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T 1409/16 - Either...or?


If a claim uses "either...or" wording in respect of two (mathematical) inequalities, should this be read in the sense that either the first or the second inequality has to be fulfilled, but not both ("exclusive or"), or should this be interpreted as to imply that the first inequality, the second inequality or both have to be met ("inclusive or") - i.e., corresponding to "and/or" wording? And is the answer to this question affected by the presence of a dependent claim using "conventional" "and/or" wording?
Furthermore, if a certain fraction derived from a prior art polymer has properties that fall within the scope of the claims, does this polymer then make the composition as claimed available to the public?

In this opposition appeal, claim 1 as maintained during proceedings before the Opposition Division reads:



"1. A composition being a laundry treatment composition or component thereof, comprising:
- a substituted cellulose having a degree of substitution, DS, of from 0.01 to 0.99 and a degree of blockiness, DB, such that either DS+DB is of at least 1.00 or DB+2DS-DS^2 is of at least 1.20 and
- a laundry adjunct ingredient."

The Appellant (Opponent 1; party as of right Opponent 2 did not make any submissions) argued that the "either...or" wording had to be clearly read such that only one of the inequalities of claim 1 should be fulfilled (exclusive), but not both - particularly in view of dependent claim 10, wherein explicit "and/or" (inclusive) wording was used (albeit relating to other features). According to the Appellant, such an exclusive "either...or" interpretation of claim 1 would however not be supported by the description, arguably disclosing substituted cellulose compounds fulfilling either none or both (as in the Examples) of the two inequalities according to claim 1.

The Board found that in principle both "exclusive disjunctions" and "inclusive disjunctions" may be expressed by the "either...or" wording as used in claim 1. As such, claim 1 is ambiguous and needs to be construed taking into account the contents of the entire patent in suit. In this regard, the Board considered that particularly the Examples, disclosing compounds fulfilling both inequalities, would make it clear that in fact an inclusive "or" is implied by the claims, meaning that at least one of the inequalities should be met.
The Board held that the "either ... or" wording could only be considered as expressing an exclusive "or" in cases where the two situations referred to are, due to their very nature, mutually exclusive, i.e. incompatible with each other
The Board further found that, citing G 1/92, fractionation - as performed by the Appellant - of a commercially available product in order to arrive at a fraction having properties falling within the scope of the claims, amounts to reverse engineering based on hindsight to reveal extrinsic ("extrinsic" within the meaning of G 1/92) characteristics that point beyond the product per se. Information revealed by following such a deliberate fractionation procedure does not correspond to what can be considered to having been made available to the public by an analysis of the chemical composition.

T 571/10 - Partial PRI / OR / ITY


This interesting decision deals with the question of partial priorities. 
In fact, the question was whether the subject-matter of a claim in a divisional application that had the same priority date as the alleged prior art document D9, while also claiming the same priority from the same priority application, was novel over the content of D9 under Art 54(3) EPC. The claim contained a generalized term, parts of which were present in the priority application, and parts of which that were not. 
The board concluded that there were two clearly defined alternative subject-matters, one (a) that was disclosed in the priority document, and the second (b) that was not directly and unambiguously derivable from the priority document and that therefore did not enjoy priority. Since (a) enjoyed priority, D9 did not belong to the state of the art under Art 54(3) EPC and for this subject-matter, D9 was not relevant at all in the analysis of novelty. Alternative (b) did not enjoy priority, hence D9 was considered state of the art under Art 54(3) EPC; however, only for the subject-matter for which the priority of D9 was valid, which was alternative (a). Since (a) and (b) did not overlap, D9 was not considered novelty-destroying for alternative (b) either. 
The board followed the earlier decision T1222/11 and departed from other board of appeal decisions that followed the strict and literal interpretation of the condition "provided that it gives rise to the claiming of a limited number of clearly defined alternative subject-matters" mentioned in G 2/98.

Catchwords:
In a case in which a single priority is claimed for a given application and a number of features of a claim of said application are generalisations of specific features disclosed in the priority document, a partial priority is to be acknowledged, as long as it is possible to conceptually identify, by a comparison of the claimed subject-matter with the disclosure of the priority document, a limited number of clearly defined alternative subject-matters, including among the alternatives the specific embodiments which are directly and unambiguously derivable from the priority document. In order for this condition to be met, it is not necessary that the clearly defined alternative subject-matters are spelt out as such in the application, nor that the word "or" actually occurs (see point 4.5.12).
This condition extends to the case of multiple priorities. In that case, a comparison with the disclosure of each of the priority documents is necessary and for each of the clearly defined alternative subject-matters the earliest priority from which the alternative subject-matter is directly and unambiguously derivable is acknowledged (see point 4.5.13).

