- Home
- 2. About this Manual
- 2.1 Purpose of the Manual
- 2.2 Navigating the Manual
- 2.3 How our Practice and Procedures are Determined
- 2.4 Updating the Manual
- 3. Quality and Customer Engagement
- 3.1 Quality
- 3.2 Customer Service Charter (Timeliness Guidelines)
- 3.3 Efficient Examination
- 3.3.1 Use of FERs (Earlier Search and Examination Reports)
- 3.3.2 General Approach to Examination
- 3.3.3 Reserving Opinion and Restricting the Search
- 3.3.4 Communicating with the Applicant and Third Parties
- 3.4 Assisting Unrepresented Applicants
- 3.5 Staff Delegations, and Restrictions on Providing Customer Assistance
- 4. Classification and Searching
- 4.1 Search Theory
- 4.2 Patent Classifications
- 4.2.1 Patent Classification Systems
- 4.2.1.1 International Patent Classification (IPC)
- 4.2.1.1.1 Structure of the IPC
- 4.2.1.1.2 Headings and Titles
- 4.2.1.1.3 Definitions, Warnings and Notes
- 4.2.1.1.4 Function-Oriented and Application-Oriented Places
- 4.2.1.1.5 References
- 4.2.1.1.6 Indexing Codes
- 4.2.1.2 Cooperative Patent Classification (CPC)
- 4.2.2 Principles of Classification
- 4.2.2.1 Invention Information and Additional Information
- 4.2.2.1.1 Application of Indexing Codes/2000 Series
- 4.2.2.1.2 Classifying in Residual Places
- 4.2.2.1.3 Places that cannot be the First Symbol
- 4.2.2.2 Classification Priority Rules
- 4.2.2.2.1 Common Rule
- 4.2.2.2.2 First Place Priority Rule
- 4.2.2.2.3 Last Place Priority Rule
- 4.2.2.2.4 Special Rules
- 4.2.2.2.5 Classifying a Combination of Technical Subjects
- 4.2.2.3 Classifying in Function-Oriented and Application-Oriented Places
- 4.2.2.4 Classifying Chemical Compounds
- 4.2.2.5 CPC Classification Rules
- 4.2.2.6 Classification using C-sets
- 4.2.3 Other Classification Information
- 4.2.3.1 Sub-Codes - Discontinued
- 4.2.3.2 The Australian Classification System - Discontinued
- 4.2.3.3 Indexing According to IPC Edition (2006) - Discontinued
- 4.2.3.4 Master Classification Database (MDC)
- 4.2.3.5 Recording Classification Symbols on Machine-Readable Records
- 4.2.3.6 Presentation of Classification Symbols and Indexing Codes on Patent Documents
- 4.3 Initial Search Considerations
- 4.3.1 Construction and the Inventive Concept
- 4.3.2 Earlier Search Results
- 4.3.3 Additional Searching
- 4.3.4 Top-Up Searching
- 4.3.5 Preliminary Search
- 4.3.6 Applicant and/or Inventor Name Searching
- 4.4 Development of the Search Strategy
- 4.4.1 Three Person Team (3PT)
- 4.4.2 Search Strategy Considerations
- 4.4.2.1 Independent Claims
- 4.4.2.2 Dependent Claims
- 4.4.2.3 Broad Claims
- 4.4.2.4 Reserving the Search
- 4.4.2.5 Controlled Language
- 4.4.3 Search Area
- 4.5 Conducting the Search
- 4.6 Recording the Search Details
- 4.7 Annexures
- Annex D - Search Information Statement
- Annex E - Examples and Instructions for completing the SIS for Sequence and Chemical Structure Searches
- Annex F - When to Complete the Search Information Statement (SIS)
- Annex N - Guidelines for Searching Indian TKDL
- Annex P - The Role of the Three Person Team (3PT) in Searching
- 4.8 User Guides
- 5. National
- 5.1 Procedures
- 5.2 Understanding Legislation
- 5.2.1 Modern Australian Law
- 5.2.2 Working with case law
- 5.2.3 Working with statute
- 5.2.4 Practical guide to interpreting legislation
- 5.3 Formalities and Forms
- 5.3.1 Formalities Checking
- 5.3.1.1 Formalities Required and Assessed at Filing
- 5.3.1.2 Credible Address for Service
- 5.3.1.3 Formalities Required and Assessed During Examination
- 5.3.2 Formal requirements of the Specification
- 5.3.2.1 Title of the Application
- 5.3.2.2 Abstracts
- 5.3.2.3 Requirements for Text, Pagination, Formulas, Equations, Drawings, Graphics, and Photographs
- 5.3.2.4 Substitute Pages to comply with formalities
- 5.3.2.5 Requirements for Amino Acid and Nucleotide Sequences
- 5.3.2.6 Scandalous Matter
- 5.3.3 Approved Forms (including patent request)
- 5.3.4 Signature Requirements for Forms and Other Documents
- 5.3.5 Return or Deletion of Documents
- 5.4 Entitlement
- 5.4.1 Who can file and who can be granted a patent
- 5.4.2 Statement of entitlement
- 5.4.3 Artificial Intelligence - Inventorship and Entitlement
- 5.4.4 Annex A - Examples of Legal Persons
- 5.4.5 Annex B - Examples of Organisations of Uncertain Status as Legal Persons
- 5.5 Construction of Specifications, Claims, and Claim Types
- 5.5.1 Purpose of Construction
- 5.5.2 Considerations Relevant to Construction of the Specification
- 5.5.2.1 Initial Considerations
- 5.5.2.2 The Addressee
- 5.5.2.3 The Role of Common General Knowledge
- 5.5.2.4 The Invention Described
- 5.5.3 Rules of Construction for a Specification
- 5.5.3.1 Words are Given Plain Meaning
- 5.5.3.2 Specification Read as a Whole
- 5.5.3.3 Purposive Construction
- 5.5.3.4 Dictionary Principle
- 5.5.3.5 Reject the Absurd
- 5.5.3.6 Description Construed as a Technical Document
- 5.5.3.7 Errors, Mistakes, Omissions
- 5.5.4 Claim Construction and Claim Types
- 5.5.4.1 Claims are Construed as a Legal Document
- 5.5.4.2 Presumption Against Redundancy
- 5.5.4.3 Omnibus Claims
- 5.5.4.4 Swiss Claims
- 5.5.4.5 Product by Process Claims
- 5.5.4.6 Parametric Claims
- 5.5.4.7 ‘For Use’, ‘When Used’ and Similar Wording in Claims
- 5.5.4.8 ‘Comprises‘, ‘Includes‘, ‘Consists of‘ and ‘Contains‘ and Similar Wording in Claims
- 5.5.4.9 Reference Numerals in Claims
- 5.5.4.10 Relative Terms
- 5.5.4.11 ‘Substantially‘, ‘About‘, ‘Generally’
- 5.5.4.12 Appended Claims
- 5.6 Examination
- 5.6.1 Relevant Dates, Definitions, Legal Standards and Other Prescribed Matters (e.g Publication)
- 5.6.1.1 Priority dates and Filing Dates
- 5.6.1.2 Effect of Publication
- 5.6.1.3 Definitions (Invention, Alleged Invention, Meaning of a Document etc.)
- 5.6.1.4 Balance of Probabilities Standard
- 5.6.1.5 Application of the Balance of Probabilities in Examination
- 5.6.2 Factors to consider before commencing examination
- 5.6.2.1 Request for Examination
- 5.6.2.2 Application in a State of Lapse?
- 5.6.2.3 Extension of Time Requested (s223 actions)
- 5.6.2.4 Payment of Fees
- 5.6.2.5 Translations of Specifications, Article 19 and Article 34 Amendments (Requirements for Certification, Poor Translations)
- 5.6.2.6 Obtaining Priority Documents
- 5.6.2.7 Excess Claims Fees and Invitation to Pay
- 5.6.2.8 Report Dispatch, Correction of Report etc.
