sometimes advise of PTO policy on particular matters, but the CAFC
recently stated that these are not "rules."[9]
It also stated that the PTO has no substantive rule making authority.[10]
With the exception of patent Rule 56 (which should be regarded as substantive
rather than procedural), I am aware of no instance of either patent or
trademark substantive rule making. Given that the PTO, with most others,[11] seems to regard 5 U.S.C. § 553 (or
notice-and-comment) rule making as preferable to alternatives, this suggests
that the PTO, itself, has not believed that it had substantive rule
making authority.[12]
2. Adjudication
Rules, of course, can be made in adjudication as well as in "rule making."[13] Although district courts sometimes defer,[14] the CAFC shows little inclination to regard
the PTO's view of the law as the law when announced in a BPAI or
TTAB decision.[15] Still, the PTO seems to
believe that its views are entitled to deference[16] in light of the Chevron case.[17] My considered opinion is to the contrary; I believe that
Chevron involved a situation quite different from anything likely to
arise in the PTO.
* First, Chevron must be read in light of the fact that the
Environmental Protection Agency (EPA) has clear policy making authority going
well beyond that inherent in an agency's being called upon merely to enforce or
otherwise implement a statute.[18]
* Second, the rule challenged in Chevron appears to have been
promulgated under 5 U.S.C. § 553. As mentioned above,[19] such rules should receive more deference than notices
exempt from APA rule making requirements.[20]
* Third, while the approach set forth in Chevron may reduce the burden
of non-uniformity where several circuits have jurisdiction to review, the CAFC
has exclusive appellate jurisdiction in patent cases.
* Finally, of course, claims to PTO expertise are amply offset by a similar,
if not equal, CAFC claims[21] -- this was not
true for the decision being reviewed in Chevron.
Thus, the PTO seems to lack ultimate power to resolve statutory ambiguities.
Moreover, PTO insistence on better guidance from the CAFC[22] reinforces this view.
III. Independence of the BPAI and TTAB
A. The Commissioner's responsibility
The Commissioner is responsible for registering trademarks and granting
patents -- regardless of whether the CAFC chooses to or must defer to PTO
decisions, and the power to influence the composition of the BPAI[23] and TTAB[24] is consistent with that responsibility.
B. Improper bias in quasi-adjudicatory decisions
Courts have long been concerned about, e.g., party or economic bias, or
prejudgment in adjudicatory decisions.[25] The
outcome of particular cases cannot be nor should they appear to be
influenced by such things. However, adjudicators need not be free of
policy bias likely to be reflected in ad hoc decisions.[26]
C. Strict decisional independence of the Boards seems unwarranted
Whatever their early history,[27] current
Boards as a whole (in contrast with individual members as
addressed below) should be regarded as exercising subdelegated authority[28] -- i.e., the Boards should be designed with
the objective of relieving the Commissioner of an otherwise impossible
burden,[29] not to disperse policy
making authority among several entities within a single agency.
The statutes show that Congress contemplated that the Boards would be subject
to close control (even packing). Moreover, it is difficult to see how a
Commissioner's influencing Board decisions would impermissibly taint PTO
adjudication. Petitions are also quasi-adjudicatory, but I am aware of no
complaint that the Commissioner has ever resolved one on impermissible grounds
or is unfit because broad policy considerations might influence their
outcome.[30]
Lacking substantive § 553 rule making authority, substantive issues can
be resolved within the PTO only in Board adjudications and appeals (resolution
of issues made in the context of particular cases may be called "ad hoc rules")
or through published notices. Ad hoc rules seems preferable to notices failing
to afford interested outsiders a right to argue or comment.[31] While briefs in ex parte appeals are no substitute for
broad public comment, rules influenced by such briefs are apt to be better than
notices that may not bind even PTO personnel.[32]
While the extent to which courts are bound may be uncertain, the PTO must of
necessity resolve novel questions of law in the context of adjudications. Until
overturned on appeal or reversed by another decision, those rules must be
followed or good reasons must be given for not following them.[33] To deny the Commissioner's capacity to affect patent and
trademark policy through the Boards is to withhold any mechanism for exercising
substantive responsibilities.