Summary of Facts and Submissions
I. The appeal lies from the decision of the examining division announced at oral proceedings on 25 September 2009 to refuse European patent application n° 08 165 575.5. The application was filed as a divisional application of European patent application n° 00 951 701.2, which was filed on 4 August 2000, claiming priority from GB 0001621.1 filed on 26 January 2000.
II. The decision was based on claims 1 to 15 of the main request and claims 1 to 14 of the first auxiliary request, both filed during oral proceedings held on 25 September 2009.
Claim 1 of the main request read as follows:
"A pharmaceutical composition comprising (E)-7-[4-(4-fluorophenyl)-6-isopropyl-2-[methyl(methylsulfonyl)amino]pyrimidin-5-yl]-(3R, 5S)-3,5-dihydroxyhept-6-enoic acid or a pharmaceutically acceptable salt thereof as the active ingredient, the composition having a ferric oxide light protective coating; provided that the composition does not comprise the calcium salt of the active ingredient and a tribasic phosphate salt in which the cation is multivalent."
[...]
III. In the decision under appeal, the following documents were cited inter alia:
[...]
D9: WO-A-01/54668 (published on 2 August 2001, filed on 4 August 2000 and claiming priority from GB 0001621.1 filed on 26 January 2000)
IV. The decision of the examining division can be summarised as follows:
a) Claim 1 of the main request did not meet the requirements of Articles 76(1) EPC, since in the earlier application as filed the provision of a composition having a ferric oxide light protective coating could not be read in isolation from the feature defining the presence of an inorganic salt in which the cation is multivalent, which feature was absent from claim 1 of the main request. The latter feature being essential to the definition of the invention, the requirements of Article 84 EPC in combination with Rule 43(1) EPC were also not met.
b) Claim 1 of the first auxiliary request lacked inventive step in view of D1 or D2 as closest prior art, in combination with D3. D1 and D2 disclosed the active ingredient, rosuvastatin, and differed from claim 1 in that they did not disclose the combination of the active ingredient with an inorganic salt in which the cation is multivalent, nor a light protective coating comprising ferric oxide. The problem was identified as the provision of a composition wherein degradation of the active agent under storage conditions was minimised or avoided. The solution was obvious in view of D3 which taught the use of a pharmaceutical composition comprising the active agent in admixture with a water-soluble alkaline substance such as calcium carbonate and further comprising a film coating of "Opadry Yellow" which was a light protective coating comprising ferric oxide.
In addition, the minutes of the oral proceedings at which the decision was taken indicated that it was announced by the chairperson that the disclaimer in claim 1 according to the first auxiliary request was "allowable and established novelty over D9 (Article 54(3) EPC)" (see paragraph bridging pages 1 and 2 in the minutes).
V. The appellant (applicant) filed an appeal against that decision. With the statement setting out the grounds of appeal, the appellant filed four sets of claims as main request and first to third auxiliary requests. A disclaimer was present in claim 1 of all requests.
In that statement of grounds the appellant additionally cited inter alia the following documents:
D13: Extract form a report labelled "Appendix A"
(originally filed with the letter dated 24 July 2009)
D15: Declaration of Joseph Richard Creekmore dated 3 July 2006 (originally filed with the letter dated 13 February 2009)
D15a: "Appendix A" of D15 (originally filed with the letter dated 13 February 2009)
VI. With the letter dated 8 December 2010 the appellant filed eight sets of claims to replace those on file, whereby claim 1 in all requests still contained a disclaimer, and the following document in response to the third party observations which had been filed anonymously with letter dated 30 September 2010:
D17: Supplementary declaration of Richard Creekmore dated 19 November 2010
VII. In a communication sent in preparation for oral proceedings the Board reviewed the submissions of the appellant. In particular, with regard to the disclaimers included in all requests on file, it expressed the preliminary opinion that said disclaimers appeared unnecessary to establish novelty over document D9. With respect to inventive step, the Board pointed out that the available tests did not convincingly demonstrate an effect across the entire scope of the claim.
VIII. In reaction to that communication the appellant filed with letter of 13 May 2014 eight further sets of claims to replace those on file, in which the disclaimer had been deleted and further amendments had been introduced.
IX. Oral proceedings were held on 3 June 2014, during which a set of claims 1 to 12 was submitted as the main request and all previous requests were withdrawn.
Claim 1 of said request read as follows:
"1. The use of a light protective coating containing lactose, hydroxypropyl methyl cellulose, triacetin, titanium dioxide and ferric oxide to reduce the rate of formation of photodegradation products of (E)-7-[4-(4-fluorophenyl)-6-isopropyl-2-[methyl(methylsulfonyl)amino]pyrimidin-5-yl]-(3R, 5S)-3,5-dihydroxyhept-6-enoic acid or a pharmaceutically acceptable salt thereof in a pharmaceutical composition comprising the said compound or salt as the active ingredient, wherein the pharmaceutical composition further comprises an inorganic salt in which the cation is multivalent, and wherein the coating comprises 1 to 3% by weight of the composition."
[...]
Inventive step
Claim 1 involved an inventive step, since the skilled person starting from D2, which was the closest prior art, and wishing to provide stable pharmaceutical compositions, would look to the disclosure of D4 in which the issue of photodegradation was addressed. Nothing in D4 pointed to a coating as a method of reducing photodegradation. Rather, D4 taught that the problem of photodegradation could be solved by using calcium carbonate. On that basis the presence of an inventive step was to be acknowledged.
XI. The appellant requested that the decision under appeal be set aside and that a patent be granted on the basis of the main request filed at oral proceedings before the Board on 3 June 2014.
Reasons for the Decision
[...]
Article 76, Article 84 and Rule 43(1) EPC
2. According to the appealed decision, claim 1 of the main request before the examining division did not meet the requirements of Articles 76(1) EPC, since the feature defining the presence of an inorganic salt in which the cation is multivalent was absent in the claim. Since said feature was seen as an essential feature, the requirements of Article 84 EPC in combination with Rule 43(1) EPC were equally not met.
2.1 Since the disputed feature has been included in claim 1 of the new main request, the corresponding objections have been overcome.
2.2 The Board has no other concern with regard to the requirements of Article 76(1) EPC, Article 84 EPC and Rule 43(1) EPC.
Basis in the application as filed
3. Claim 1 results from a combination of independent claim 2 of the application as filed with dependent claims 13 and 14, which refer to the weight percentage of the coating, and dependent claim 15, which specifies the composition of the coating, together with a change of category from a product claim (a pharmaceutical composition) to a use claim (the use of a light protective coating to reduce the rate of formation of photodegradation products). The specific purpose indicated in the use claim is disclosed in the original description for coatings containing ferric oxides in close association with the coating composition specified in the claim and the weight percentage range thereof (page 6, lines 5 to 12, see in particular the last sentence).
3.1 On that basis, claim 1 of the main request fulfills the requirements of Article 123(2) EPC. The Board has no concerns regarding Article 123(2) EPC for the dependent claims.
Novelty over D9
4. Claim 1 according to both requests on which the decision was based contained the disclaimer: "provided that the composition does not comprise the calcium salt of the active ingredient and a tribasic phosphate salt in which the cation is multivalent". While no analysis related to the presence of the disclaimer and compliance with the requirements of Article 123(2) EPC was made in the decision under appeal, the minutes of the oral proceedings at which the decision was taken indicated that the disclaimer was allowable and established novelty over D9 (see point IV, above). As no disclaimer is present in claim 1 of the main request, the issue of novelty over document D9 needs to be analysed.
4.1 Since the requirements of Article 76(1) EPC, second sentence, have been found to be complied with, the present divisional application shall be deemed to have been filed on the date of filing of the earlier application and shall enjoy any right of priority of the earlier application.
4.2 By virtue of this, document D9, which was published well after the filing date of the present application, does not belong to the state of the art according to Article 54(2) EPC.