- 5.6.2.9 Further Report Considerations
- 5.6.2.10 Convention applications
- 5.6.3 The Specification and Claims to Examine
- 5.6.3.1 Consideration of Amendments Made prior to examination
- 5.6.3.2 Claims are directed to a Single Invention (Unity)
- 5.6.3.3 Omnibus claims – References to the Descriptions or Drawings
- 5.6.3.4 Provisional specifications - Examination
- 5.6.4 Citations: Prior Art Base and Construction of Prior Art
- 5.6.4.1 Prior Art - What is Included (Definition From the Act, Publicly Available, Exclusions, Grace Period)
- 5.6.4.2 Construing a Citation
- 5.6.4.3 Level of Disclosure Required (Enabling Disclosure, Clear and Unmistakable Directions etc)
- 5.6.4.4 Single Source of Information, Combination of Documents
- 5.6.4.5 Third Party Notifications
- 5.6.4.6 Identifying and Raising Citations
- 5.6.5 Novelty, Whole of Contents, Grace Periods, Secret Use
- 5.6.5.1 Determining Novelty
- 5.6.5.2 Whole of Contents
- 5.6.5.3 Prior Use, Secret Use and Confidential Information
- 5.6.5.4 Novelty - Specific Examples
- 5.6.5.5 Selections
- 5.6.5.6 Issues Specific to Chemical Compositions
- 5.6.6 Inventive Step
- 5.6.6.1 Inventive Step Requirements
- 5.6.6.2 Information for Assessing Inventive Step
- 5.6.6.3 Tests for Inventive Step
- 5.6.6.4 Assessing Inventive Step
- 5.6.6.5 Indicators of Inventive Step
- 5.6.6.6 Issues Specific to Chemical Compositions
- 5.6.7 Full Disclosure, Sufficiency, Clarity and Support (S40 considerations)
- 5.6.7.1 Claims are Clear and Succinct
- 5.6.7.2 Clear and Complete Disclosure s40(2)(a)
- 5.6.7.3 Support for the Claims s40(3)
- 5.6.7.4 Difference Between ‘Clear and Complete Disclosure’ and ‘Support’
- 5.6.7.5 Best Method
- 5.6.7.6 Complete Disclosure Micro-Organisms and Other Life Forms (Budapest Treaty, Deposit Requirements)
- 5.6.7.7 Claims define the Invention
- 5.6.7.8 Annex A - Examples: Subsections 40(2)(a) and 40(3)
- 5.6.8 Patent Eligible Subject Matter (Manner of Manufacture, Usefulness)
- 5.6.8.1 General Principles-Assessing Manner of Manufacture
- 5.6.8.2 Alleged Invention
- 5.6.8.3 Fine Arts
- 5.6.8.4 Discoveries, Ideas, Scientific Theories, Schemes and Plans
- 5.6.8.5 Printed Matter
- 5.6.8.6 Computer Implemented Inventions, Schemes and Business Methods
- 5.6.8.7 Games and Gaming Machines
- 5.6.8.8 Mathematical Algorithms
- 5.6.8.9 Methods of Testing, Observation and Measurement
- 5.6.8.10 Mere Working Directions
- 5.6.8.11 Nucleic Acids and Genetic Information
- 5.6.8.12 Micro-Organisms and Other Life Forms
- 5.6.8.13 Treatment of Human Beings
- 5.6.8.14 Human Beings and Biological Processes for Their Generation
- 5.6.8.15 Agriculture and Horticulture
- 5.6.8.16 Combinations, Collocations, Kits, Packages and Mere Admixtures
- 5.6.8.17 New Uses
- 5.6.8.18 Other Issues e.g. Contrary to Law, Mere Admixtures
- 5.6.8.19 Useful (Utility)
- 5.6.8.20 Annex A - History of Manner of Manufacture
- 5.6.9 Acceptance, Grant and Refusal of Applications
- 5.6.9.1 Conditions and Time for Acceptance
- 5.6.9.2 Postponement of Acceptance
- 5.6.9.3 Extension of Acceptance Period
- 5.6.9.4 Revocation of Acceptance
- 5.6.9.5 Refusal of Acceptance-Specific Circumstances
- 5.6.9.6 Refusal of an Application
- 5.6.9.7 Continued Examination-Result of a Decision
- 5.6.9.8 Lapsing of an Application
- 5.6.9.9 Withdrawal of an Application
- 5.6.9.10 Double Patenting - S64(2) and 101B(2)(h) - Multiple Applications
- 5.6.9.11 Parallel applications (applications for both innovation and standard)
- 5.6.9.12 Register of Patents
- 5.6.9.13 Annex A - Example Bar-to-Grant Letter (Accepted Despite Multiple Inventions)
- 5.6.9.14 Acceptance and QRS Issues
- 5.6.10 Divisional Applications
- 5.6.10.1 Requirements to Claim Divisional Status
- 5.6.10.2 Priority Entitlement
- 5.6.10.3 Time Limits for Filing
- 5.6.10.4 Status of the Parent
- 5.6.10.5 Examination of Divisional Applications
- 5.6.10.6 Innovation Divisional Applications
- 5.6.10.7 Annex A - Procedural Outline to Divisional Examination
- 5.6.11 Patents of Addition
- 5.6.11.1 Conditions for Filing
- 5.6.11.2 Improvement or Modification
- 5.6.11.3 Differentiation from the Parent
- 5.6.11.4 Examination of Additional Applications
- 5.6.11.5 Amendment of the Parent
- 5.6.11.6 Annex A - Procedural Outline to Patents of Addition Examination
- 5.6.12 Preliminary search and Opinion (PSO)
- 5.6.12.1 Requests for PSO
- 5.6.12.2 PSO - Search and Examination Procedure
- 5.6.12.3 PSO - Report Requirements
- 5.6.12.4 Response to the PSO
- 5.6.13 Re-Examination
- 5.6.13.1 Commencing Re-Examination
- 5.6.13.2 Re-Examination Process
- 5.6.13.3 Completion of Re-Examination
- 5.6.13.4 Refusal to Grant or Revocation Following Re-Examination
- 5.6.14 Prohibition Orders- Applications Concerning Defence of the Commonwealth and/or involving Associated Technology (e.g. enrichment of nuclear material)
- 5.6.14.1 Effect of Prohibition orders
- 5.6.14.2 Applications Concerning Defence of the Commonwealth
- 5.6.14.3 Applications Concerning ‘Associated Technology’ (Chapter 15 Applications)
- 5.6.15 Innovation Patents
- 5.6.15.1 The Innovation Patent System
- 5.6.15.2 Types of Innovation Patents
- 5.6.15.3 Formalities Check for Innovation Patents
- 5.6.15.4 Examination of Innovation Patents
- 5.6.15.5 Determining Innovative step
- 5.6.15.6 Certification, Opposition, Ceasing/Expiring of Innovation Patents
- 5.6.15.7 Annex - Innovation Patent Certification Form
- 5.6.16 Annex A - Procedural Outline for Full Examination of a Standard Patent Application
- 5.6.17 Annex B - Examination of National Phase Applications: Indicators of Special or Different Considerations
- 5.6.18 Annex C - Applicant and Inventor Details as Shown on PCT Pamphlet Front Page
- 5.6.19 Annex D - Example of PCT Pamphlet Front Page
- 5.7 Amendments
- 5.7.1 What can be Amended and When
- 5.7.1.1 What Documents can be Amended?
- 5.7.1.2 Who can Request Amendments (incl consent of licensees/mortgagees)?
- 5.7.1.3 When can Amendments be Requested?
