From Casetext: Smarter Legal Research

CREO PRODUCTS INC. v. PRESSTEK, INC.

United States District Court, D. Delaware
May 11, 2001
C.A. No. 99-525-GMS (D. Del. May. 11, 2001)

Opinion

C.A. No. 99-525-GMS

May 11, 2001

Josy W. Ingersol, Esq. and Christian Douglas Wright, Esq. of YOUNG CONWAY STARGATT TAYLOR, LLP, Wilmington, Delaware. Of Counsel: Robert G. Krupka, Esq., Boaz M. Brickman, Esq., and Mark H. Cohen, Esq. of

KIRKLAND ELLIS, Los Angeles, California; Emily Bab, Esq. of KIRKLAND ELLIS, New York, New York. Attorneys for Plaintiff and Counterclaim Defendant.

David S. Eagle, Esq. and Denise S. Kraft, Esq. of KLEHR, HARRISON, HARVEY, BRANZBURG ELLERS LLP, Wilmington, Delaware. Of Counsel: Daniel S. Ebenstein, Esq., Ira E. Silfin, Esq., and W. Scott McClave, Esq. of AMSTER, ROTHSTEIN EBENSTEIN, New York, New York. Attorneys for Defendant and Counterclaim Plaintiff.


MEMORANDUM OPINION


I. INTRODUCTION

On August 12, 1999, Creo Products, Inc. ("Creo") filed a declaratory judgment action claiming that (1) two patents belonging to Presstek, Inc. ("Presstek"), U.S. Patent Nos. 5,163,368 ("the `368 patent") and 5,174,205 ("the `205 patent") are not enforceable and (2) that it does not infringe them. Presstek filed counterclaims on September 22, 1999, alleging contributory and inducing infringement.

Both parties timely answered and subsequently amended their pleadings.

The court has issued two Markman orders construing the patents at issue (D.I. 64-65) and the case is set down for a five day bench trial to commence on June 25, 2001. Presently before the court are Creo's three motions for summary judgment. In its first motion (D.I. 111), Creo first argues that the on-sale bar of 35 U.S.C. § 102(b) renders claims 1-4, 7, 16-19 of the `368 patent and claims 11, 15, 16, 23 and 26 of the `205 patent invalid. Creo also contends that Presstek's inequitable conduct before the Patent Trademark Office ("P.T.O.") makes the `368 and `205 patents unenforceable. Creo's second motion (D.I. 107) seeks a declaration of non-infringement of both patents. Finally, in its third motion (D.I. 92), Creo contends that since Presstek impermissibly broadened the `368 patent during reexamination before the P.T.O., it is invalid and unenforceable. The first and second motions present genuine issues of material fact which will result in their denial. The court will take Creo's third motion for summary judgment under advisement.

Creo requested the P.T.O. reexamine both the `368 and the `205 patents. The P.T.O. issued Reexamination Certificates on August 24, 1999, and October 5, 1999, respectively. Since the court will not discuss the differences between the original `205 patent and the Reexamined `205 patent in detail, all references to the "`205 patent" and the "`368 patent" in this memorandum opinion refer to the reexamined patents unless otherwise indicated.

As is explained below in section IIIC, the court declines to rule on any impermissible broadening of the original `368 patent on reexamination. Instead, the court will grant the outstanding requests for oral argument and hear counsel on this issue at a later point in the proceedings.

II. STANDARD OF REVIEW

The court can only grant summary judgment if there are no genuine issues of material fact and the moving party is entitled to judgment as a matter of law. See Fed.R.Civ.P. 56(c); see also Atmel Corp. v. Information Storage Devices, Inc., 198 F.3d 1374, 1378 (Fed. Cir. 1999). An issue is "genuine" if, based on the evidence, a reasonable jury could return a verdict in favor of the non-moving party. See Pfizer Inc. v. Elan Pharmaceutical Research Corp., 812 F. Supp. 1352, 1358 (D. Del. 1993) (citing Anderson v. Liberty Lobby, Inc., 477 U.S. 242, 248 (1986)). A fact is "material" if, under the governing law, it might affect the outcome of the case. See Procter Gamble Co. v. Paragon Trade Brands, Inc., 61 F. Supp.2d 102, 106 (D.Del. 1996) (citing same). To raise a genuine issue of material fact, the nonmovant "need not match, item for item, each piece of evidence proffered by the movant but simply must exceed the `mere scintilla' [of evidence] standard." See Petruzzi's IGA Supermarkets, Inc. v. Darling-Delaware Co., 998 F.2d 1224, 1230 (3d Cir. 1993) (citations omitted). The nonmovant's evidence, however, must be sufficient for a reasonable jury to find in favor of the party, given the applicable burden of proof. See Anderson, 477 U.S. at 250; Armbruster v. Unisys Corp., 32 F.3d 768, 777 (3d Cir. 1994). With these standard in mind, the court will address Creo's motions seriatim.

Since the court will issue findings of fact at the conclusion of the bench trial in this case, it declines to characterize the record at this point beyond pointing out issues relevant to the instant motions. As a result, this memorandum opinion does not contain a background section.

III. DISCUSSION

A. Creo's Motion on Invalidity and Unenforceability

1. The On-Sale Bar of 35 U.S.C. § 102(b)

Creo asserts that Presstek violated 35 U.S.C. § 102(b) which prohibits granting a patent for an invention that was "on sale" in the United States more than one year before the patent application date. See 35 U.S.C. § 102(b). The "critical date" in a Section 102(b) inquiry is exactly one year before a patent application is filed. See id. The on-sale bar applies when two conditions are satisfied before the critical date of one year before the filing date of the application: (1) a product embodying the claimed invention is the subject of a commercial offer for sale and (2) the claimed invention is ready for patenting. See Pfaff v. Wells Electronics, Inc., 525 U.S. 55, 67 (1998). A claimed invention is ready for patenting if it is reduced to practice or if there is "proof that prior to the critical date the inventor had prepared drawings or other descriptions of the invention that were sufficiently specific to enable a person skilled in the art to practice the invention." See id. Whether an invention was on sale more than one year before the patent's application date is a question of law for the court to decide based on underlying factual determinations. See Abbot Lab. v. Geneva Pharm., Inc., 182 F.3d 1315, 1317 (Fed. Cir. 1999); Ferag AG v. Quipp Inc., 45 F.3d 1562, 1566 (Fed. Cir. 1995). Since Presstek applied for the `368 and `205 patents on January 9, 1991, the relevant date for the court is January 9, 1990. Presstek's patents are invalid if, prior to that date, Presstek put the products at issue "on sale". In support of its motion, Creo first identifies two January 31, 1989 letter agreements between Presstek and Multigraphics. Next, it cites a January, 1989 draft agreement between Presstek and Multigraphics. Creo also highlights a statement by the head Research and Development for Heidelberg, Wolfgang Pfizenmaier, that Presstek offered for sale its Direct Imaging System for incorporation into Heidelberg's press. Finally, Creo points to a December 7, 1989 agreement between Presstek and Heidelberg.