4.3 As to Article 54(3) EPC, the present application and document D9 share not only the same filing date, but also the same priority claim, since they claim priority from the same document (see points I and III, above). On that basis, document D9 could belong to the state of the art under Article 54(3) EPC, only insofar as the priority of the present application is not validly claimed, while the priority of D9 is effective.
4.4 The crucial point in order to analyse novelty over D9 resides therefore in the validity of the priority for the present application and for document D9.
4.5 Priority of the present application
4.5.1 The priority document discloses in a paragraph exactly corresponding to a paragraph of the present application (cf. page 4, lines 6 to 13 of the priority document and page 6, lines 5 to 12 of the present application) the use of coatings containing ferric oxides to reduce the rate of formation of photodegradation products of the active agent of a coated pharmaceutical composition in close association with the coating composition specified in claim 1 of the main request and the weight percentage range thereof.
4.5.2 As to the active agent and the salt included in the coated pharmaceutical composition, the priority document discloses a pharmaceutical composition comprising (E)-7-[4-(4-fluorophenyl)-6-isopropyl-2-[methyl(methylsulfonyl)amino]pyrimidin-5-yl]-(3R, 5S)-3,5-dihydroxyhept-6-enoic calcium salt as the active agent and a tribasic phosphate salt in which the cation is multivalent (page 1, lines 3 to 6 and 24 to 25).
4.5.3 Both the active agent and the accompanying salt disclosed in the priority document are specific embodiments with respect to the generic disclosures in claim 1 of the main request, in which the active agent is the substituted dihydroxyhept-6-enoic acid or a pharmaceutically acceptable salt thereof (a generic class including the calcium salt) and the accompanying salt is an inorganic salt in which the cation is multivalent (a generic class including a tribasic phosphate salt in which the cation is multivalent).
4.5.4 While it is clear that priority cannot be acknowledged for the whole scope of the claim in view of the generalisations, the question to be answered is whether and to what extent a partial priority can be acknowledged with respect to the subject-matter disclosed in the priority document. This is to be decided on the basis of the articles of the EPC relevant for priority (Articles 87 to 89, in particular Article 88(2) and (3) EPC, as far as multiple priorities and partial priority are concerned) and of the case law relating to those articles.
4.5.5 With reference to Article 88 EPC and in particular of the situation as the present one in which several alternatives (in the present case the acid, the calcium salt or a different salt for the active agent and a tribasic phosphate salt or a different inorganic salt for the salt) are covered by a claim (the so-called "OR"-claim), decision G 2/98 (OJ EPO 2001, 413) includes a full paragraph related to this subject. In detail, it refers to a memorandum which is part of the historical documentation related to the EPC (Memorandum C drawn by FICPI, M 48/I, Section C, simply referred to as the memorandum in what follows) and is said to express the legislative intent underlying Article 88(2) EPC, second sentence (point 6.4 of the decision) and states the following:
"As regards the "OR"-claim ..., it is held in the memorandum that where a first priority document discloses a feature A, and a second priority document discloses a feature B for use as an alternative to feature A, then a claim directed to A or B can enjoy the first priority for part A of the claim and the second priority for part B of the claim. It is further suggested that these two priorities may also be claimed for a claim directed to C, if the feature C, either in the form of a generic term or formula, or otherwise, encompasses feature A as well as feature B. The use of a generic term or formula in a claim for which multiple priorities are claimed in accordance with Article 88(2) EPC, second sentence, is perfectly acceptable under Articles 87(1) and 88(3) EPC, provided that it gives rise to the claiming of a limited number of clearly defined alternative subject-matters." (point 6.7 in G 2/98)
4.5.6 A detailed analysis of G 2/98, of the memorandum and of previous case law was accomplished in T 1222/11 of 4 December 2012 in order to fully understand the conditions for acknowledging the validity of priority when the "OR"-claim is drafted using a generic term or formula (see points 11.1 to 11.8 of the reasons for the decision).
4.5.7 In T 1222/11 it was found that the assessment as to which elements of the "OR"-claim are covered by any of the multiple priority documents can be achieved only by a comparison of the claimed subject-matter of the "OR"-claim with the multiple priority documents, so that the words "gives rise to the claiming of a limited number of clearly defined alternative subject-matters" used in the cited passage of G 2/98 refer to the ability to conceptually identify by said comparison a limited number of clearly defined alternative subject-matters to which the multiple rights of priority claimed can be attributed or not (point 11.5.2 of the decision). That this comparison should give rise to a limited number of clearly defined alternative subject-matters is obviously necessary in order to identify which parts of the claims benefit from the effect of the priority right defined in Article 89 EPC (point 11.5.3 of the decision).
4.5.8 This approach was found to be supported by the memorandum, which according to G 2/98 proved the intent of the legislator concerning the question of multiple priorities. In particular reference was made in T 1222/11 to a statement on page 2 of the memorandum, which reads "It is of course immaterial whether the word "or" actually occurs in the claim, or is implied through the use of a generic term, or otherwise" (point 11.5.4 of the decision) and to three examples provided in the memorandum and referring to the "Broadening of a chemical formula", the "Broadening of range (temperature, pressure, concentration, etc.)" and a method of coating the inner wall of a pipe vs a method of coating the inner wall of bottles or any other hollow bodies (points 11.5.5 to 11.5.7 of the decision).
4.5.9 In particular with reference to the first example in the memorandum, which is the one which comes closer to the present situation, a passage of the memorandum was cited in T 1222/11, which reads: "A first priority document discloses a relatively narrow chemical formula supported by representative examples. A second priority document discloses a broader chemical formula which within its scope includes the narrower chemical formula, and which is supported by additional examples justifying the broader formula. If multiple priorities for one and the same claim are allowed [as it is indeed the case according to Article 88(2) EPC, second sentence], it will suffice to draw up a single claim directed to the broad formula. This claim will then enjoy priority from the first priority date to the extent that the compound in question comes within the scope of the narrow formula, and the second priority for the rest of its scope." This example was found to confirm that the attribution of the partial priorities to the different parts of the claim has to be made by a comparison of the subject-matter of the claim with the disclosure of the priority documents, the clearly defined alternative subject-matters being in this example the narrow formula and the rest of the scope of the claim (point 11.5.5 of the decision).
4.5.10 Moreover, while said analysis referred to the case of multiple priorities, in T 1222/11 it was concluded that there is no reason why the assessment of partial priority for an "OR"-claim should be different depending on whether a single priority or multiple priorities are claimed, nor is there any provision in the EPC which would support a different view (point 11.6 of the decision).
4.5.11 In addition, while the Board in T 1222/11 was well aware of a number of previous decisions of other Boards (T 1877/08 of 23 February 2010, T 476/09 of 21 September 2012, T 1443/05 of 4 July 2008 and T1127/00 of 16 December 2003) which followed a strict and literal interpretation of the condition "provided that it gives rise to the claiming of a limited number of clearly defined alternative subject-matters" mentioned in G 2/98, which was seen as characterising the manner in which the subject-matter of the "OR"-claim must be defined, it found that said condition, when read in its proper context, should be given a different meaning than that attributed to it in those decisions (points 11.4 and 11.5 of the decision of T1222/11).
4.5.12 The present Board fully shares the analysis and the approach of T 1222/11 and, on that basis, comes to the conclusion that in a case such as the present one, in which a single priority is claimed for a given application and a number of features of a claim of said application are generalisations of specific features disclosed in the priority document, a partial priority is to be acknowledged, as long as it is possible to conceptually identify, by a comparison of the claimed subject-matter with the disclosure of the priority document, a limited number of clearly defined alternative subject-matters, including among the alternatives the specific embodiments which are directly and unambiguously derivable from the priority document. In order for this condition to be met, it is not necessary that the clearly defined alternative subject-matters are spelt out as such in the application, nor that the word "or" actually occurs.