- 5.7.1.4 Requirements to provide Reasons for Amendments
- 5.7.1.5 Withdrawal of Amendments
- 5.7.1.6 Circumstances where an amendment cannot be processed (i.e. pending court proceedings, Application has been Refused)
- 5.7.1.7 Granting Leave to Amend
- 5.7.1.8 Fees Associated with Amendments
- 5.7.1.9 Annex A - Guidelines for Completing the Voluntary Section 104 Allowance Form
- 5.7.2 Amendment of the Patent Request and Other Filed Documents
- 5.7.2.1 Form of the Request to Amend the Patent Request
- 5.7.2.2 Non-Allowable Amendments to Patent Request
- 5.7.2.3 Changing the Applicant or Nominated Person
- 5.7.2.4 Converting the Application
- 5.7.2.5 Amendments to the Notice of Entitlement and Other Documents
- 5.7.3 Amendments-Provisional Applications
- 5.7.4 Amendments to Complete Specifications
- 5.7.4.1 Form of proposed amendments (statement of proposed amendments)
- 5.7.4.2 Allowability of Amendments Prior to Acceptance
- 5.7.4.3 Allowability of Amendments After Acceptance
- 5.7.4.4 Allowability of Amendments After Grant
- 5.7.4.5 Amendments not Otherwise Allowable
- 5.7.4.6 Opposition to Amendments
- 5.7.4.7 Annex A - Amended Claims Format
- 5.7.5 Amendments to Correct a Clerical Error or Obvious Mistake
- 5.7.5.1 Definition of Clerical Error
- 5.7.5.2 Definition of Obvious Mistake
- 5.7.5.3 Evidence required to prove a Clerical Error or Obvious Mistake
- 5.7.6 Amendments Relating to Micro-Organisms and Sequence Listings
- 5.7.6.1 Insertion or Alteration of Sec 6(c) Information
- 5.7.6.2 Amendments or Corrections of Sequence Listings
- 5.7.7 Amendments during Opposition Proceedings
- 5.7.7.1 Initial Processing of the Request to Amend During Oppositions
- 5.7.7.2 Considering the Amendments and Comments from the Opponent
- 5.7.7.3 Considering Amendments as a Result of a Hearing Decision
- 5.7.7.4 Amendments where Decision of the Commissioner is Appealed
- 5.7.7.5 Annex A - Section 104 Amendments During Opposition Proceedings: Check Sheet
- 6. International
- 6.1 International Searching
- 6.1.1 Procedural Outline - PCT International Search
- 6.1.2 Introduction- International Searching
- 6.1.2.1 Overview- International Searching
- 6.1.2.2 Overview-International Search Opinion (ISO)
- 6.1.2.3 General Procedures
- 6.1.2.4 Extent of Search
- 6.1.2.5 Minimum Documentation
- 6.1.2.6 Examination Section Procedures
- 6.1.2.7 Searching Examiner
- 6.1.2.8 Other Considerations
- 6.1.2.9 Copending Applications
- 6.1.3 Search Allocation and Preliminary Classification
- 6.1.4 Unity of Invention
- 6.1.4.1 Unity of Invention Background
- 6.1.4.2 Determining Lack of Unity
- 6.1.4.3 Combinations of Different Categories of Claims
- 6.1.4.4 Markush Practice
- 6.1.4.5 Intermediate and Final Products in Chemical Applications
- 6.1.4.6 Biotechnological Inventions
- 6.1.4.7 Single General Inventive Concept
- 6.1.4.8 A Priori and A Posteriori Lack of Unity
- 6.1.4.9 Issuing the Invitation to Pay Additional Search Fees
- 6.1.4.10 Unsupported, Unclear, Long and/or Complex Claim Sets with Clear Lack of Unity
- 6.1.4.11 Payment of Additional Search Fees Under Protest
- 6.1.4.12 Completing the Search Report
- 6.1.4.13 Time for Completing the Search Report
- 6.1.4.14 Reported Decisions
- 6.1.4.15 Other Decisions from the EPO
- 6.1.5 Abstract and Title
- 6.1.6 Subjects to be Excluded from the Search
- 6.1.7 Claim Interpretation, Broad Claims, PCT Articles 5 and 6
- 6.1.7.1 Claim Interpretation According to the PCT Guidelines
- 6.1.7.1.1 PCT Guideline References and Flow Chart
- 6.1.7.1.2 Overview of the Hierarchy
- 6.1.7.1.3 Special Meaning, Ordinary Meaning, Everyday Meaning
- 6.1.7.1.4 Closed and Open Definitions and Implications for Interpretation
- 6.1.7.1.5 Implications of the Hierarchy on Searching
- 6.1.7.1.6 PCT GL Appendix Paragraphs 5.20[1] and 5.20[2]
- 6.1.7.1.7 Interpretation of Citations - Inherency
- 6.1.7.2 Broad Claims
- 6.1.7.3 PCT Articles 5 and 6
- 6.1.7.4 Claims Lacking Clarity and Excessive/Multitudinous Claims
- 6.1.7.5 Procedure for Informal Communication with the Applicant
- 6.1.8 Search Strategy
- 6.1.8.1 Introduction
- 6.1.8.2 The Three Person Team (3PT)
- 6.1.8.3 Area of Search
- 6.1.8.4 Search Considerations
- 6.1.9 Basis of the Search
- 6.1.10 Non-Patent Literature
- 6.1.11 Search Procedure
- 6.1.11.1 Overview - Novelty / Inventive Step
- 6.1.11.2 Inventive Step
- 6.1.11.3 Searching Product by Process Claims
- 6.1.11.4 Dates Searched
- 6.1.11.5 Conducting the Search
- 6.1.11.6 Useful Techniques ("piggy back/forward" searching)
- 6.1.11.7 Obtaining Full Copies
- 6.1.11.8 Considering and Culling the Documents
- 6.1.11.9 Ending the Search
- 6.1.11.10 Categorising the Citations
- 6.1.11.11 Grouping the Claims
- 6.1.12 Search Report and Notification Form Completion
- 6.1.12.1 Background Search Report and Notification Form Completion
- 6.1.12.2 Applicant Details
- 6.1.12.3 General Details
- 6.1.12.4 Fields Searched
- 6.1.12.5 Documents Considered to be Relevant
- 6.1.12.5.1 Selection of Documents Considered to be Relevant
- 6.1.12.5.2 Citation Category
- 6.1.12.5.3 Citation of Prior Art Documents
- 6.1.12.5.4 Citation of URLs
- 6.1.12.5.5 Citation Examples
- 6.1.12.5.6 Citing Patent Documents Retrieved from EPOQUE
- 6.1.12.5.7 Relevant Claim Numbers
- 6.1.12.6 Family Member Identification
- 6.1.12.7 Date of Actual Completion of the Search
- 6.1.12.8 Refund Due
- 6.1.12.9 Contents of Case File at Completion
- 6.1.13 Reissued, Amended or Corrected ISRs and ISOs
- 6.1.14 Priority Document
- 6.1.15 Foreign Patent Search Aids and Documentation
- 6.1.16 Assistance with Foreign Languages
- 6.1.17 Rule 91 Obvious Mistakes in Documents
- 6.1.18 Nucleotide and/or Amino Acid Sequence Listings
- 6.1.18.1 Background Nucleotide and/or Amino Acid Sequence Listings
- 6.1.18.2 Office Practice
- 6.1.18.3 Summary
- 6.1.19 Annexes
- Annex A - Blank ISR
- Annex B - Completed ISR
- Annex C - Completed ISR
- Annex D - Declaration of Non-Establishment of ISR
- Annex E - Completed Invitation to pay additional fees
- Annex F - Completed ISR with unity observations
- Annex H - Searching Broad Claims
- Annex I - Completed notification of change of abstract
- Annex J - Completed notification of decision concerning request for rectification
- Annex K - The role of the 3 Person Team in Searching
- Annex S - Refund of Search Fees
- Annex U - ISR Quality Checklist
- Annex V - Internet Searching
- Annex W - Obtaining full text from internet
- Annex Z - USPTO kind codes
- Annex AA - Markush Claims
- Annex BB - Article 5/6 Comparisons
- 6.2 International Type Searching
- 6.2.1 Procedural Outline International Type Search Report
- 6.2.2 Introduction - International Type Searching
- 6.2.3 Classification and Search Indication
- 6.2.4 Unity of Invention