IV. Independence of BPAI and TTAB Members
A. Administrative Law Judges
Administrative Law Judges (ALJs) have considerable independence conferred by
statute even though their decisions are subject to intramural de novo review.[34] Moreover, it seems that ALJs are subject to
at least minimal performance review and must follow agency policy.[35]
B. The autonomy and expertise of Board members should be
respected
Although BPAI and TTAB members, unlike ALJs, have no statutory
provisions designed to ensure their decisional independence, members,
particularly in inter partes cases, function much the same as ALJs.
It seems unwise (as well as a waste of money) to ignore members' expertise and
familiarity with the law. Although Board members must apply agency policy and
rules,[36] they should nevertheless be free to
criticize agency policy. No member should ever be coerced into appearing to
agree with the "party line." Dissenters often have a major influence in shaping
the law, and, even in circumstances where their views have never prevailed,
well-written dissents often provide a framework for understanding exactly what
the the majority has held.
C. Performance evaluation should as closely as possible follow the ALJ
model
There is no reason that the quantity and quality of Board members' output
should be subject to less scrutiny than that of patent and trademark examiners.
Respect for members' autonomy and expertise should not shield incompetent
members -- or those who fail to carry their share of the load, follow agency
policy or otherwise earn their pay.
V. Conclusion
Balancing competing objectives in ensuring Board Member integrity and
Commissioner control over matters of PTO policy when the latter is reflected
mostly in Board decisions is challenging. However, the same challenge is faced
in dealing with ALJs. It is recommended that the PTO study current practices in
evaluating ALJs, and to the extent feasible, follow that model.
[1] 57 Fed. Reg. 34123 (Aug. 3, 1992).
[2] 15 U.S.C. § 1057.
[3] 35 U.S.C. § 153.
[4] Rules of practice are explicitly exempted
from the rule making provisions of the Administrative Procedure Act (APA), 5
U.S.C. §§ 551 et seq., in § 553(b), exception A. However, as
pointed out in Herbert C. Wamsley, The Rulemaking Power of the Commissioner
of Patents, 64 J.P.T.O.S. 490, 539, and 604 (1982), the Office has
nevertheless tended to follow APA rulemaking procedure since its enactment in
1946.
[5] Informal rule making, also known as "notice
and comment rule making," follows the procedure set forth in 5 U.S.C. §
553. In Pittston Stevedoring Corp. v. Dellaventura, 544 F.2d 35 (2d. Cir.
1976), Judge Friendly attempted to reconcile two lines of authority in which
the published positions of administrative agencies on points of law sometimes
were and sometimes were not given deference by the courts. In doing so, he
concluded that deference turned on not only whether Congress had attempted to
address the issue and whether it had delegated policy-making authority to the
agency, but also on the type of process that the agency had used; id. at
49-50.
[6] This does not appear to be specifically
addressed in the statute, but see 35 U.S.C. § 41(a)(7)-(8).
[7] Jurisdiction is under 28 U.S.C. § 1331,
but such matters as the scope of review are governed by 5 U.S.C. §§
701-706.
[8] Vermont Nuclear Power Corp. v. Natural
Resources Defense Council, Inc., 435 U.S. 519 (1978). While that case was
addressing only rulemaking procedure, its basic rationale would apply to
adjudication.
[9] Animal Legal Defense Fund v. Quigg, 18
U.S.P.Q.2d 1677 (1991). Although the court found the petitioners to lack
standing it nevertheless appears to treat the issues on the merits. Whether
such observations will be followed in the future remains to be seen. At 1685,
the Court mentions that the Commissioner denied that his notices bound
examiners. If that's true, what's the point of publishing them? See
also, Morton v. Ruiz, 415 U.S. 199 (1974), holding that agencies are
obligated to follow their own published positions on the law -- whether or not
they bind anyone else. Rule 56 would probably be an exception insofar as it
also states the extent to which it will be used in the PTO.
[10] Animal Legal Defense Fund, 18
U.S.P.Q. at 1686.
[11] See, e.g., National Labor
Relations Board v. Wyman-Gordon Co., 394 U.S. 759 (1969).
[12] However, this may not be controlling.
See, e.g., National Petroleum Refiners Assn. v. Federal Trade Commission
(FTC), 482 F.2d 672 (D.C. Cir. 1973).