The court's task, at this stage in the proceedings, is not to determine which party's view of the facts is more persuasive. Rather, the court should deny summary judgment if, based on the underlying facts, it finds that Creo has not established by clear and convincing evidence that "there was a definite sale or offer to sell more than one year before the application of the subject patent[s], and that the subject matter of the sale or offer to sell fully anticipated the claimed invention or would have rendered the claimed invention obvious by its addition to the prior art." See STX LLC v. Brine, Inc., 211 F.3d 588, 589 (Fed. Cir. 2000) (internal quotations omitted) (citing cases).

As previously noted, the court may not find an on-sale bar unless convinced that Creo has satisfied the two prong test established by the Court in Pfaff. Initially, it does not appear that the first Pfaff condition has been satisfied. That is, it is not clear that there were definite offers for sale between Presstek and Multigraphics. The court will first look at the letter agreements between Multigraphics and Presstek. One of the January 31, 1999, letters appears to be for the sale of Eagle subassemblies and parts by Multigraphics for a press being developed by Presstek. The other letter discusses an agreement between Multigraphics and Presstek for incorporation of two Presstek systems into a Multigraphics Press. Although these agreements are signed, the court finds that Presstek has presented sufficient evidence at this stage in the proceedings to overcome Creo's § 102(b) contention. For example, the schedules mentioned in the letter agreements, which appear to flesh out the terms and conditions, are not included in the record. Furthermore, there is at least an issue of fact as to whether the letter which discusses Multigraphics providing Presstek with equipment is a "sale" or "offer" by Presstek. There are even more questions regarding the January, 1989 draft agreement between Presstek and Multigraphics. First, and most obviously, the agreement is a "draft".

In its opposition to Creo's motion, Presstek presents affidavits from Richard A. Williams and Robert Howard. The affidavits highlight several areas of dispute concerning Creo's arguments as to the on-sale bar. In its reply brief, Creo argues that the court should ignore these affidavits since they are "eleventh hour declarations", contradict prior statements by the witnesses, violate discovery practices, and are "self-serving." Creo has not, however, filed a motion to strike the affidavits. The court believes that these affidavits raise evidentiary issues more properly dealt with by motions in limine or trial objections. Even then, while the court need not decide the issue at this time, it is not clear that the testimony of the affidavits is properly excludable. For example, Creo maintains that Williams' and Howard's declaration contains parol evidence about the state of the Presstek/Multigraphics relationship. First, Howard's affidavit does not challenge or augment the terms of the agreement; it merely provides additional evidence clarifying the meaning of the agreement's terms. Second, as mentioned below, there is a question as to whether these agreements are actually integrated.

It was never signed or dated. Second, although the draft mentions (and includes) several schedules, they are all blank. Although Creo makes several arguments in an attempt to convince the court that these agreements trigger the on-sale bar, the record does not present a "clear and convincing" picture of the extent and nature of the interactions between Multigraphics and Presstek.

The court next turns to Creo's evidence describing Presstek's relationship with Heidelberg. Creo offers the Pfizenmaier affidavit which states that during an October, 1989 visit to Presstek, the company "offered to sell me [sic] its direct imaging system to Heidelberg." In response, Williams and Howard "flatly deny" that such a statement was ever made. Furthermore, Presstek asserts there are credibility issues surrounding the Pfizenmaier affidavit. In fact, Presstek recites some of the same arguments made by Creo regarding the affidavits of Williams and Howard.

Presstek asserts that Pfizenmaier's affidavit contradicts earlier testimony in an arbitration proceeding involving Presstek and Heidelberg. This alleged discrepancy only underscores the court's earlier observation that these issues are best resolved at trial.

Finally, Creo states that the December 7, 1989, agreement between Presstek and Heidelberg was a "sale" or definite offer. The terms of the agreement, however, raise the possibility that the relationship between the parties was less mature. For example, the agreement states "[t]he purpose of these tests is to enable HEIDELBERG [sic] to decide on cooperation regarding joint development, manufacturing, and marketing of equipment utilizing the PRESSTEK [sic] Printing System." (emphasis added). Additionally, Williams and Howard characterize the agreement as nothing more than a "demonstration" which was intended to create "samples."

As the above discussion demonstrates, there are genuine issues of material fact as to whether the four transactions identified by Creo satisfy the first prong of the Pfaff test. Although the court will not discuss the second Pfaff step in detail, it finds that Presstek has at least raised a `scintilla' of evidence to suggest that the products that were the subject of the four transactions did not embody the technology at issue in this case. For example, Williams' affidavit states that "the devices which we had under development during 1988 and 1989, including our laboratory impression cylinder feasibility press, did not include the features or functions of the `368 or `205 Patent [sic] inventions, which were made after that period." In response, Creo states that Williams' assertion contradicts testimony of other Presstek employees. The court agrees and concludes that this alleged difference is another of the reasons why it must deny Creo's motion.

Williams' affidavit contains further averments that the technology that was the subject of the four transactions was not embodied in the products at issue. Indeed, Williams states that the image control system and surrounding techniques were not developed until 1990. Although much of Williams' affidavit compares the patent claims to the technology (something the court, as the finder of fact, ultimately must do), he does present a sufficient basis for the denial of Creo's motion.