- 6.2.5 Subjects to be Excluded from the Search
- 6.2.6 Obscurities, Inconsistencies or Contradictions
- 6.2.7 Abstract and Title
- 6.2.8 Search Report
- 6.2.9 Completing Search Report and Opinion Form
- 6.2.10 Annexes
- 6.3 International Examination
- 6.3.1 Procedural Outline Written Opinion
- 6.3.2 Introduction International Examination
- 6.3.3 The Demand and IPRPII
- 6.3.4 Top-up Search
- 6.3.5 First IPE action
- 6.3.5.1 Introduction - First IPE Action
- 6.3.5.2 Supplementary International Search Report
- 6.3.5.3 PCT Third Party Observations
- 6.3.6 Response to Opinion
- 6.3.7 IPRPII and Notification
- 6.3.8 Completing ISO, IPEO and IPRPII Forms
- 6.3.8.1 Front Page and Notification Application Details
- 6.3.8.2 Box I Basis of Opinion/Report for ISOs, IPEOs and IPRPs
- 6.3.8.3 Box II Priority
- 6.3.8.4 Box III Non-establishment of Opinion
- 6.3.8.5 Box IV Unity of Invention
- 6.3.8.6 Box V Reasoned Statement Regarding Novelty, Inventive Step & Industrial Applicability
- 6.3.8.7 Box VI Certain Documents Cited
- 6.3.8.8 Box VII Certain Defects
- 6.3.8.9 Box VIII Certain Observations
- 6.3.9 General Considerations
- 6.3.9.1 Article 19 or Article 34(2)(b) Amendments
- 6.3.9.2 Formalities
- 6.3.9.3 General Notes on Form Completion
- 6.3.9.4 Rule 91 Obvious Mistakes in Documents
- 6.3.9.5 Processing withdrawals of PCTs
- 6.3.10 Annexes
- Annex A - Written Opinion-ISA
- Annex B - Written Opinion-IPEO
- Annex C - Notification of Transmittal of IPERII
- Annex D - IPRPII
- Annex E - IPRPII Clear Novel and Inventive Box V Only
- Annex F - Invitation to Restrict/Pay Additional Fees - Unity
- Annex G - Extension of Time Limit
- Annex H - IPE Quality Checklist
- Annex I - Examples of Inventive Step Objections
- Annex J - Examples of Objections under PCT Articles 5 and 6
- Annex K - Example of PCT Third Party Observations
- Annex L - Blank Written Opinion - ISA
- Annex M - Blank Written Opinion - IPEO
- Annex N - Blank IPRPII
- Annex O - ISO/ISR with Omnibus Claims
- Annex P - PCT Timeline
- Annex Z - Best Practice Examples
- 6.4 Fiji Applications
- 6.4.1 Introduction
- 6.4.2 Completion Time and Priority
- 6.4.3 Initial Processing
- 6.4.4 Search Procedure
- 6.4.5 Search Report and Advisory Opinion
- 6.4.6 Further Advisory Opinion
- 6.4.7 Final Processing
- 6.4.8 Annexes
- 6.5 Thai Applications
- 6.5.1 Introduction to Thai Applications
- 6.5.2 Completion Time and Priority Thai
- 6.5.3 Initial Processing Thai
- 6.5.4 Search Procedure Thai
- 6.5.5 Search Report Thai
- 6.5.6 Final Processing Thai
- 6.5.7 Annex A - Thai Search Report
- 6.6 WIPO Searches
- 6.6.1 Introduction
- 6.6.2 Completion Time and Priority
- 6.6.3 Initial Processing
- 6.6.4 Search Procedure
- 6.6.5 Search Report
- 6.6.6 Final Processing
- 6.6.7 Annexes
- 6.7 Other Countries
- 6.8 PCT Articles, Regulations and Guidelines et al
- 6.9 Miscellaneous
- 7. Oppositions, Disputes and Extensions
- 7.1 Role and Powers of the Commissioner in Hearings
- 7.2 Oppositions, Disputes and other proceedings-Procedural summaries
- 7.2.1 Oppositions to grant of a standard patent-Section 59 oppositions
- 7.2.1.1 Commencing the Opposition - Filing a Notice of Opposition
- 7.2.1.2 Filing the Statement of Grounds and Particulars
- 7.2.1.3 Evidence and Evidentiary Periods
- 7.2.1.4 Finalising the Opposition
- 7.2.2 Opposition to Innovation Patents-Section 101M Oppositions
- 7.2.2.1 Commencing the Opposition - Filing the Opposition Documents
- 7.2.2.2 Evidence and Evidentiary Periods
- 7.2.2.3 Finalising the Opposition
- 7.2.3 Oppositions to an Extension of Term of a Pharmaceutical Patent (Section 75(1) Oppositions)
- 7.2.3.1 Commencing the Opposition - Filing a Notice of Opposition
- 7.2.3.2 Filing the Statement of Grounds and Particulars
- 7.2.3.3 Evidence and Evidentiary Periods
- 7.2.3.4 Finalising the Opposition
- 7.2.4 Oppositions to Request to Amend an Application or Other Filed Document (Section 104(4) Oppositions)
- 7.2.4.1 Commencing the Opposition - Filing a Notice of Opposition
- 7.2.4.2 Filing the Statement of Grounds and Particulars
- 7.2.4.3 Evidence and Evidentiary Periods
- 7.2.4.4 Finalising the Opposition
- 7.2.5 Oppositions to Extensions of Time Under Section 223 (Section 223(6) Oppositions
- 7.2.5.1 Commencing the Opposition - Filing a Notice of Opposition
- 7.2.5.2 Filing the Statement of Grounds and Particulars
- 7.2.5.3 Evidence and Evidentiary Periods
- 7.2.5.4 Finalising the Opposition
- 7.2.6 Oppositions to Grant of a Licence (Regulation 22.21(4) Oppositions)
- 7.2.6.1 Commencing the Opposition - Filing a Notice of Opposition
- 7.2.6.2 Filing the Statement of Grounds and Particulars
- 7.2.6.3 Evidence and Evidentiary Periods
- 7.2.6.4 Finalising the Opposition
- 7.2.7 Disputes Between Applicants and Co-Owners (Directions Under Section17 and Determinations Under Section 32)
- 7.2.8 Entitlement Disputes (Applications Under Sections 33-36 and 191A)
- 7.3 Directions
- 7.3.1 Directions in Opposition Proceedings
- 7.3.1.1 Direction to Stay an Opposition Pending Another Action
- 7.3.1.2 Further and Better Particulars
- 7.3.1.3 Time for Filing Evidence in a Substantive Opposition
- 7.3.1.4 Time for Filing Evidence in a Procedural Opposition
- 7.3.1.5 General Conduct of Proceedings
- 7.3.1.6 Further Directions
- 7.3.2 Directions that an Application Proceed in Different Name(s) - Section 113
- 7.4 Opposition Documents, Requirements and Amendments
- 7.4.1 Notice of Opposition
- 7.4.2 Statement of Grounds and Particulars
- 7.4.3 Amending Opposition Documents
- 7.4.4 Filing of Opposition Documents
- 7.5 Evidence
- 7.5.1 Presentation of Evidence
- 7.5.1.1 Written Evidence and Declarations
- 7.5.1.2 Oral Evidence
- 7.5.1.3 Physical Evidence - Special Considerations
- 7.5.2 Admissibility of Evidence
- 7.5.3 Evidence Filed Out of Time
- 7.6 Production of Documents, Summonsing Witnesses
- 7.6.1 Requests for Commissioner to Exercises Powers Under Section 210(1)(a) & 210(1)(c)
- 7.6.2 Basis for Issuing a Summons
- 7.6.3 Basis for Requiring Production of Documents or Articles
- 7.6.4 Reasonable Expenses
- 7.6.5 Complying with the Summons or Notice to Produce, Reasonable Excuses
- 7.6.6 Sanctions for Non-Compliance
- 7.6.7 Schedule to Requests for Summons or Notice to Produce
- 7.7 Withdrawal and Dismissal of Oppositions
- 7.7.1 Withdrawal of an Opposition
- 7.7.2 Dismissal of an Opposition
- 7.7.2.1 Requests for Dismissal
- 7.7.2.2 Dismissal on the Initiative of the Commissioner
- 7.7.2.3 Reasons for Dismissal
- 7.7.3 Withdrawal of an Opposed Application
- 7.8 Hearings and Decisions
- 7.8.1 Setting Down Hearings
- 7.8.1.1 Setting of Hearing
- 7.8.1.2 Location and Options for Appearing
- 7.8.1.3 Hours of a Hearing
- 7.8.1.4 Hearing Fee
- 7.8.1.5 Who May Appear at a Hearing?