4.5.13 This condition clearly extends to the case of multiple priorities. In that case, a comparison with the disclosure of each of the priority documents is necessary and for each of the clearly defined alternative subject-matters the earliest priority from which the alternative subject-matter is directly and unambiguously derivable is acknowledged.
4.5.14 Applying this condition to the present case, one can identify, by comparing the claimed subject-matter with the disclosure of the priority document, two clearly defined alternative subject-matters covered by claim 1 of the main request, namely:
(a) the use of claim 1 of the main request in a pharmaceutical composition comprising the calcium salt of the substituted dihydroxyhept-6-enoic acid as the active ingredient and a tribasic phosphate salt in which the cation is multivalent,
(b) the use of claim 1 of the main request in a pharmaceutical composition comprising the substituted dihydroxyhept-6-enoic acid or a pharmaceutically acceptable salt thereof as the active ingredient and an inorganic salt in which the cation is multivalent, wherein the active ingredient and the inorganic salt are other than the calcium salt of the acid and a tribasic phosphate salt in combination.
4.5.15 The subject-matter of alternative (a) is fully disclosed in the priority document (see points 4.5.1 and 4.5.2, above) and enjoys the claimed priority, while the subject-matter of alternative (b) is not directly and unambiguously derivable from the priority document and does not enjoy a priority right.
4.6 Priority of document D9
4.6.1 Document D9 discloses, in a paragraph exactly corresponding to a paragraph of the priority document (cf. page 4, line 20 - page 5, line 5 of D9 and page 4, lines 6 to 13 of the priority document), the use of coatings containing ferric oxides to reduce the rate of formation of photodegradation products of the active agent of a coated pharmaceutical composition in close association with the coating composition specified in claim 1 of the main request and the weight percentage range thereof.
4.6.2 As to the active agent and the salt included in the coated pharmaceutical composition, D9 discloses a pharmaceutical composition comprising the substituted dihydroxyhept-6-enoic acid or a pharmaceutically acceptable salt thereof as the active agent and a tribasic phosphate salt in which the cation is multivalent (claim 1).
4.6.3 An analysis of the priority of D9 (which is the same as the priority of the application under analysis, see its content in points 4.5.1 and 4.5.2, above) and an application of the same condition as above lead also in this case to the identification of two clearly defined alternative subject-matters, namely:
(a) the use of claim 1 of the main request in a pharmaceutical composition comprising the calcium salt of the substituted dihydroxyhept-6-enoic acid as the active ingredient and a tribasic phosphate salt in which the cation is multivalent,
(b) the use of claim 1 of the main request in a pharmaceutical composition comprising the substituted dihydroxyhept-6-enoic acid or a pharmaceutically acceptable salt thereof other than a calcium salt as the active ingredient and a tribasic phosphate salt in which the cation is multivalent.
4.6.4 Also in this case the subject-matter of alternative (a) is disclosed in the priority document and enjoys the claimed priority, while the subject-matter of alternative (b) is not directly and unambiguously derivable from the priority document and does not enjoy a priority right.
4.7 Conclusions
4.7.1 Once the validity of the priority has been determined both for the application under analysis and for document D9, the relevance of D9 under Article 54(3) EPC can be determined.
4.7.2 For the subject-matter of claim 1 of the main request for which the priority is valid (alternative (a) in paragraph 4.5.14, above), D9 does not belong to the state of the art under Article 54(3) EPC, as it has no valid date prior to the priority date of the application under analysis. For this subject-matter therefore D9 is of no relevance at all in the analysis of novelty.
4.7.3 For the subject-matter of claim 1 of the main request for which the priority is not valid (alternative (b) in paragraph 4.5.14, above), D9 is state of the art under Article 54(3) EPC, however only for the subject-matter for which the priority of D9 is valid (alternative (a) in paragraph 4.6.3, above). However, the subject-matter of alternative (a) of D9 is not novelty destroying for the subject-matter of alternative (b) of claim 1 of the main request, as the former subject-matter has no overlap with the latter.
4.7.4 As no lack of novelty arises, there is no need for a disclaimer with respect to document D9.
Inventive step
5. Closest prior art
[...]
Consequently, D4 is identified as the closest prior art for the subject-matter of claim 1.
5.6 Claim 1 differs from the disclosure of D4 in that:
a) the latter does not disclose the active ingredient of claim 1 but rather compounds which differ in that they comprise a pyran ring.
b) the latter does not disclose the use of a light protective coating, let alone a coating containing lactose, hydroxypropyl methyl cellulose, triacetin, titanium dioxide and ferric oxide, to reduce the rate of formation of photodegradation products of the active agents.
5.6.1 Although in D4 the preparation of tablets which are film coated to about a 3% weight increase is mentioned (examples 3 on page 21 and example 8 on page 23), the composition of the coating is not disclosed and there is no indication in D4 that the coating may play a role in the prevention of photodegradation of the active ingredients, which according to D4 is provided by the stabilizing effect of the pharmaceutically acceptable alkaline earth metal salt (such as calcium carbonate) comprised within the compositions (page 5, lines 8 - 29).
6. Problem solved
6.1 Since a comparison of the method for reducing photodegradation according to D4 with that of the present application is not available to the Board, no particular advantage or improvement can be attributed to the differences identified. In view of this, the problem solved is the provision of a further method for reducing the rate of formation of photodegradation products of an inhibitor of HMG-CoA possessing a hydroxy acid side chain attached to a nitrogen heterocycle.
6.2 That the problem has been solved is demonstrated by documents D13, D15, D15a and D17, filed by the appellant as evidence of the effect on photodegradation of a tablet coating comprising ferric oxide and titanium dioxide. D13 identifies the major photodegradation products of the active ingredient of claim 1 as the epimeric PDP1 and PDP2 (paragraphs 1.6.3.1 and 1.6.4.2). According to test report D15 and the supplementary experimental detail provided as D17, a coating comprising titanium dioxide was compared with a coating comprising ferric oxide and titanium dioxide. The results, displayed in D15a, demonstrate that coatings comprising titanium dioxide and ferric oxide are effective in protecting the active ingredient against photodegradation: at the same percentage of coating weight gain, coatings comprising titanium dioxide and ferric oxide led to less photodegradation products than coatings comprising only titanium dioxide. Although a comparison was not drawn with a composition of the active ingredient in the absence of a coating, it is reasonable to assume that such a composition would not demonstrate a lower rate of formation of photodegradation products than if it were surrounded by a coating comprising only titanium dioxide, thereby allowing the indirect comparison of the rate of formation of photodegradation products of the active ingredient according to claim 1 to the rate which would be observed in the absence of a coating.
7. Obviousness
7.1 None of the prior art documents on file teaches that a reduction of the rate of photodegradation in compounds similar to the active ingredient of claim 1 may be achieved by using a light protective coating containing the ingredients listed. D3, the only document apart from D4 which mentions the light sensitivity of the subject compounds, refers to the possibility of employing coatings which may comprise as ingredients inter alia titanium dioxide and iron oxide (D3, page 9, paragraph 2). However, there is no indication in D3 that using said coating, or a coating of any kind will reduce the rate of formation of photodegradation products in the active ingredients. The skilled person faced with the posed problem, would have therefore no motivation to use a coating as the one indicated in the claim.
7.2 It follows that the subject-matter of claim 1 involves an inventive step.
Order
For these reasons it is decided that:
1. The decision under appeal is set aside.
2. The case is remitted to the department of first instance with the order to grant a patent on the basis of claims 1 to 12 filed during the oral proceedings before the Board and a description yet to be adapted thereto.
This decision has European Case Law Identifier: ECLI:EP:BA:2014:T057110.20140603. The whole decision can be found here. The file wrapper can be found here. Photo by Rkolarsky, obtained via Wikimedia Commons, the free media repository. 