2. Inequitable Conduct

An applicant for a patent commits inequitable conduct before the P.T.O. when he withholds or misrepresents information material to the patentability of his invention with an intent to deceive. See J.P. Stevens Co. v. Lex Tex Ltd., 747 F.2d 1553, 1559-60 (Fed. Cir. 1984). Inequitable conduct includes affirmative misrepresentations of a material fact, failure to disclose material information, or submission of false material information, coupled with an intent to deceive. See Baxter Int'l, Inc. v. McGaw Inc., 149 F.3d 1321, 1327 (Fed. Cir. 1998) (citing Nobelpharma AB v. Implant Innovations, Inc., 141 F.3d 1059, 1068-71 (Fed. Cir. 1998)). To establish unenforceability based on inequitable conduct the challenger must prove, by clear and convincing evidence, that material information was intentionally withheld for the purpose of misleading or deceiving the patent examiner. See Allied Colloids, Inc. v. American Cyanamide Co., 64 F.3d 1570, 1578 (Fed. Cir. 1995).

A determination of inequitable conduct requires a two step analysis. First, the trial court must determine whether the withheld information meets a threshold level of materiality. A reference is deemed material if there is a substantial likelihood that a reasonable examiner would consider it important in deciding whether to allow the application to issue as a patent. See id.; see also Manville Sales Corp. v. Paramount Sys., Inc., 917 F.2d 544, 552 (Fed. Cir. 1990) (stating "materiality does not presume intent, which is a separate and essential component of inequitable conduct").

After considering whether withheld information is material, the trial court must next determine whether the evidence establishes a threshold level of intent to mislead the P.T.O. See Baxter, 149 F.3d at 1327; Hebert v. Lisle Corp., 99 F.3d 1109, 1116 (Fed. Cir. 1996) (stating that "[i]ntent to deceive can not be inferred solely from the fact that information was not disclosed; there must be a factual basis for a finding of deceptive intent"). Thus, to satisfy the intent to deceive element of inequitable conduct, the conduct when viewed in light of all of the evidence (including evidence of good faith), must indicate sufficient culpability to require a finding of intent to deceive. See Paragon Podiatry Laboratory, Inc. v. KLM Labs, Inc., 984 F.2d 1182, 1189 (Fed. Cir. 1993).

The initial determinations of materiality and intent to deceive are questions of fact. See Halliburton Co. v. Schlumberger Tech. Corp., 925 F.2d 1435, 1439 (Fed. Cir. 1991). Once findings of fact are established, the court should then weigh the findings and their premises and decide, in the exercise of the court's discretion, whether to hold the patent is unenforceable. See ATD Corp. v. Lydall, Inc., 159 F.3d 534, 547 (Fed. Cir. 1998). If a court decides that inequitable conduct has occurred with respect to one or more claims during prosecution of the patent application, the entire patent is unenforceable. See Jack Frost Labs., Inc. v. Physicians Nurses Mfg. Corp., 901 F. Supp. 718, 729 (S.D.N.Y. 1995), aff'd, 124 F.3d 299 (Fed. Cir. 1997). In this case, Creo identifies several instances in which it believes that Presstek engaged in inequitable conduct before the P.T.O. The court need only discuss these areas briefly since it finds that Creo has failed to meet its burden in each situation.

First, Creo alleges that Presstek's violation of the on-sale bar means that the products at issue became part of the prior art. Since Presstek had a duty to present the P.T.O. with all prior art references, Creo maintains that failure to do so is inequitable conduct. As mentioned above, the court finds there are genuine issues of material fact regarding the on-sale bar. Since Creo has failed to meet its burdens under Pfaff, it must follow that it fails to meet its burden of demonstrating inequitable conduct insofar as it relates to the on-sale bar.

Second, Creo points to Presstek's failure to tell the P.T.O. about a Securities and Exchange Commission ("S.E.C.") registration statement which identified the January 31, 1989 agreements with Multigraphics as material for Presstek's sales and marketing activity. According to Creo, "Presstek should not be heard to argue that although these sale agreements were deemed material enough for the S.E.C., the inventors actually believed they were not material enough for the P.T.O. during prosecution." As mentioned above, however, Presstek has presented a `shred of evidence' to suggest that the subject matter of the Presstek/Multigraphics agreements was different than the `368 and the `205 patents. Thus, the court cannot conclude, on the record before it, that the only interpretation of Presstek's failure to notify the P.T.O. about the S.E.C. registration statement was that it intended to deceive.

Creo's third alleged instance of inequitable conduct is that Presstek changed the names of the inventors of the `368 patent to mirror the inventors of a prior patent. This argument is by negative inference. The prosecution history of the `368 patent reveals that the P.T.O. initially rejected several claims as obvious in light of the prior art. Presstek then removed the `211 patent from the prior art by changing the inventors of the `368 patent. In so doing, Presstek acted in accordance with 35 U.S.C. § 102(a), (e), (f), and (g). According to Creo, Presstek's change of the inventive entry of the `368 patent rather than attempting to overcome the prior art objections on the merits demonstrates an intent to deceive the P.T.O. Although Presstek has not proffered an explanation as to why it changed the inventors of the `368 patent, doing so was consistent with § 102. The P.T.O. was aware of the switch of inventors and did not challenge Presstek's action. It appears to the court that Creo is attempting to paint conduct contemplated by § 102 and accepted by the P.T.O. (and Creo) as inequitable. To find Presstek engaged in inequitable conduct for following the dictates of § 102 would present it with a Hobson's Choice; merely following § 102 could lead to a finding of inequitable conduct. Since Creo offers no evidence to suggest that the change of inventors either violated § 102 or did not conform to the fact of invention, the court declines to enter summary judgment on this issue.

The patent referred to as "the prior patent" is U.S. Patent No. 4,936,211 ("the `211 patent"). Although Creo only made this argument explicit in the inequitable conduct section of its reply brief, it also made the identical argument regarding the on-sale bar. The court did not address it, however, since found that there were genuine issues of material fact as to whether the Presstek Imaging System was commercialized.

For example, in its reply brief Creo states ". . . there is nothing in the record to deny that Williams, the other inventors or the prosecuting attorney were all on notice that the Examiner believed that the `211 patent was a material prior art reference to the `368 patent" (emphasis in original). This statement may be true but it is beside the point. Although the P.T.O. may have considered the `211 patent prior art at some point in the prosecution, Presstek properly removed it. Subsequent to the change of inventors in the `368 patent, Creo does not point to anything in the record to suggest that the P.T.O. continued to believe the `211 patent was prior art.

The court finds that Creo has failed to carry its burden of demonstrating, by clear and convincing evidence, inequitable conduct by Presstek in prosecuting the `368 and `205 patents. Since there are genuine issues of material fact on the record — including the credibility of witnesses — the court cannot find Presstek engaged in conduct which would make the `205 and `368 patents invalid and unenforceable.