- 7.8.1.6 Relevant Court Actions Pending
- 7.8.2 Hearings Procedure
- 7.8.2.1 Overview of Proceedings
- 7.8.2.2 Adjournment of Hearings
- 7.8.2.3 Contact with Parties Outside of Hearing
- 7.8.2.4 Hearings Involving Confidential Material
- 7.8.2.5 Consultation with Other Hearing Officers
- 7.8.2.6 Hearings and the Police
- 7.8.3 Ex Parte Hearings
- 7.8.4 Natural Justice and Bias
- 7.8.4.1 Rules
- 7.8.4.2 Waiving of Objection of Bias by Standing by until Decision Issued
- 7.8.4.3 Bias as a Result of Contact with Parties Outside of Hearing
- 7.8.4.4 Bias as a Result of Other Proceedings Involving the Same Parties
- 7.8.5 Principles of Conduct
- 7.8.5.1 Lawfulness
- 7.8.5.2 Fairness
- 7.8.5.3 Rationality
- 7.8.5.4 Openness
- 7.8.5.5 Diligence and Efficiency
- 7.8.5.6 Courtesy and Integrity
- 7.8.6 Decisions
- 7.8.6.1 Written Decisions
- 7.8.6.2 Time for Issuing a Decision
- 7.8.6.3 Publication of Decisions
- 7.8.6.4 Rectification of Errors or Omissions in Decisions
- 7.8.6.5 Revocation of Decisions
- 7.8.7 Further Hearings
- 7.8.8 Final Determinations
- 7.8.8.1 Overview of Proceedings
- 7.8.8.2 Applicant Does Not Propose Amendments
- 7.8.8.3 Opponent Withdraws the Opposition
- 7.8.9 Quality
- 7.8.10 Appointment of Hearing Officers and Assistant Hearing Officers, Hearing Officer Standards Panel, Hearing Officer Delegations
- 7.9 Costs
- 7.9.1 Principles in Awarding Costs
- 7.9.2 Scale of Costs, Variation of the Scale
- 7.9.3 Awarding Costs, Taxation
- 7.9.4 Security for Costs
- 7.9.5 Exemplary Situations in Awarding Costs
- 7.10 The Register of Patents
- 7.10.1 What is the Register
- 7.10.2 Recording Particulars in the Register
- 7.10.2.1 Recording New Particulars in the Register
- 7.10.2.2 Change of Ownership
- 7.10.2.2.1 Assignment
- 7.10.2.2.2 Change of Name
- 7.10.2.2.3 Bankruptcy
- 7.10.2.2.4 Winding Up of Companies
- 7.10.2.2.5 Death of Patentee
- 7.10.2.3 Security Interests
- 7.10.2.4 Licences
- 7.10.2.5 Court Orders
- 7.10.2.6 Equitable Interests
- 7.10.2.7 Effect of Registration or Non-Registration
- 7.10.2.8 Trusts
- 7.10.2.9 False Entries in the Register
- 7.10.3 Amendment of the Register
- 7.11 Extensions of Time and Restoration of Priority
- 7.11.1 Extensions of Time - Section 223
- 7.11.1.1 Relevant Act
- 7.11.1.2 Subsection 223(1) - Office Error
- 7.11.1.2.1 Extensions under Subsection 223(1) to Gain Acceptance
- Annex A - Section 223(1) Extension of Time for Acceptance File Note
- 7.11.1.3 Subsection 223(2) - Error or Omission and Circumstances Beyond Control
- 7.11.1.3.1 The Law
- 7.11.1.3.2 Subsection 223(2)(a) - Error or Omission
- 7.11.1.3.3 Section 223(2)(b) - Circumstances Beyond Control
- 7.11.1.3.4 Filing a Request under Subsection 223(2)
- 7.11.1.3.5 The Commissioner's Discretion
- 7.11.1.4 Subsection 223(2A) - Despite Due Care
- 7.11.1.5 Common Deficiencies in Requests under Section 223(2) or (2A)
- 7.11.1.6 Advertising an Extension - Subsection 223(4)
- 7.11.1.7 Extension of Time for an Extension of Term
- 7.11.1.8 Grace Period Extensions
- 7.11.1.9 Extension of Time to Gain Acceptance
- 7.11.1.10 Examination Report Delayed or Not Received
- 7.11.1.11 Co-pending Section 104 Application - Budapest Treaty Details
- 7.11.1.12 Payment of Continuation or Renewal Fees Pending a Section 223 Applicaiton
- 7.11.1.13 Person Concerned: Change of Ownership
- 7.11.1.14 Date of a Patent Where an Extension of Time is Granted to Claim Priority
- 7.11.2 Extensions of Time - Reg 5.9
- 7.11.2.1 Requesting an Extension of Time
- 7.11.2.2 Application of the Law
- 7.11.2.3 Justification for the Extension
- 7.11.2.4 Discretionary Matters
- 7.11.2.5 Period of an Extension
- 7.11.2.6 A Hearing in Relation to an Extension
- 7.11.2.7 Parties Involved in Negotiations
- 7.11.2.8 Review of a Decision to Grant or Refuse an Extension
- 7.11.2.9 "Out of Time" Evidence
- 7.11.3 Extensions of Time - Reg 5.10 (as in force immediately before 15 April 2013)
- 7.11.4 Restoration of the Right of Priority Under the PCT
- 7.12 Extensions of Term of Standard Patents Relating to Pharmaceutical Substances
- 7.12.1 Section 70 Considerations
- 7.12.1.1 Pharmaceutical Substance per se
- 7.12.1.2 Meaning of Pharmaceutical Substance
- 7.12.1.3 Meaning of "when produced by a process that involves the use of recombinant DNA technology"
- 7.12.1.4 Meaning of "mixture or compound of substances"
- 7.12.1.5 Meaning of "in substance disclosed"
- 7.12.1.6 Meaning of "in substance fall within the scope of the claim"
- 7.12.1.7 Included in the Goods
- 7.12.1.8 First Regulatory Approval Date
- 7.12.2 Applying for an Extension of Term
- 7.12.2.1 Documentation Required
- 7.12.2.2 Time for Applying
- 7.12.2.3 Extension of Time to Apply for an Extension of Term
- 7.12.3 Processing an Application for an Extension of Term
- 7.12.3.1 Initial Processing
- 7.12.3.2 Consideration of the Application
- 7.12.3.3 Grant of Application for Extension of Term
- 7.12.3.4 Refusal of Application for Extension of Term
- 7.12.4 Calculating the Length of the Extension of Term
- 7.12.5 Patents of Addition
- 7.12.6 Divisional Applications
- 7.12.7 Oppositions to an Extension of Term
- 7.12.8 Relevant Court Proceedings Pending
- 7.12.9 Rectification of the Register
- 7.13 Orders for Inspection of non OPI Documents
- 7.13.1 Documents not-OPI by direction of the Commissioner - Regulation 4.3(2)(b)
- 7.13.2 Inspection of non-OPI Documents
- 7.14 Appeals AAT, ADJR, The Courts
- 7.14.1 Appeals to the Federal Court
- 7.14.2 Administrative Review Tribunal (ART) Review
- 7.14.3 Judicial Review (ADJR)
- 7.14.4 Other Court Actions Involving the Commissioner
- 7.14.5 Section 105 Amendments
- 7.15 Computerised Decisions
- 8. Superseded Legislation and Practice
- 8.1 Summary of Relevant Legislative Changes
- 8.2 General Approach to Examination
- 8.2.1 Restriction of the Report
- 8.2.2 Not All Claims Previously Searched and/or Examined
- 8.2.3 Law and Practice Differences
- 8.3 Amendments
- 8.3.1 Allowability of Amendments to Complete Specifications
- 8.3.2 Allowability Under Section 102(1)
- 8.3.3 Allowability Under Section 102(2) - General Comments
- 8.3.4 Amendments to a Provisional Specification
- 8.3.5 Opposition to Amendments - Standard Patents
- 8.4 Novelty
- 8.4.1 Introduction
- 8.4.2 Prior Art Information
- 8.4.3 Exclusions
- 8.4.4 Doctrine of Mechanical Equivalents
- 8.4.5 Basis of the "Whole of Contents" Objection
- 8.5 Inventive Step
- 8.5.1 The Statutory Basis for Inventive Step
- 8.5.2 Prior Art Base
- 8.5.3 Assessing Inventive Step in Examination
- 8.5.4 Common General Knowledge
- 8.5.5 Determining the Problem
- 8.5.6 Identifying the Person Skilled in the Art
- 8.5.7 Could the PSA have Ascertained, Understood, Regard as Relevant and Combined the Prior Art Information
- 8.5.7.1 Ascertained
- 8.5.7.2 Understood
- 8.5.7.3 Regarded as Relevant
- 8.5.7.3.1 Document Discloses the Same, or a Similar, Problem
- 8.5.7.3.2 Document Discloses a Different Problem
- 8.5.7.3.3 Age of the Document
- 8.5.7.3.4 Would the Person Skilled in the Art Have Used the Document to Solve the Problem
- 8.5.7.4 Does the Document Constitute a Single Source of Information
- 8.5.7.5 Could the PSA be Reasonably Expected to Have Combined the Documents to Solve the Problem
- 8.6 Innovative Step
- 8.7 Section 40 Specifications
- 8.7.1 Overview
- 8.7.2 What is the Invention?