[13] Wyman Gordon, 394 U.S. 759.
[14] See, e.g., Westwood Pharmaceutical
v. Quigg, 13 U.S.P.Q.2d 2067, 2069 (Dist. D.C. 1989).
[15] See generally, e.g., R. Carl Moy,
Judicial Deference to the PTO's Interpretations of the Patent Law, 74
J.P.T.O.S. 407, 407 (1992). See also, In re Budge Mfg. Co., Inc., 8
U.S.P.Q.2d 1259 (CAFC 1988).
[16] Moy, supra note 15, at 407-8.
[17] Chevron, U.S.A., Inc. v. Natural
Resources Defense Council, 467 U.S. 837 (1984).
[18] This is discussed at length by Moy,
supra note 15.
[19] See supra at note 5. See
also, Metropolitan School Dist. of Wayne Township v. Davila 969 F.2d 485
(7th Cir. 1992).
[20] 5 U.S.C. § 553(b) exception A;
besides rules of practice and procedure, "interpretative rules" and "general
statements of policy" are exempt. But see, 1 C.F.R. §§
305.76-5 and 305.89-5.
[21] See, e.g., Moy, supra note
15, at 434.
[22] See Wesley W. Whitmeyer, Jr.,
The Patent and Trademark Office's Refusal to Follow In Re Bond, 74
J.P.T.O.S. 397 (1992).
[23] 35 U.S.C. § 7.
[24] 15 U.S.C. § 1067.
[25] See, e.g., Humphrey's Executor v.
U.S., 295 U.S. 602 (1935). For a more recent expression of concern, see
Buckley v. Valeo, 424 U.S. 1 (1976).
[26] See, e.g., Morgan v. U.S., 304
U.S. 1 (1938). See also, Ass'n National Advertisers, Inc. v. FTC, 627
F.2d 1151 (D.C. Cir. 1979). Indeed the responsibility of agencies (as
contrasted with courts) to accommodate political considerations played a major
role in Chevron. While Harold C. Wegner, Comment: Stripping Politics
from the Board, 74 J.P.T.O.S. 770 (1992) eschews this, those views seem
difficult to reconcile with the Commissioner's responsibilities as discussed
earlier.
[27] See, e.g., In re Wiechert, 152
U.S.P.Q. 247, 265-71 (Smith dissenting) (CCPA 1967). At one point decisions of
the Office appear not to have been subject to court review. Review was instead
by high-level executive appointees with life tenure. However, given that
judicial review is now available, the functional equivalent in the executive
branch seems, at best, unnecessary.
[28] But see, Animal Legal Defense
Fund, 18 U.S.P.Q. at 1684 (BPAI is not the "alter ego or agent of the
Commissioner"). However, it is difficult to determine the exact implications of
the statement, e.g., in light of explicit authority to determine Board
composition. Perhaps it means, as suggested below, that the Commissioner cannot
tell any particular member what to write.
[29] The PTO request for comment indicates
that the Boards dispose of about 8000 cases annually.
[30] See supra notes 25-26 and
accompanying text.
[31] See the position attributed to the
Commissioner, as discussed supra note 9.
[32] Id. See also, supra, at notes 4
and 13-20.
[33] See, e.g., Ricardo Davila-Bardales
v. Immigration & Naturalization Ser., 27 F.3d 1, 5 (1st Cir. 1994):
[T]reating virtually identical legal issues differently in different cases,
without any semblance of a plausible explanation, raises precisely the kinds of
concerns about arbitrary agency action that the consistency doctrine addresses
(at least where the earlier decisions... contained fully reasoned explications
of why a certain view of the law is correct).
[34] 5 U.S.C. § 557(b): "On appeal from
or review of the initial decision, the agency has all the powers that it would
have in making the initial decision...."
[35] See generally, Debra Cassens Moss,
Judges Under Fire, A.B.A.J. 56, Nov. 1991. See also, Nash v.
Bowen, 869 F.2d 675 (2d Cir. 1989) and Ex parte Holt, 19 U.S.P.Q.2d 1211, 1214
(BPAI 1991).
[36] In this vein, see Martin v.
Occupational Safety and Health Review Commission, 111 S.Ct. 1171.
Field's course page
Revised May 27, 2002 |