B. Creo's Motion for Non-Infringement

Creo's second motion for summary judgment is on Presstek's counterclaim for contributory or inducing infringement of the `205 and the `368 patents. As Creo correctly points out, Presstek must demonstrate that the Heidelberg presses incorporating Creo's direct press imaging system directly infringe the asserted patents. Literal infringement of a claim occurs when every limitation recited in the claim appears in the accused device, i.e., when "the properly construed claim reads on the accused device exactly". See KJC Corp. v. Kinetic Concepts, Inc., 223 F.3d 1351, 1358 (Fed. Cir. 2000). A device that does not literally infringe a claim may nonetheless infringe under the doctrine of equivalents if every limitation in the claim is literally or equivalently present in the accused device. See Sage Products, Inc. v. Devon Indus., Inc., 126 F .3d 1420, 1423 (Fed. Cir. 1997). A claim limitation is equivalently present in an accused device if only "insubstantial differences" distinguish the missing claim limitation from the corresponding elements of the accused device. See id. A determination of infringement, whether literal or under the doctrine of equivalents, is a factual matter normally reserved for a fact finder. See Tate Access Floors, Inc. v. Maxcess Techs. Inc., 222 F.3d 958, 964 (Fed. Cir. 2000). Although the court's Markman order construed various claims and limitations, the court will address only those aspects of the `205 and `368 patents which the parties discuss in their briefs in deciding the present motion.

Although this may seem like an extra step, the heart of the court's analysis is still a comparison of the accused product with the patents in suit; the only difference is that the infringed product does not stand alone. Simply put, if the record demonstrates that Creo's DOP system does not include at least one claim limitation in an asserted patent, then it cannot be found to have infringed that patent. See Spectrum Int'l, Inc. v. Sterlite Corp., 164 F.3d 1372, 1379 (Fed. Cir. 1998).

The Federal Circuit recently stated "[i]n our prior cases, we have used both the term `element' and the term `limitation' to refer to words in a claim. It is preferable to use the term `limitation' when referring to claim language and the term `element' when referring to the accused device." See Festo Corp. v. Shoketsu Kinzoku Kabushiki Co., Ltd., 234 F.3d 558, 564 n. 1 (Fed. Cir. 2000) (en banc), petition for cert filed April 9, 2001, No. 00-1543 (internal citations omitted). Although the court will follow the Federal Circuit's lead and use "element" and "limitation" differently, it will not correct quotes from the parties' briefs or from pre-Festo cases.

1. The `205 Patent

Presstek asserts Creo's DOP system infringes claims 11, 15-16, 23 and 25 of the `205 patent. Since the independent claims — 11 and 23 — share a common limitation, if the court finds non-infringement of that limitation, none of the claims can be infringed. Among all the limitations in claims 11 and 23, Creo highlights "a series of axially sequential, circumferential imaging swaths". The court, in its Markman order, construed the aforementioned term to mean "a series of image swaths formed sequentially along the axis of the plate cylinder." See D.I. 65 at ¶ 5. Since the court finds that there are genuine issues of material fact as to whether Creo's DOP system reads literally or under the doctrine of equivalents on the identified language, the motion must fail.

Claims 15-16 are dependent on claim 11. Claim 25 is dependent on claim 23. Since dependent claims contain all the limitations of independent claims (plus others), if the court finds the accused product does not infringe claims 11 and 23, then it is must follow that the accused product does not infringe claims 15-16, and 25. See generally, Robert L. Harmon, Patents in the Federal Circuit 246 (4th ed. 1999); cf. Corning Glass Works v. Sumitomo Elec. U.S.A., Inc., 868 F.2d 1251 (Fed. Cir. 1989) (articulating "All Limitations Rule" which requires that every limitation in claim must be infringed for finding of infringement).

a. Literal Infringement

The parties spend much time discussing the differences between the `205 patent and a prior art reference — U.S. Patent No. 4,591,880 ("the `880 patent" or "the Mitsuka reference"). Although it is clear that the `205 and the `880 patent operate differently, the record does not support the statement that the Creo's DOP imaging system is sufficiently similar to the Mistuka reference to dispel all issues of material fact regarding any infringement of the `205 patent.

The `880 patent was not before the P.T.O. as prior art during the original patent examination. During the reexamination, the P.T.O. originally rejected claims 11 and 23 of the `205 patent in light of the Mitsuka reference. In response, Presstek amended claims 11 and 23. See infra for a discussion of the `205 patent prosecution history as it regards the `880 patent.

Although Creo points to the deposition testimony of John Kline, an inventor of the `205 patent, his testimony merely establishes that the `880 and `205 patents describe two different techniques of imaging. It is beside the point whether the `205 patent and the Mitsuka reference have significant differences; the `880 patent is not accused of infringing the `205 patent.
Therefore, the court cannot conclude that Kline's statement that there are two different ways of imaging eliminates all genuine issues of material fact regarding the accused product and the patent at issue.

At this juncture in the litigation, the court finds that Presstek has adduced evidence which could suggest that Creo's DOP system operates more like the `205 patent than the `880 patent. The facts are not "undisputed" as Creo suggests. For example, the parties disagree as to whether Creo's DOP head moves continuously along the axis of the plate cylinder. Although Creo points to a deposition by James A. Madeley, a principal engineer at Creo, his statements regarding cylinder movement are conclusory and do not explain the underlying technology. Instead, he merely states that Creo's DOP imaging process is "similar" to the `880 patent.

Although it did not move for summary judgment, Presstek also asserts Creo does not dispute several key aspects of the operation of the accused product. By denying Creo's motion, the court is not adopting Presstek's arguments. On the contrary, the court notes that both sides have proffered sufficient evidence to warrant a trial on the merits.

Madeley's declaration also states that "[t]he motor used in Creo's DOP system cannot be run in stepped mode unless the software is modified to allow stepped operation" but that at present it cannot so operate (and there are no plans to implement stepped operation). Although Presstek did not address this issue, the court believes the ability of the accused product to "run in stepped mode" raises a genuine issue of material fact regarding infringement.