- 8.7.2.1 General Considerations
- 8.7.2.2 Approach in Lockwood v Doric
- 8.7.2.3 Consistory Clause
- 8.7.2.4 Requirement for Critical Analysis
- 8.7.2.5 "Essential Features" of the Invention
- 8.7.3 Full Description - Best Method
- 8.7.3.1 Date for Determining Full Description
- 8.7.3.2 Can the Nature of the Invention be Ascertained?
- 8.7.3.3 Compliance with Subsection 40(2) is a Question of Fact
- 8.7.3.4 Enabling Disclosures
- 8.7.3.5 Effort Required to Perform the Invention
- 8.7.3.6 Different Aspects Claimed in Different Claims
- 8.7.3.7 Inclusion of References
- 8.7.3.8 Trade Marks in Specifications
- 8.7.3.9 Colour Drawings and Photographs
- 8.7.4 Claims Define the Invention
- 8.7.5 Claims are Fairly Based
- 8.7.5.1 General Principles
- 8.7.5.2 Sub-Tests for Fair Basis
- 8.7.5.3 Relation Between the Invention Described and the Invention Claimed
- 8.7.5.4 Only Disclosure is in a Claim
- 8.7.5.5 Alternatives in a Claim
- 8.7.5.6 Claiming by Results
- 8.7.5.7 Reach-Through Claims
- 8.7.5.8 Claims to Alloys
- 8.7.6 Provisional Specifications
- 8.7.7 Complete Applications Associated with Provisional Applications
- 8.8 Patentability Issues
- 8.9 Abstracts
- 8.10 Divisional Applications
- 8.10.1 Application
- 8.10.2 Priority Entitlement
- 8.10.3 Time Limits for Filing Applications
- 8.10.4 Subject Matter
- 8.10.5 Amendment of Patent Request - Conversion of Application to a Divisional
- 8.10.6 Case Management of Divisional Applications
- 8.11 Priority Dates and Filing Dates
- 8.11.1 Priority Date of Claims
- 8.11.2 Priority Date Specific to Associated Applications (Priority Dociment is a Provisional)
- 8.11.3 Priority Date Issues Specific to Convention Applications
- 8.11.4 Priority Date Issues Relating to Amended Claims
- 8.12 Examination
- 8.13 Modified Examination
- 8.14 Petty Patents
- 8.15 National Phase Applications
- 8.15.1 Key Features of the Legislation
- 8.15.2 National Phase Preliminaries
- 8.15.3 Formality Requirements
- 8.15.4 Priority Sources
- 8.15.5 Determining Whether Amendments Made Under Articles and Rules of the PCT are Considered During Examination
- 8.15.6 Amendments During Examination
- 8.16 Convention Applications
- 8.16.1 Convention Country Listing
- 8.16.2 Convention Country Status Change
- 8.16.3 Basic Application Outside 12 Month Convention Period
- 8.16.4 Convention Priority Dates
- 8.17 Patent Deed
5.6.7.8 Annex A - Examples: Subsections 40(2)(a) and 40(3)
Note: During examination, each application should be considered on its own merits, based on a proper construction of the specification and claims and the facts of the case. These examples are provided for guidance only and are not intended to establish rules to be followed outside the principles for examination outlined in 5.6.7.2 Clear Enough and Complete Enough Disclosure and 5.6.7.3 Support for the Claims.
On this page
- Section 40 Enabling Disclosure (Including Undue Burden)
- Chemistry
- Synergism
- Markush Claims
- Biotechnology
- Broad Claims
- Reach-Through Claims
- Antibody Claims
- Methods of Treatment
- Pharmaceutical
- Mechanical
- Computer-Related Inventions
- Support (Broader Than is Justified by the Contribution to the Art)
- Chemistry
- Biotechnology
- Support (Inconsistency)
- Claims Supported Despite Apparent Inconsistencies
Section 40 Enabling Disclosure (Including Undue Burden)
Under s40(2)(a), the clear enough and complete enough (enabling) disclosure must be found in the complete specification. For s40(3), the enabling disclosure to support the claims must be found in the description, drawings, graphics, photographs and sequence listing. Subject to this distinction, in general where the disclosure is not enabling, objections under both s40(2)(a) and s40(3) will apply.
Chemistry
- Where the applicant claimed a surgical suture made of a particular polymer, and the application did not indicate the need for adequately drying the polymer and freeing it from undesired monomer, the complete specification was found to provide an enabling disclosure, since these were steps which ‘the instructed reader desirous of achieving success could be expected, if necessary, to take’ (American Cyanamid v Ethicon [1979] RPC 265).
- The claims defined an amphiphilic segment polyurethane in a block co-polymer in broad functional terms, i.e. the desired end effect. The application disclosed one mechanism of achieving this result. In this case, there was no suggestion that the desired end effect was a known goal. The claims were enabled because the specification disclosed a principle of general application, and alternative ways of applying the principle to perform the invention over the whole scope of the claims would have been apparent to the person skilled in the art based on the common general knowledge in the art (EPO T 484/92).
Synergism
3. Claims often define compositions comprising a ‘synergistic’ combination of two or more compounds. Synergism between compounds is unpredictable in nature and not all combinations of any two or more compounds will necessarily exhibit this property. Consequently, where the claims define a synergistic combination and the specification contains little or no guidance on, for example, appropriate concentrations or ratios of the compounds that will provide the synergistic result, it would impose an undue burden if the person skilled in the art was required to test all possible combinations to determine those falling within the scope of the claims.
Markush Claims
In order that claims defining a class of compounds in terms of a Markush structure are supported over their whole scope, the body of the specification must provide sufficient information to enable the skilled addressee to make every compound falling within the scope of the claims.
Where the activity of the class of compounds is a feature of the claim, the class of compounds must be such that the person skilled in the art would have a reasonable expectation that all of the class members will behave in the same way, in the context of the invention disclosed in the specification. If this is not the case, the specification, or the common general knowledge in the art, must provide a means by which the compounds with the relevant activity can be identified without imposing an undue burden on the skilled addressee (see 5.6.7.2 Clear enough and complete enough disclosure s40(2)(a)).
4. The specification teaches a Markush structure having a particular pharmacophore to which activity is attributed, and there is a reasonable prediction of activity across the whole scope of the claims. The specification only exemplifies a narrow subset of compounds and provides a generic synthetic scheme for only a subset of the claimed class.
The disclosure will not be enabling if the specification provides insufficient guidance for the person skilled in the art to make each and every compound falling within the scope of the claims, and this information cannot be derived from the common general knowledge in the art. This will be the case whether or not the activity is a feature of the claim.
5. The specification discloses a broad Markush formula and discloses schemes and/or examples for the synthesis of compounds over a sufficiently representative range, but only provides biological data for a very limited subset of compounds, such that there is considerable doubt as to whether the activity is present for the whole range claimed.
Where the compounds per se are claimed without reference to the activity, the claims will be enabled where the specification provides sufficient information for the person skilled in the art to make the compounds over the whole scope of the claims. (In this situation, examiners may need to consider whether the claimed compounds that do not have the activity satisfy the usefulness requirements of s18(1)(c)).
Where the claims are directed to those compounds of the class that possess the relevant activity, and it is not reasonable to expect that all of the class will have the activity, the specification will only provide an enabling disclosure if:
- it provides sufficient information for the person skilled in the art to make all of the compounds; and
- it provides sufficient information to identify the compounds with the relevant activity without undue burden or the need for further invention. (Each case must be determined on its merits – see Undue Burden and Broad or Speculative Claims).
Biotechnology
6. In Medimmune Ltd v Novartis Pharmaceuticals UK Ltd, Medical Research Council [2011] EWHC 1669 (Pat), broadly drafted claims encompassed methods for producing specific binding molecules, using phage display followed by recombinant production of binding molecules with the desired specificity. The invention disclosed in the specification was a principle of general application (see Section 40 Enabling Disclosures). At its core was a method for selecting a binding molecule of interest from amongst a potentially large population of other binding molecules. The method did not depend on the precise identity of the binding molecule. On the contrary, the method was useful since it could be applied to a diverse range of binding molecules, fragments and derivatives. Neither did the method depend on the precise application to which it was put. The disclosure of one application of the general principle enabled the full width of the claims, since implementation of the method for the purpose of a new application did not impose an undue burden on the skilled team.