T1454/08 - Going up and down in a single document



In this appeal the patent proprietor was able to convince the board that a disclosure of several different aspects in a single prior art document does not always mean that all aspects are disclosed in relation to a single embodiment, or elevator system in this case. Where certain features may be discussed as part of other prior art, it may be that such features are not automatically linked to the central system of the document and may therefore not become novelty-destroying.
The board does not say anything about inventive step, since the Opposition Division never discussed inventive step. It may very well be that inventive step will be denied by the OD, but that remains to be seen...

Summary of Facts and Submissions

I. The appellant (patent proprietor) filed an appeal against the opposition division's decision revoking European patent No. 0 970 911 on the basis that the subject matter of claim 1 of the patent was found to lack novelty with respect to:
D1: JP-A-05278962, including English translation.
II. The respondent (opponent) requested dismissal of the appeal.
III. Subsequent to summoning the parties to oral proceedings, the Board issued a communication stating its provisional opinion that certain features of claim 1 appeared indeed to be novel with respect to D1. The Board also stated that if the subject matter of claim 1 was found to be novel over D1, the case might be remitted back to the department of first instance for continued examination of the opposition.
(...)
VI. Claim 1 reads as follows, whereby lettering (a) to (m) has been inserted before each feature in accordance with the lettering system used in the decision under appeal:
"1.
(a) An elevator system, comprising:
(b) a plurality of elevators (1 - 4) each having a car moveable within a related hoistway for transporting passengers vertically between floors of a building;
(c) a controller (82, 88)
(d) for receiving service messages initiated by passengers requesting elevator service from an origin floor to a destination floor,
(e) for providing hall call commands to said elevators to cause a selected elevator to provide service in response to related ones of said service messages,
(f) and for providing car call commands to said elevators to cause each said selected elevator to stop at a corresponding destination floor;
(g) a plurality of remote control devices (100) to be borne and used by passengers requesting elevator service,
(h) each said remote control device having a transmitter for transmitting electromagnetic call messages for requesting elevator service at the origin floor to a receiver for transfer to said controller, wherein
(i) each call message transmitted by said device includes a component identifying the particular device that transmitted the message;
(j) and said remote control devices each has a passenger activated means for initiating transmission of a call cancellation message;
(k) said receiver (39-41) for receiving the electromagnetic messages transmitted in proximity therewith and for providing said call messages to said controller;
(l) said call cancellation message including a component identifying the particular device that transmitted the cancellation message;
(m) and said call messages including a component identifying the destination floor designated by said passenger activated means."
VII. The appellant's arguments may be summarised as follows:
The subject matter of claim 1 was novel with respect to D1 in respect of features (b), (i), (j) and (l).
As to feature (b), paragraph [0002] of D1 disclosed a plurality of elevator cars but only in the discussion of prior art and not with respect to the device disclosed in the invention of D1. The references to the invention of D1 were to singular entities of "the elevator" and "the elevator shaft". In the written submissions the appellant had made reference continually to a singular elevator in D1, never to a plurality of elevators but this had simply not been emphasised in the appeal grounds, since other features were also clearly novel over D1.
As regards features (i) and (l), D1 disclosed a two-way communication, but this did not imply identification of the "particular" device in any message signal; D1 would merely send and receive information to and from any remote on a specific floor. The system essentially allowed the functions conventionally on a fixed operation panel next to a lift opening on each floor to be placed instead on a remote control device, together with some additional door operating functions. This might sometimes result in disadvantages, but did not imply that a message component identifying the particular device should be used to solve such disadvantages. The problems envisaged by the respondent concerning e.g. a door-close command from a different floor were misleading, since the indicators 91 to 95 with transceivers were floor-specific and no disclosure existed that these could react to remote control devices used from a location on a different floor. Also, merely because a telephone was installed on each remote control device was irrelevant to the content of a call or call cancellation message as claimed, as the telephone could be a separate operating system in the device.
Call cancellation as in feature (j) was also not disclosed in D1; instead, paragraph [0010] disclosed that there was a "clear" button and this could simply be a clearing only of the destination information which had been incorrectly entered rather than a cancellation message of the call itself, even if "registration" was mentioned; it was thus not disclosed that a call was cancelled in the sense of the claim.
The respondent's arguments on implicit disclosure in D1 were hindsight-based, relating to perceived problems and their solutions as found in light of the patented invention's advantages.
VIII. The arguments of the respondent may be summarised as follows:
The subject matter of claim 1 lacked novelty over D1. The features of claim 1 which were disputed were either explicitly or implicitly known from D1. It was further not necessary that a feature be "required" in the system of D1 for it to be implicitly disclosed as had been suggested by the Board; the legal standard was whether it was immediately apparent to a skilled person that the feature was present in the prior art.
The appellant had not argued in its appeal grounds that feature (b) was novel compared to D1. Paragraph [0002] clearly referred to multiple elevator cars in a conventional system and the problems of the invention in paragraph [0003] related to those in such a conventional system. Furthermore, paragraph [0004] stated that the invention "was devised in consideration of the points described above", which meant that a multiple-elevator system was the context in which the invention in D1 had to be understood; it was only the preferred example which related to a single elevator. Even the opposed patent itself made only a single reference to a multiple-elevator system, since this was implicitly understood to be present in the patent in the same way as a skilled reader would understand this to be present in D1.
A skilled person in the art of elevator systems would also understand D1 in such a way that it would be immediately apparent that features (i) and (l) were disclosed, i.e. that the individual remote controls were identified by a component of the call message and the call cancellation message. Several factors demonstrated this. First, proper and safe operation of the elevator system required identification of the particular remote control device. For example, the lights 12c or 12d which were lit upon call registration being responded to by control panel 5, were turned off on elements 12a and 12b on the remote control which had made the call when the lift arrived at the appropriate floor, and not on other remote controls on different floors. If the lights were extinguished on other remote controls, possibly on the same floor, the disadvantage of such a system would be immediately apparent, so that a skilled person immediately understood that remote control device identification in the transmitted message was a necessary part of the D1 system. As regards safety, if e.g. a door-close command was sent by a remote control device on a different floor to the one where the elevator car was positioned with an open door, this could obviously endanger someone entering the lift at that time. A skilled person would understand that the system had to exclude such a danger, and thus would only accept door-close commands from the remote control device