In reply, Presstek offers deposition testimony from Madeley and Daniel Gelbart, Creo's president, to suggest that imaging is not "continuous". This disagreement leads to a dispute over whether the "swaths" in Creo's DOP system are created sequentially or in a helical pattern. Finally, Presstek points to other aspects of Creo's DOP system — such as firmware functions and swath counters — which Creo does not address. The operation of these other components of the DOP system also creates an issue of material fact.

Part of this disagreement appears to be over how Creo's DOP system defines a swath and how it relates to a "stroke" and a "stripe". Presstek points to a Creo document entitled, "Digital Imaging Press, Geometric Correction" which defines a "swath" as "[t]he set of pixels written in one rotation of the plate cylinder" but defines a "stroke" as [t]he set of pixels written in parallel by the head." Creo highlights a document entitled, "DOP Project Glossary" which defines a "swath" as "[o]ne drum rotation of the spiral image written by the optics" and a "stroke" as "[o]ne horizontal stip one pixel high by one swath width stroke." The DOP Project Glossary also defines a "stripe" as "[o]ne vertical band of pixels equal to the width of the stroke." The parties do not discuss the relationship between a "swath," "stripe," and "stroke". Such evidence might assist the court in determining either literal infringement or infringement under the doctrine of equivalents.

b. The Doctrine of Equivalents

Creo argues that Presstek cannot maintain its claims of infringement under the doctrine of equivalents in light of the recent Federal Circuit pronouncement that:

When a claim amendment creates prosecution history estoppel with regard to a claim element, there is no range of equivalents available for the amended claim element. Application of the doctrine of equivalents is completely barred. . . . Festo, 234 F.3d at 569. In Festo, the Federal Circuit held that "once an element of a claim is narrowed for a reason related to patentability, that element's scope of coverage will not extend beyond its literal terms." See id. In an attempt to provide guidance, the Festo court established a four part test district courts must follow: (1) the court must determine which claim limitations are alleged to be met by equivalents, (2) the court must ascertain whether those limitations were amended during prosecution of the patent, (3) for amended claims, the court must consider whether the amendments "narrowed the literal scope of the claim" and (4) the patentee may use the patent prosecution history to show that the amendment was unrelated to one of the statutory requirements for patentability. See id. at 586-87.

As with all broad pronouncements, the devil is in the details. In the immediate aftermath of Festo, district courts (and litigants) are struggling to interpret its breadth and applicability. Although the number of courts examining Festo is slowly growing, none of them have directly addressed the issues raised in this case. Upon reading the parties submissions, researching the evolving case law, and, most important, considering the broader policies implicated by the Federal Circuit's decision, the court believes Creo reads Festo too broadly. Therefore, it will allow Presstek to assert a doctrine of equivalents theory for the `205 patent.

Although Festo does not require patent prosecution issues to be decided before trial, other courts have suggested doing so is the better procedure in jury cases. See Alcara Biosciences, Inc., v. Calpier Tech. Corp., 125 F. Supp.2d 391, 399, n. 7 (N.D.Cal. 2000) (commenting that deciding pre-trial whether party can pursue doctrine of equivalents theory would be more efficient since it would prevent having jury find literal infringement and then having court consider a Festo motion which could result in the court directing a verdict).

The parties to not dispute that Presstek amended the original `205 patent during the P.T.O. Reexamination. The P.T.O. initially rejected several claims of the `205 patent as failing to distinguish the `880 patent. In an "Office Action" dated December 8, 1997, the Examiner stated: It is noted that in Patentee's [Presstek's] disclosed device, the cylinder completes multiple rotations while the imaging head slowly scans parallel to the cylinder's axis.

In the Lewis and Mitsuka devices, the imaging head is driven over multiple scans while the cylinder completes one rotation. However, despite Patentee's assertion . . . that these are completely different problems, there is no language in any of the claims which addresses the difference. For example, claim 11 recites `means for providing relative motion between the cylinder and the discharge means' which is broad enough to cover both situations.

It appears, therefore, that the Examiner was concerned that the `205 patent, as written, was too broad and required Presstek to limit the claims regarding the motion of the imaging head and cylinder. In response to the Examiner's rejection, Presstek amended (for the second time) claims 11 and 23 to read, in part, ". . . a series of axially sequential, circumferential imaging swaths, each swath comprising a series of circumferentially spaced-apart image spots formed during one revolution of said cylinder, the array of image spots corresponding to the image represented by the image information."

Since Presstek explained this amendment in two ways, the court is a bit unclear what prior art Presstek's action was supposed to address. First, Presstek, quoting the Examiner's aforementioned statement, replied:

We assume that the Examiner intended to refer to Moyroud et al. rather than Lewis, and we have introduced language into the original independent claims specifying multiple rotations and imagined in a series of axially sequential, circumferential imaging swaths. For the following reasons, we submit that these claims, as amended fully distinguish over [sic] the prior art.

From the above, it is unclear whether Presstek's amendment was designed, in part, to overcome the Moyroud et al. reference. Addressing the Mistuka reference later in the same document, Presstek stated:

The Mitsuka reference appears to contemplate periodic delay in the onset of imaging in order to correct for cumulative positional deviations between scanning and recording heads. That is, [sic] because of mismatch between the beam widths of the scanning and recording devices, their mutual alignment varies; accordingly, every few lines the onset of recording is delayed to bring the position of the recording head into line with that of the scanning head. As the Examiner notes, Mitsuka contemplates s [sic] system wherein `the imaging head is driven over multiple scans while the cylinder completes one rotation.' This mode of operation differs from the sequential, circumferential scans that characterize the present invention and are set forth in the foregoing amendment.

Given these two different citations to prior art references, the court, at this stage in the proceedings, cannot say that the additional language Presstek added was merely to overcome the Mitsuka reference.

Finally, the Examiner's Notice of Intent to Issue Reexamination Certificate cites different (but similar) language from a later revised amendment. The only difference between the language the Examiner cites — the revised amendment — and an earlier amendment is a further explanation of the difference between how specific claims differ from the Mitsuka reference. In particular, the cited language includes a passage stating, "[t]his language [the additional limitation] represents a clear departure from the disclosure of Mitsuka et al. . . . furthermore, Mistuka et al. — contemplates synchronous, analog recording and output . . . This is inconsistent with the notion of discrete image spots, intervals between spots, positional correction of individual spots, and spot offset in accordance with present claims."