Broad Claims
7. In DSM NV’s Patent [2001] RPC 19, a specification was found to impose an undue burden in respect of broadly drafted claims to DNA sequences. The specification disclosed the gene sequence of a novel enzyme and taught that the addition of the enzyme to animal feed had beneficial effects. The nature of the invention in this case was described in the specification as the microbial production of phytase.
The specification included claims to:
- A DNA sequence encoding a fungal phytase which catalyses the liberation of at least one inorganic phosphate from a myoinositol phosphate, said DNA sequence being selected from the group consisting of:
(a) … (b) …; and
(c) DNA sequences hybridising at low stringency conditions (6X SSC; 50ºC overnight; washing in 6X SSC at room temperature) with a DNA fragment corresponding to a cDNA of the nucleotide sequence depicted in Figure 6 from position 210 to 1129. - A DNA sequence which is related to the DNA sequence of claim 1 by the degeneration of the genetic code.
The stringency conditions in claim 1(c) were so low that the overwhelming majority of the DNA which appeared to bind in these conditions was not phytase DNA. The Court found that the person skilled in the art seeking to implement the teaching of the specification in respect of claim 1(c), would be required to depart from the express teaching of the specification, to experiment over what might be a long period of time, and even then only possibly identify and isolate all of the sequences that fell within the scope of the claims. This was found to impose an undue burden.
Claim 2 was wider than claim 1 and was not enabled, for the same reasons that claim 1(c) was not enabled.
8. In Genentech I/Polypeptide expression (T292/85) [1989] OJ EPO 275, the specification was found to contain an enabling disclosure of Genentech’s claims to a plasmid suitable for transforming a bacterial host, which included an expression control sequence to allow the expression of exogenous DNA as a recoverable polypeptide. The Court considered that the general terms ‘plasmid’, ‘bacterial host’ and ‘exogenous DNA’ were each principles of general application. Genentech had obviously not tried the invention using every plasmid, every bacterial host or every sequence of exogenous DNA. However, the broad claim was fully enabled because the invention could be reasonably expected to work with anything that fell within the scope of each of these terms.
Reach-Through Claims
9. ‘Reach-through’ claims define compounds in terms of specific properties identified in a screening assay. This style of claim is more prevalent in the chemical and biochemical areas. If the relationship between the function of the compounds and their structural features is not defined, it would impose an undue burden if the person skilled in the art is required to:
- isolate and characterise all compounds potentially falling within the scope of such claims, without any effective direction as to their identity; and/or
- test every known compound and every conceivable future compound for the activity to determine whether it falls within the scope of the claim.
The fact that the complete specification teaches how to test for the activity used to define the compounds does not necessarily mean that sufficient information is provided to constitute an enabling disclosure. In fact, it constitutes an invitation for the skilled person to perform a research programme (see EPO decisions T 435/91 (Reasons 2.2.1) and T 1063/06 (Headnote II)).
Antibody Claims
10. The specification relates to the generation of antibodies that specifically bind to a new epitope (Epitope A).
Claim 1 to an antibody that specifically binds epitope A would be fully enabled where the applicant had disclosed the epitope and shown that antibodies can be raised against it. This is because raising antibodies to that epitope is a principle that can be generally applied to produce antibodies over the whole scope of the claim. The specification need only disclose one such antibody.
Claim 2 to an antibody defined in terms of the six CDR sequences will be sufficiently enabled by the disclosure of the CDR sequences. This is a relatively narrow claim. The CDRs can be synthesised and inserted into the various antibody frameworks as a matter of routine.
Claim 3 is to an antibody that specifically binds epitope A where the antibody comprises ‘one or more’ of six disclosed CDRs. In general (each application must be considered on its merits), performing the invention over the whole scope of the claim would represent an undue burden.
Claim 3 encompasses a subset of the antibodies of claim 1, and many more antibodies than claim 2. The disclosure of the epitope is not a principle of general application that can be applied to generate the antibodies in the claimed subset, to the exclusion of other antibodies not encompassed by the claim. The skilled addressee is required to generate all of the antibodies of claim 1 and then perform the additional step of sequencing them to determine those that fall within the claimed subset. This is more work than that required for claim 1 and would take longer than the skilled addressee would normally expect to take in raising antibodies. Consequently, performing the invention defined in this claim would impose an undue burden.
Claim 4 is to an antibody comprising ‘one or more’ of the disclosed CDRs with no associated activity.
In general, it would represent an undue burden for the person skilled in the art to determine all possible antibodies that fall within the scope of the claim and to produce them all. This claim encompasses all of the antibodies of claim 3, and in addition all possible antibodies with ‘one or more’ of the 6 disclosed CDRs that do not bind epitope A. The epitope is not a principle that can be applied to produce all of the antibodies claimed. The skilled addressee would have to determine all possible antibody sequences that fall within the claim and make each one. This would take much longer than the person skilled in the art would normally expect to take in generating antibodies, and would impose an undue burden.
For claims 3 and 4, the skilled addressee would possess the skills to perform the invention as claimed. However, the time it would take to make every possible antibody having one or more CDRs falling within these claims, is longer than the normal expectation of the person skilled in the art given the nature of the invention disclosed in the specification, i.e. raising antibodies (see 5.6.7.2 Clear enough and complete enough disclosure s40(2)(a)).
Note however, that this is not prescriptive. What represents an undue burden depends on the facts of the case. For example, if the specification relates to the production of a fully defined antibody library, the skilled addressee might expect to generate a large number of antibodies and then sequence them all.
11. In Kirin-Amgen v Hoechst Marion Roussel Ltd [2004] UKHL 46; [2005] RPC 9, Lord Hoffmann observed obiter that the specification was insufficient. In Australia, objections under s40(2)(a) and s40(3) would apply. However, it should be noted that in this case the finding was only possible in retrospect, after Hoechst had developed their new method for recombinant production of erythropoietin.
Amgen (the patentee) had in the late 70s to early 80s sequenced the human erythropoietin gene and expressed it as an exogenous sequence in a host cell. In order to claim erythropoietin per se, which was known in the art, Amgen claimed recombinant erythropoietin in broadly drafted product by process claims, that were construed by the Court to encompass erythropoietin produced by any method involving recombinant DNA technology.
Based on the knowledge of the gene sequence, Hoechst later produced an identical erythropoietin product by ‘gene activation’, i.e. by introducing expression control sequences upstream of the endogenous gene in a human cell. Although their strategy was different, Hoechst’s product fell within the scope of Amgen’s product by process claims since its production involved recombinant DNA technology.
The Court noted that the facts of this case did not support a broad claim based on the application of the general principle of using recombinant DNA technology to produce the protein. Amgen’s patent only taught a method of expressing the gene by introducing the coding sequence into a host cell. It did not provide any generic disclosure that enabled Hoechst’s gene activation method. Furthermore, since it was a different method, Hoechst’s method did not constitute a version of Amgen’s process which, although untried, could reasonably be expected to work as well (Kirin-Amgen at [114]-[116]). The claims therefore encompassed an embodiment that was not enabled and which owed nothing to the teaching of the patent or any principle which it disclosed.
Methods of Treatment
Note: When examining method of treatment claims, issues of support should also be considered (see 5.6.7.3 Support Required for Pharmaceutical Inventions and Methods of Treatment. The principles provided in that part apply equally to methods of treatment of plants and any other organism).
12. A disclosure of the treatment of sugar beet seedlings, in the absence of any indication that the treatment was a principle of general application such that the skilled addressee would have a reasonable expectation that the treatment would work with any hydrated seedling, will not sufficiently enable a broad claim to:
‘A process for the treatment of hydrated seedlings which comprises subjecting the seedlings to cold shock at a temperature below 0°C for a period sufficiently long to affect the size of the resulting plant.’
Similarly, where the description refers only to protecting tomatoes, cucumbers and potatoes against particular diseases, unless the specification teaches a principle of general application such that the skilled addressee would have a reasonable expectation that the treatment would work with any plant, an independent claim directed to a process for increasing the resistance of any plant to any disease or internal malfunction, by treating it with one or other of a number of specified compounds in an amount sufficient to increase the resistance, would not be enabled over its entire scope. Where no general principle exists that would enable the treatment of any plant, the description must provide a sufficient range of examples, relating to different kinds of plants, to enable the skilled addressee to deduce how the process should be applied to virtually any plant.