which called the elevator car to that floor; this was thus inevitably part of the disclosure of D1, and was only possible if the particular remote control device could be identified. Even if the system operated such that only the remote control device on a particular floor was in contact with its own hall transceiver to transmit a call to the control panel 5, the fact that this message could be identified as coming from a specific floor already meant that the call message or call cancellation message included an information component identifying the particular device used, since it was identified as being the remote device on a particular floor that transmitted the message to that particular transceiver. Further, paragraphs [0011] and [0013] disclosed a telephone on each remote control device used for making private calls between the remote control user and someone in the elevator car; this required specific identification of the remote control device from which the call was made. This worked in the same way as the elevator call message system. Even the word "telephone" made the skilled reader immediately understand that private calls were being made, even if this was not explicitly stated, so it was self-evident that the device making the call had to include a signal component identifying the specific device used to make the call, otherwise the telephones would not operate as intended. The appellant's reference to a separate telephone system was contrary to the disclosure in D1; the telephone disclosed in D1 used the same control circuitry.
The call cancellation activation means of feature (j) was disclosed by the clear button in D1, because its operation caused registration of the call signal to be cancelled, and registration occurred in the control panel 5.
Reasons for the Decision
1. Novelty of claim 1
1.1 The four features of claim 1 which the appellant submitted were novel with respect to the disclosure in D1 are features (b), (i), (j) and (l) as identified above.
1.2 Considering feature (b) first, this states:
"a plurality of elevators each having a car moveable within a related hoistway for transporting passengers vertically between floors of a building".
1.2.1 D1 discloses a plurality of elevators in paragraph [0002] when referring to the prior art. Paragraph [0003] relates to problems to be solved by the invention and notes a problem with "such a conventional system", which includes, by this reference, a plurality of elevators. However, the "objective" given in paragraph [0004] and the solution to this in paragraph [0005] are not concerned with a multiple-elevator system, but instead relate merely to use of "an elevator" rather than a system of multiple elevators. In particular, even though paragraph [0004] includes the statement "This invention was devised in consideration of the points described above", the previously mentioned points, understood as being the problems mentioned, relate to those faced by a passenger (who wants to use the elevator) having to directly operate a hall button. No context of a multiple-elevator system is thereby implied. Also, the objective is explained as providing an elevator operating device in relation to "the hall call button", "the car" and "knowledge of the elevator car movement", i.e. always mentioning these in the singular. The abstract of D1 on page 1 of the translation also refers to "the elevator car". The embodiment ("Application example") in paragraph [0007] et seq also describes, consistently throughout, only "the elevator" and not a plurality of elevators. Notably, the elevator shown in Fig. 1 and described in paragraph [0007] "shows the relationship between the elevator provided with this invented operating device and the building". No mention is made of a plurality of elevators in the building, nor any system which should take account of a plurality of elevators in that or any other building.
1.2.2 Thus, whilst D1 has a prior art portion mentioning multiple elevator cars, nothing in the disclosure of the invention of D1 (which is the portion of D1 which contains the features of claim 1 of the opposed patent relating to a system including a plurality of remote control devices), makes any reference to multiple elevators, nor is this implied in any way by technical means or otherwise that are disclosed. In particular, whilst paragraph [0002] of D1 explains how a passenger calls a car in a multiple-elevator system, this does not imply that the description following that (which is concerned with a problem which is itself unrelated to multiple-elevator systems) must be read in a multiple-elevator context.
1.2.3 It is thus not unambiguously derivable from D1 that the remote control device operated system in D1 concerns a multiple elevator system. On the contrary, in relation to the features of granted claim 1, D1 only discloses a system having a single elevator and the arrangement and operation of this system using remote control units on several floors.
1.2.4 The respondent argued that the lack of a plurality of elevators was not a feature of claim 1 which the appellant had argued as being lacking from the disclosure in D1. However, the decision under appeal itself contains reasons for the finding on this point (see item 2.2) which were made in relation to paragraph [0002] of D1. The Board thus reconsidered this matter (see Article 114(1) EPC 1973) in relation to further passages in D1 and in light of other disputed features. It lacks relevance that the appellant did not provide individual arguments to this specific matter in its appeal grounds and the respondent was aware of the issue as this aspect was taken up specifically by the Board in its provisional opinion.
1.2.5 The respondent also argued that because the opposed patent itself made only a single reference to a multiple-elevator system before describing its operation, this would have an implication as to how the skilled person read D1. However, the Board finds such an argument unconvincing. Not only is the disclosure in D1 entirely separate to that of the opposed patent, but the entire opposed patent relates to a system having a plurality of elevators. The claims of the filed application and the patent are directed to this, and the patent depicts only elevator systems with a plurality of elevators, using an example of a four-car system (see e.g. Figs. 1 to 4).
1.2.6 It is also apparent in the system disclosed in D1 that no technical measures have been disclosed which would account for the use of multiple elevators, e.g. such as a car dispatcher arranged to operate with multiple cars in the remote control operating device system described in D1.
1.2.7 The respondent also argued that the correct legal standard to be used in determining whether an implicit disclosure is present is whether the feature in question is immediately apparent to a skilled person and not whether a feature is required.
However, whether a feature is required is simply one way of determining whether a feature is immediately apparent to a skilled person. If a particular feature were required to perform a stated function of the system, even if not mentioned explicitly, it would then normally be understood to be implicitly present. Merely by the respondent stating that a feature being immediately apparent to a skilled person is the standard to be used does not alter the analysis of feature (b), nor of any other contested feature of claim 1 when considering the disclosure in the prior art, since merely using a different definition provides no substance to the argument as to why a feature would be otherwise seen as immediately apparent. Indeed the respondent itself, in its written submissions (see e.g. item 3 of the 22 October 2010 submission) on this matter refers, in relation apparently to features (i) and (l), to the "necessity" of identifying distinct remote control units in D1, which the Board can only understand as being the same as a "requirement". Thus, none of the respondent's arguments in this regard alter the conclusions reached by the Board with regard to any of the contested features.
1.2.8 The Board thus finds that feature (b), as stated above, is not disclosed in D1 in connection with remote control operating devices as defined in claim 1, but only in the context of the prior art in D1. The subject matter of claim 1 is thus novel over D1 already for this reason.
1.2.9 Since a plurality of elevators, as in the claimed system, is not disclosed in D1, the Board also finds that the portions of features (e) and (f) of claim 1 relating to a plurality of elevators are also not disclosed in D1.