Based upon the above mentioned `205 patent prosecution history, Creo argues Presstek's amendment to claims 11 and 13 distinguished the Mitsuka reference because the "helical swaths created by the continuous motion of Mitsuka's imaging head along the axis of the cylinder `differ[s] from the sequential, circumferential scans that characterize the present invention." In response, Presstek states that although it amended claims 11 and 23 to overcome the Mitsuka reference it did so for a specific purpose unrelated to swath creation. In support of this proposition, Presstek notes that the patent prosecution history does not disclose that the Examiner or Presstek discussed what the imaging head creates as it moves along the cylinder. In other words, Presstek claims that although the Mitsuka invention may create helical swaths, the result of the movement of the imaging head and the cylinder concerned the Examiner less than the fact of motion. Putting aside the issue of whether the amendment responded to the `880 patent or Moyroud et al, the court accepts Presstek's argument that the patent prosecution history does not disclose any reference to overcoming prior art regarding the shape of swaths. Nevertheless, Presstek did amend the `205 patent to limit the scope of claims 11 and 23 to overcome a prior art reference.

Furthermore, there does not appear to be any dispute that the amendment was related to patentability. Rather than argue that the additional language was not intended to overcome a prior art reference, Presstek essentially argues that they should be selectively estopped from using the doctrine of equivalents. The Federal Circuit, however, stated in Festo that ". . . a narrowing amendment made for any reason related to the statutory requirements for a patent will give rise to prosecution history estoppel with respect the amended claim element." 234 F.3d at 567 (emphasis added). Given this language, at first glace, it would appear that as to claims 11 and 23 of the `205 patent, Presstek may only assert a claim of literal infringement.

Presstek's first response to the Examiner's rejection was to argue that the original claims were different than the prior art. The Examiner explicitly considered and rejected this argument. As a result, Presstek added additional language to the claims. Adding further limitations to a claim is the clearest indication that the patentee is limiting the scope of the patent. See, e.g., Bai v. LW Wings, Inc., 160 F.3d 1350, 1355 (Fed. Cir. 1998) (stating that addition of claim limitation during patent application process which clearly differentiates prior art conclusively invokes prosecution history estoppel).

Notwithstanding the language in Festo, the court is not convinced that the Federal Circuit intended such a harsh result. In Festo, the subject matter of the amendment and the doctrine of equivalents argument was the same. The dispute was less over the results of the amendment than the reasons for (and result of) including it. See Festo, 234 F.3d at 566-78. Creo's position appears to be that the court should extend Festo to include estoppel by implication. That is, the court should conclude that the limitation of the movement of the imaging head vis á vis the cylinder means that the image created must be a helical (as opposed to circumferential) swath. The Federal Circuit's choice of the "complete bar" approach over the "flexible bar" approach" does little to resolve the distinction that centers on the "range of equivalents" available for a limitation after amendment. Simply put, the issue in this case is not the "range of equivalents" for a particular limitation but whether the Festo bar covers implicit changes in a limitation.

By way of illustration, suppose a patent originally taught that the speed of a motor must be at least 50 miles per hour. During the patent prosecution history, however, the inventors changed the limitation to read 25 miles per hour in order to overcome prior art. Under the "flexible bar approach," the patentees would not be able to use the doctrine of equivalents for motors running 26 to 50 miles per hour, but the court would decide whether it could claim equivalence for motors running 25 miles per hour or less. In contrast, the complete bar — which Festo adopted — disallows equivalence arguments all together; only motors which run at 25 miles per hour could infringe. See, e.g., Control Resources, Inc. v. Delta Elec., Inc., 133 F. Supp.2d 121, 135-37 (D.Mass. 2001) (discussing amendment which changed fan speed).

As one commentator noted, "[w]hile the Festo decision purports to eliminate uncertainty regarding the reach of prosecution history estoppel, it raises other uncertainties as to the application of the decision itself. At least part of the uncertainty created by the Festo opinion relates to the reach of the phrase `substantially related to patentability.'" Bruce J. Rose John A. Wasleff, Was Festo Really Necessary?, 83 J. Pat. Trademark Off. Soc'y 111, 127 (Feb. 2001). No post-Festo decision has explicitly addressed the situation presented in this case. See, e.g, Lockheed Martin Corp. v. Space Sys./Loral, Inc., ___ F.3d ___, No. 00-1310, 2001 WL 436028, at *11 (Fed. Cir. Apr. 30, 2001) (applying Festo to reject "flexible bar" approach advocated by appellants); Biovail Corp. Int'l, v. Andrx Pharma, Inc., 239 F.3d 1297, 1303-04 (Fed. Cir. 2001) (holding case "falls squarely within the reach of Festo" where reason for amendment and question of equivalence was same); Pioneer Magnetics, Inc. v. Micro Linear Corp., 238 F.3d 1341, 1345-46 (Fed. Cir. 2001) (rejecting patentee's proffered reasons for amending claim as unrelated to patentability); Control Resources,133 F. Supp.2d at 135-37 (applying Festo since amendment, which limited speed of fan, explicitly disclaimed prior art); Pinkholtz v. Rainbow Tech., Inc., 125 F. Supp.2d 1156, 1163 (N.D.Cal. 2000) (finding amendment narrowed scope of claim where prior art and amendment both explicitly addressed location of claimed device); Honeywell Int'l, Inc. v. Hamilton Sunstrand Corp., Civ.A. No. 99-309-GMS, 2001 WL 66348, at *3-*7 (D.Del. Jan. 8, 2001) (declining to apply Festo since patentee merely changed dependent claims to independent claims rather than surrendering them).

Rather than woodenly applying Festo, the court will adopt the more nuanced approach articulated by Judge Breyer of the United States District Court for the Northern District of California in Alcara Biosciences, Inc., v. Calpier Tech. Corp., 125 F. Supp.2d 391 (N.D.Cal. 2000). In addition to discussing Festo, Judge Breyer cogently describes the state of prosecution history estoppel prior to Festo, the rationales underlying the doctrine, and the relevant Supreme Court precedent. Judge Breyer also conducted both a "preliminary" and a more detailed Festo analysis.

He first discussed the prosecution history of the claim in dispute and found that although Alcara did amend one limitation of the claim, it did not amend another limitation. See Alcara 125 F. Supp.2d at 399. Since the amendment limited the claim and was related to patentability, Festo's bar appeared to apply. See id. Next, Judge Breyer posited a question the Federal Circuit did not address in Festo: whether the "complete bar" to the doctrine of equivalents applies when only a portion of claim language was amended during the patent prosecution and the parties dispute whether the amendment altered one limitation within a claim or a series of limitations? See id. at 401. Finding Festo provided no "explicit direction" on this issue, Judge Breyer examined the underlying policy considerations as announced by the Federal Circuit. See id. at 401-03.

Similarly, the court has already found that the patent prosecution history demonstrates that Presstek's amendments to the language of claims 1 and 11 of the `205 patent explicitly limit the movement of the imaging head — not the image subsequently created. Therefore, the court — like Judge Breyer — will look to see whether barring Presstek from asserting the doctrine of equivalents for the shape of the image on the cylinder will further the policy considerations underlying Festo.

In adopting the "complete bar" approach, the Festo court focused on the public notice function of patents and the desirability of not having the public speculating on the subject matter of a narrowing amendment. See Festo, 234 F.3d at 576-77. By limiting patentees to literal infringement whenever a limitation is changed during patent prosecution, parties can "ascertain the true scope and the value of the patent without having to resort to litigation to obtain a case by case analysis of what subject matter the claims can cover . . . and neither . . . [party] is required to pay the [associated] transaction costs to determine the exact scope of the subject matter the patentee abandoned. . . ." See id. at 577. The key to the entire analysis, therefore, is that the public should not be left to guess the result of amendments made during patent prosecution.

Presstek's amendment during patent prosecution does not trigger the concerns raised in Festo. Ironically, estoppel by implication circles back to the problems the Federal Circuit identified regarding the "flexible bar". Recognizing such a rule would open the door to allow accused infringers to claim that even a minor and narrowly focused amendment would limit patentees to asserting literal infringement of an entire claim. Additionally, such a rule would have the unintended consequence of dissuading potential patentees from amending their claims in any way since the potential result would be that an accused infringer could easily prevent the assertion the doctrine of equivalents. This would ultimately lead to fewer patents being issued and perhaps eventually stifle innovation. Indefiniteness not only harms the public, but it also fails to adequately protect patentees when defending their inventions against unlawful infringement.

Courts need to strike an appropriate balance between the legitimate needs of both the public and inventors. The Alcara court's statement regarding a different — but analogous — result is apt: If . . . an indiscriminate application of Festo were proper, perhaps the Federal Circuit would have extended the opinion beyond individual claim limitations. The court could have held that any amendment to any limitation in a claim bars any range of equivalents as to all limitations in a claim, even those that were not amended. Under such an expansive rule, once a patent applicant amended any portion of any claim for any reason related to patentability, the patentee could only claim literal infringement as to all of the limitations in the claim and would not be entitled to any range of equivalents whatsoever. That the court declined to reach so far indicates that the court was comfortable with making the public read the prosecution history carefully to see which precise segment of a claim was amended and that the court envisioned a narrower understanding of prosecution history estoppel.

Alcara, 125 F. Supp.2d at 402 (emphasis added). Adopting Creo's broad reading of Festo would result in giving accused infringers a virtually unlimited weapon with which to attack otherwise valid patents and avoid otherwise infringing activities. Until directed otherwise, the court declines to sanction such a result. The court believes doing so would violate the spirit, if not the letter, of the Federal Circuit's holding in Festo.

Finally, although the parties do not address the theory of argument based estoppel in their briefs, the court believes this doctrine is applicable in this situation. Cf. Alcara, 125. F. Supp.2d 391, 398 n. 6 (citing Festo and stating "[a]lthough the absence of an amendment precludes the application of amendment based estoppel, a court still may need to consider whether the statements made during the prosecution history give rise to argument based estoppel") (internal quotations and citations omitted). There is no question that Presstek is estopped from using the doctrine of equivalents as to the movement of the cylinder via á vis the imaging head since Presstek explicitly disclaimed the movement associated with the Mitsuka reference. Indeed, Presstek does not argue that the amendment was made for any other reason than overcoming prior art.

b. The `368 Patent

In contrast to the `205 patent, the parties only briefly address the `368 patent. In its motion, Creo's argues that it does not infringe the `368 patent because, given the court's interpretation of limitation c(i) of claim 1 of the `368 patent, its DOP system does contain a "dot position look up table that stores the X and Y coordinates corresponding to substantially all dot positions on each plate." Creo believes that since its system lacks this "essential element" it cannot either literally infringe any of the claims asserted against it or infringe under the doctrine of equivalents. Based upon these contentions, Creo asserts its entitlement to summary judgment. Presstek, of course, opposes the motion on the grounds that Creo's DOP system does, indeed, contain a "dot position look up table."

Presstek has alleged Creo has infringed claims 1-4, 7, and 16-19 of the `368 patent. Creo states that since claims 2-19 are all dependent (either directly or indirectly) on claim 1, it is entitled to a summary finding of non-infringement on all claims of the `368 patent asserted against it.

The court has already ruled that the term "dot position look up table" takes its ordinary meaning (D.I. 64 at ¶ 7). Therefore, the court's present task is to apply its construction to the accused invention to determine whether there is any genuine issue of material fact regarding infringement. At this point in the case, there are genuine issues of material fact as to whether Creo infringes the `368 patent literally or under the doctrine of equivalents. Although the parties lump literal infringement and the doctrine of equivalents together in their submissions, the court will briefly discuss each subject separately.

Creo asserts that the court's order found that the entire phrase "dot position look up table that stores the X and Y coordinates corresponding to substantially all dot positions on each plate" takes its ordinary meaning. The court's order stated "[c]laim 1 paragraph c.i requires no construction beyond the claim language itself. The term `dot position look-up table' takes its ordinary meaning."

Creo's central argument appears to be that a "dot position look-up table" must be different from an "image signal" since the former relates to pre-stored information, while the latter refers to data relating to the image to be printed. Since the DOP system only contains an image signal, Creo contends that it cannot infringe limitation c(i) of claim 1 of the `368 patent. The court finds that Presstek has adduced enough evidence to put the relationship between the accused device and the patent limitation "dot position look-up table" at issue. First, the parties' experts differ on characterizing how the DOP operates in terms of translating information. Compare Madeley Decl. ¶ 4 with Bernbary Decl. ¶¶ 6 and 8-18. Second, Creo does not adequately rebut Presstek's arguments by specific reference to the DOP system operation. Therefore, the court will not grant Creo's motion for summary judgment as to literal infringement.