1.3 In regard to features (i) and (l), these state:
"(i) each call message transmitted by said device includes a component identifying the particular device that transmitted the message"
and
"(l) said call cancellation message including a component identifying the particular device that transmitted the cancellation message."
1.3.1 The aspect of features (i) and (l) which is not disclosed in D1 is that the messages include a component identifying the particular device that transmitted the message.
In D1, there is no explicit disclosure of a specific control device being identified. This was also not disputed by the respondent. Also, when considering the operation of the system, no disclosure of a specific control device being identified is thereby implied either. As stated in paragraph [0009] of D1, there are hall indicators 91 to 95 on respective floors 1F to 5F. It is also stated that each indicator is equipped with a transceiving part (which is later described as part 28) and that remote controllers 111 to 115 corresponding to each floor are carried by users or that these are installed corresponding to each floor. As depicted also in the Figures, and as described (see e.g. paragraphs [0015], [0022] and [0025]), the operation of the remote control device sends the control message via its own transceiver 26 to the transceiver 28 associated with one of the hall panels 91-95. Each of the hall panels containing its own transceiver is connected via a cable 10 to the control panel 5, which thereby acts as the central control unit.
Communication is thus made only from a remote control device on a specific floor with the hall panel on that same specific floor via transceivers. There is no disclosure that a remote control device on one floor may communicate via its transceiver with a hall panel transceiver on another floor as alleged by the respondent. Figure 1 also depicts by two-way arrows, a two-way communication between a single remote controller 115 on one floor with a single hall panel 95 on that floor. There is thus no implicit disclosure of a call message including a component identifying the particular device which transmitted the message. Since a single elevator is disclosed in D1 for use with remote control devices using a single specific transceiver for each specific floor hall panel (91 - 95), the system is able to function without such means, even if certain disadvantages might on occasion present themselves. Merely because disadvantages might exist does not mean that a skilled person automatically adopts a different solution; such would be hindsight.
1.3.2 The respondent argued that correct and safe functioning would not be possible if the specific remote controller which had sent the message could not be identified, for which reasons an implicit disclosure of features (i) and (l) should allegedly exist. The Board however finds this unconvincing.
Due to each floor having its own floor-specific transceiver in the hall panel 91 to 95 for each floor respectively, the control panel 5 need only operate by communication with the transceiver on a particular floor when providing a two-way communication (see paragraph [0016] referring to transmission of signals and response signals). When the elevator is called using a remote device e.g. remote device 115 on floor 5F, the lights 12c and 12d (see paragraph [0016]) are lit up and then later turned off when the car arrives at that floor. The remote control devices on other floors are not affected, because these use a different hall panel transceiver on their respective floors. The same applies to door commands (e.g. door close) sent from the remote control device; these only need affect the elevator when it arrives at that specific floor via that particular floor transceiver. No danger thus exists by alleged acceptance of a floor close command from a remote control on another floor, since acceptance of such a close-door command from another floor is not disclosed.
Thus, correct and safe operation of the system does not require the identification of the specific remote control device which transmitted the signal. The same applies to a call cancellation signal, since this is related to a call cancellation sent by a remote control device, and will only be transmitted to the control unit 5 by the transceiver on a specific floor.
It is true that if several remote control devices were used on any single floor simultaneously, this might lead to interference in some cases. However, D1 anyway does not disclose the use of more than one remote control device on any one floor at any one time, nor would such necessarily pose a problem in view of the specific floor communication between the different remote control devices and the hall panel on that floor, not least since only a single elevator is disclosed in D1. Thus there is no implicit disclosure in D1 that call messages or call cancellation messages can operate as intended by D1 only if the identification of the specific remote control device is transmitted as part of the message.
Merely because drawbacks might exist in some cases, does not of itself make a different solution, namely that defined in claim 1, necessary or in any other way immediately apparent to a skilled person.
1.3.3 The respondent also argued that an information component was anyway included in the message signal, because the remote control device would be identified from the message signal as being that particular remote control device on a specific floor with which the transceiver 28 in the respective hall panel had communicated.
However, the Board finds this argument unconvincing. According to claim 1, not only is it the call message transmitted by the device which must itself include the component identifying it, as opposed to D1 where only signals from the floor transceiver would be recognised by control panel 5 as coming from that floor, but no identification of the "particular" device is made at all, merely an indirect association to the effect that an unspecified remote control device on a specific floor has sent a message to the hall panel transceiver on that floor.
1.3.4 The respondent further argued that the presence of a telephone as described in e.g. paragraphs [0011] and [0013] would imply identification of the particular remote control device, in particular so that the calls can be personal. This is however also found unconvincing.
First, nothing is stated in D1 as to any similarities between components of call messages transmitted from a remote control and the operation of a telephone as described in D1. Merely because the telephone on the remote control device operates through codec 25 for coding and decoding audio signals (paragraph [0013]) on the same remote control device which is used for call messages via the use of different codec 23 for coding and decoding call messages, does not imply any similarity between the signals let alone the necessity for the identification, by means of an included signal component, of the particular device which sent a call message. Nor does the presence of the word "telephone" imply to a skilled person that private calls are being made between a person outside the lift and an individual inside the lift, particularly not in 1992 when D1 was filed; even paragraph [0011] refers to calls between the remote controller carrier "and passengers" in elevator car (3), rather than to some type of private conversation between only two individuals or individuals each communicating with each other via their own remote controller telephone unit.
(...)
As explained below however, the Board finds that feature (j) is known from D1.
(...)
1.5 The subject matter of claim 1 is thus novel with respect to D1, such that the decision under appeal must be set aside.
2. Remittal of the case (Article 111(1) EPC 1973)
Only novelty of claim 1 with respect to D1 had been decided by the opposition division. Since lack of novelty with respect to a further document was also alleged and since no decision has been issued on that objection or upon the opponent's inventive step objections, the Board in exercising its discretion in accordance with Article 111(1) EPC 1973 concludes that the case should be remitted back to the opposition division for continuation of the opposition proceedings.
Order
For these reasons it is decided that:
1. The decision under appeal is set aside.
2. The case is remitted to the opposition division for continuation of the opposition proceedings.
This decision has European Case Law Identifier ECLI:EP:BA:2010:T145408.20101124. The whole decision can be found here. The file wrapper can be found here

The ‘Background of the invention’ in novelty and inventive step assessment


A patent application typically starts with a section called ‘background of the invention’. According to European patent law the application should indicate the background art which, as far as is known to the applicant, can be regarded as useful to understand the invention (Rule 42 EPC). The rule helpfully adds that, preferably, the documents reflecting such art should be cited.

A good background sets the context and makes it easy to understand the invention. For applicants that is generally a good thing. An Examiner who is convinced that you have an invention may be more sympathetic to your struggle to get the claims to accurately represent that invention. The background helps to ‘sell’ the invention.

On the other hand, ‘anything you say can and will be used against you’. If the background section is to represent state of the art, then your claims should be inventive when compared to it. If your claims are only a non-inventive variation of the prior art in your background, your invention is not looking good. After all, if even the applicant, who it may be assumed has the best interests of the invention in mind, states that something is known, then the public should be able to rely on that.

So can an Examiner cite your background section against you, or not? Reasoning from the EPC, one would think that he cannot. Art. 54(2) EPC defines the state of the art as everything made available to the public (...) before the date of filing of the European patent application. The patent application, of which the background is part, is not available until 18 months after the filing date, not before it.
This question recently played a role before the Court of appeal in The Hague, in a case between Sanofi and Ratiopharm. (Thanks to IEPT for the text of the decision). In section 11.3 the court considers this question as follows (my translation from Dutch):
In so far that the first-instance court must be considered to have only used the background section of the patent to draw conclusions about the teachings of the state of the art, that is not correct, because the background as such is not part of the prior art. In her statement of appeal, in section 5.20, Sanofi correctly points to case law of the EPO, which considers that using the background section in such as manner is deemed unacceptable. The case-law of the EPO acknowledges that the picture that the background section of a patent draws of the prior art may be based on personal prejudices or views of the inventor / patent attorney and so should be used reluctantly.
At least the Dutch court of appeal is of the opinion that your background section cannot be cited against you as part of the prior art. Unfortunately, the decision does not say which EPO case-law swayed the court.

One decision which, to some extent, supports the court’s point of view is T 654/92. A document was acknowledged in the patent. In the course of the oral proceedings it became clear though that it did not form part of the state of the art, but represented internal knowledge of the applicant's company. Any such art was to be ignored in an assessment of inventive step.

However, there is case law which has a stricter point of view. For example, in T 1073/02, the application contained a drawing "Fig. 6" with the title "background art", together with an explanation of the drawing. According to the applicant that figure did not relate to known prior art. However no explanation could be given why the figure was titled so. The board wanted to consider it as part of the prior art, and even as the closest prior art. The board required “sound evidence in support of the contention submitted by the appellants that said "background art" is not contained in the prior art”. The board then observes that no such evidence has yet been provided. After the case is remitted, the applicant succeeds in explaining the origin of the background art to the Examining division and obtains a grant after all.

Although the standard of proof appears to differ in these decisions, both of them seem to assume that an admission made in the background art is part of the state of the art until reasons are given why the admission was made erroneously.

For these reasons I would not agree to a blanket statement saying that before the EPO ‘background as such is not part of the prior art’. Likely the discussion before the court was more nuanced than can be gleaned from the decision alone. One should prudently assume that admissions made in the background may be cited against you. Good advice is given by Rule 42 itself: if you are going to describe prior art, then preferably, cite a document reflecting such art. It will stop you from disclosing anything that is not public.