Although Creo spends much time parsing the language of the patent and emphasizing the deposition testimony of a named inventor of the `368 patent, its own expert, Madeley, merely makes a conclusory assertion that the DOP system does not fit within the court's definition of a "dot position look-up table". Presstek's expert, in contrast, offers a detailed analysis of how the DOP system allegedly operates. The court notes that the deposition testimony of Kline cited by Creo may offer yet another interpretation. At minimum, the court is not convinced that Creo has demonstrated the absence of any genuine issues of material fact.

As mentioned above, Creo spends much of its brief analyzing the language of claim 1 to demonstrate that the DOP system does not contain a "dot position look-up table". The court has already construed the limitation c(i) of claim 1 in its Markman order and declines to do so again.

Furthermore, the court believes that it cannot grant summary judgment on doctrine of equivalents grounds just because the accused invention allegedly does not contain a "dot position look-up table." On the contrary, the purpose of the doctrine of equivalents is to prevent a finding of non-infringement if the accused device merely contains "insubstantial differences" from the claims asserted. Creo has not demonstrated why the allegedly separate storing of dot position and image data by its DOP system is `substantially different' from the method contained in claim 1 of the `368 patent. For example, although Kline testified that a "dot position look-up table" is a file describing pixel locations and "image data" is stored in a different file, Creo does not explain — from an equivalence perspective — how or why this distinction is important. Although Presstek and Creo argue about the relationship of the DOP system's "Image Control Buffer" and five geometric correction parameters to claim 1 of the `368 patent, the court declines to attempt to resolve the issues raised at this time. Instead, the parties will have an opportunity to present their evidence and arguments to the court at trial (and beyond).

The court notes that Presstek uses this term to describe an aspect of Creo's DOP system but that Creo does not so refer to any aspect of its product. However, the court — like Creo — will, for the moment, use this term since merely doing so does not appear to create any material issues of dispute.

C. Creo's Motion on Claim Broadening of the `368 Patent on Reexamination In its third motion for summary judgment, Creo advances the argument that Presstek impermissibly broadened claim 1 of the `368 patent to overcome a P.T.O. rejection during the reexamination procedure by altering limitation c(iii) and adding limitation c(iv). As Creo correctly noted, the court declined to address this issue in its Markman order and left it open for Creo to re-argue its position at a later date. See D.I. 64 at n. 1 (explaining contours of dispute and refusing to rule on issue). Since the court is not obligated to decide the issue now and believes further discussion would assist it in reaching its decision, the court will take the motion under advisement, entertain oral argument, and rule on the issue before the issuance of a final order in this case.

To compare the original c.iii with the reexamined c.iii, the court will italicize the new language and bracket the deleted language. Limitation c.iii teaches, "means for offsetting, with respect to said x and y coordinates, the action of the discharge-source actuation means in accordance with the angular offset parameters to correct [imaging errors] the angular inconsistencies. Limitation c.iv, added on reexamination, teaches, "means for altering the length of the scan in accordance with the size difference parameters to correct the image-size inconsistencies."

Although Creo is correct that determining the scope of a reexamined claim is a question of law (i.e. claim construction), the court does not have to decide the matter at present. See generally Markman v. Westview Instruments, Inc., 52 F.3d 967 (Fed. Cir. 1995). Since this case is a bench trial, the court believes any prejudice to the parties in declining to address this issue is outweighed by the potential benefits of oral argument. Furthermore, the court gave the parties an opportunity to have a Markman hearing on claim construction. It seems the court can properly afford a similar opportunity on a similar issue.

In general terms, Creo's argument is that since "original claim 1 required the ability to correct all imaging errors disclosed in the specification . . . [but r]eexamined claim 1 only requires the ability to correct a subset of imaging errors." (emphasis in original). Presstek responds that "there is no requirement in the claim language that all imaging errors discussed in the preferred embodiment or any specific imaging error or specific set of such errors must be corrected — the claim is intentionally generic." Essentially, the court must determine what the specification and prosecution history reveal and then consider the extent to which it should read the specification into claim 1 of the `368 patent.

As Creo notes in its reply brief, both parties focus their arguments on the `368 patent specification, Presstek's May, 1992 amendment, and U.S. Patent No. 4,911,075 (the "Lewis `075 patent").

The court will discuss these issues, and others raised by the briefing, with the parties at an appropriate time.

IV. CONCLUSION

At this stage of the case, the court declines to find that the on-sale bar of 35 U.S.C. § 102(b) renders the `205 and `368 patents invalid. The court is similarly not convinced that Presstek engaged in inequitable conduct before the P.T.O., making the patents unenforceable. The court will not grant Creo summary judgment as to infringement of the `205 and the `368 patents. Furthermore, Presstek is free to assert the doctrine of equivalents at trial with respect to the `205 patent (with the exception of the movement of the imaging head) and the `368 patent. Finally, the court will take Creo's motion regarding impermissible claim broadening of the `368 patent under advisement.

ORDER

For the reasons stated in the court's Memorandum Opinion of the same date, IT IS HEREBY ORDERED that:

1. Creo's motion for summary judgment that the `205 and `386 patents are invalid and unenforceable (D.I. 111) is DENIED.

2. Creo's motion for summary judgment that it does not infringe the `205 and `386 patents (D.I. 107) is DENIED.

3. Creo's motion for summary judgment of impermissible claim broadening of the `368 patent (D.I. 92) is taken UNDER ADVISEMENT.


Summaries of

CREO PRODUCTS INC. v. PRESSTEK, INC.

United States District Court, D. Delaware
May 11, 2001
C.A. No. 99-525-GMS (D. Del. May. 11, 2001)
Case details for

CREO PRODUCTS INC. v. PRESSTEK, INC.

Case Details

Full title:CREO PRODUCTS INC., Plaintiff, v. PRESSTEK, INC., Defendant. PRESSTEK…

Court:United States District Court, D. Delaware

Date published: May 11, 2001

Citations

C.A. No. 99-525-GMS (D. Del. May. 11, 2001)

Citing Cases

CREO PRODUCTS v. PRESSTEK INC.

As Creo correctly notes, a determination that claims 11 and 23 of the `205 patent are infringed is enough to…

CREO PRODUCTS INC. v. PRESSTEK, INC.

The evidence Creo proffered in its summary judgment motion did not demonstrate by "clear and convincing…