Where the claims are so broad as to claim methods of treatment that have not been enabled, the claims will also exceed the applicant’s contribution to the art.
Pharmaceutical
13. If a claim is to a ‘slow release’ formulation of a known drug, the specification must provide sufficient information to enable the person skilled in the art to produce a product having the desired characteristics, without embarking on a research program.
14. A claim relates to the use of an inhibitor of protein X to cure cancer Y. If the specification discloses the principle that inhibition of protein X is all that is required to cure cancer Y, then it is reasonable to expect that the curative treatment will work with anything falling within the scope of the term ‘inhibitor of protein X’. In this situation, the claim defining the inhibitor in general terms will be enabled over its whole scope, even where the applicant has only exemplified the use of one such inhibitor (see also Reach-Through Claims).
15. A claim related to the use of compound A or derivatives thereof for the preparation of a medicament for inhibiting organ or tissue transplant rejection in a mammal in need thereof. The specification contained no disclosure enabling the skilled person to determine which of the many possible derivatives of compound A would have worked. Although there was a strong possibility that some of the large number of derivatives would work in the same way as compound A, it was impossible to say which would work, unless the skilled person undertook the ‘vast and correspondingly burdensome’ research task necessary. This would impose an undue burden.
16. The applicants filed their patent application, claiming amongst other things a vaccine. It then took them several years to successfully produce a vaccine. In this situation, since the applicants themselves had to undertake significant further research in order to produce something falling within the scope of the claim, the Court found that the complete specification did not disclose the claimed vaccine in a manner which enabled the vaccine to be prepared by the person skilled in the art (Chiron Corporation v Organon Teknika Ltd [1994] FSR 202).
Mechanical
17. The disclosure of an invention is not incomplete merely because the skilled addressee is required to make routine and non-inventive variation(s) to successfully perform the invention claimed. For example, in an invention in which a switchable semi-conductor was used for switching electric circuits on and off without using contacts, residual current continued to flow in the circuit when switched off. If this residual current adversely affected the use of the switch, and the person skilled in the art could modify the semi-conductor to overcome the residual current problem by routine techniques in a reasonable time frame given the nature of the invention, performance of the invention would not impose an undue burden.
18. A claim defines a radiation filter capable of filtering light of any wavelength. The description discloses a number of wide band filters that are known in the art to only work within the visual part of the spectrum. Consequently, the disclosure does not provide sufficient information to enable the person skilled in the art to make the radiation filter over the whole scope of the claim. However, if the description teaches new methods or principles that allow the application of the radiation filter to any wavelength of light, then the claims will be enabled by the disclosure.
19. A claim refers to a photovoltaic cell with ‘means for enhancing spectral response to wavelengths in a photovoltaic cell’ and ‘means for mitigating bulk recombination losses for the photovoltaic cell’. Improving the spectral response to wavelengths and mitigating bulk recombination losses are both known problems in creating a photovoltaic cell. The description outlines particular means of achieving these that are only applicable to certain types of photovoltaic cells comprising certain particular materials.
The claims are therefore not enabled over their whole scope, as the principle disclosed in the description is specific in nature and is only applicable to a narrow class of photovoltaic cells.
20. A claim refers to a method of automatically enhancing the measurement precision of a distance measuring device, utilising a new general principle. The claims will be allowable if it is apparent from the description, or can be demonstrated by the applicant, that the new principle can be applied by the skilled addressee to any distance measuring device, using only routine methods of experimentation. However if, on the balance of probabilities, the application of the principle to any distance measuring device would require the skilled addressee to carry out tests or developments that go beyond the routine or require additional inventions to solve problems not considered by the application, then the disclosure is not sufficiently enabling.
21. A claim comprises an equation defined in terms of a number of parameters, and defines the use of the equation in a calculation allowing optimisation of a switch mode power supply via a reduction in power dissipation. However, the equation comprises several functions and constant terms which are not defined in the description and are not standard functions or constants that are known in the art. Thus, the specification provides insufficient information to enable the skilled addressee to implement the claimed invention.
22. A claim defines a new type of closure for a nappy that ensures that the nappy cannot be undone by a baby or toddler. The claim is not restricted to any particular type of nappy or in the type of materials that comprise the nappy.
The description indicates that for the new closure to work, the closure and the nappy to which it is attached must comprise certain compatible materials typically found in disposable nappies. Cloth multiuse nappies are well known in the art and do not comprise these materials, as they are inherently unsuitable for use in an article intended to be used multiple times. It is thus not apparent to the skilled addressee how the closure could be applied to multiuse cloth nappies.
Since the closure is not a general principle that can be applied to all nappies and the specification does not teach alternative closures, the specification does not provide sufficient information to enable the skilled addressee to perform the invention over the whole width of the claim. In addition, in claiming a closure for any type of nappy, the claim encompasses matter that is broader than is justified by the contribution to the art.
Computer-Related Inventions
23. The claims defined a computer-based system for planning, reporting and management which provided, amongst other things, facilities for directly booking travel in a computerised reservation system and having the booking communicated to a travel agency for processing and ticketing. Evidence was filed by a third party establishing that the person skilled in the art following the teaching in the specification, would take years of design development and implementation work, and in addition, require creativity and ingenuity in the analysis and design of the system to implement the system as claimed.
Support (Broader Than is Justified by the Contribution to the Art)
Some of the examples provided above to exemplify enabling disclosure, also exceed the contribution to the art, as is indicated.
Chemistry
24. A claim relates to improved fuel oil compositions which have a desired property. The description provides support for one method for obtaining fuel oils having this property, which is by the presence of defined amounts of a certain additive. No alternative processes for obtaining fuel oils with the desired property are disclosed. Prima facie, a claim that makes no mention of the additive is broader than is justified by the contribution to the art (and will not be enabled over the whole of its breadth). Unless the applicant can provide evidence and/or credible and plausible submissions that it is not possible to envisage other ways of achieving that result which owe nothing to the teachings of the invention, the claim must be restricted.
Biotechnology
25. In Schering Biotech Corp’s Application [1993] RPC 249, the claims defined a process for producing a polypeptide with a desired activity, by expressing in a host cell either a specific deposited cDNA insert, or a nucleotide sequence capable of hybridising to said cDNA insert. The ‘hybridising’ sequence was further defined in broad homology terms and encompassed a large number of possible sequences which would not all encode a polypeptide with the desired activity. The judge observed that carrying out the claimed process with the ‘hybridising’ sequences may, or may not, produce a polypeptide with the claimed activity. Consequently, he found that the application did not provide adequate support for a claim to the process using the ‘hybridising’ sequences (see also Reach-Through Claims).
On the facts of this case, it is apparent that the ‘hybridising’ nucleotide sequences defined in the claims in general terms did not represent a principle of general application, since it is not reasonable to expect the invention to work with anything that falls within the general term. The nature of the invention in this case was to produce a desired polypeptide by recombinant means. In relation to the ‘hybridising’ sequences, the skilled addressee would be required to identify all possible sequences ‘capable of hybridising’ to the disclosed sequence and then determine which of these would encode a polypeptide with the relevant activity. This would impose an undue burden, since it would take far longer than would normally be expected in the art to produce a recombinant polypeptide. Consequently, insofar as they referred to the hybridising sequences, the claims were not enabled over their whole scope, and exceeded the contribution to the art disclosed in the specification.
Support (Inconsistency)
26. The description disclosed an article for conditioning fabrics in a laundry dryer, comprising a flexible woven or non-woven sheet having on it areas of fabric conditioning composition. A number of problems were identified in prior art conditioning sheets, including that they could block the air outlet causing the dryer to overheat. The applicant’s solution to this problem was to use a conditioning fabric that was air-permeable. It was clear from the description that air-permeability of the sheet material was not optional. It was necessary to the working of the invention, because without this feature the dryer could overheat causing damage or a fire. Thus, a claim to a conditioning sheet suitable for use in a laundry dryer without the feature of air permeability was not enabled and was consequently not supported by the description. (Glatt’s Application [1983] RPC 122 at 126-129)
27. A claim relates to a specified method of treating ‘synthetic resin mouldings’ to obtain certain changes in physical characteristics. All the examples in the description relate to the treatment of thermoplastic resins and the method appears inappropriate for thermosetting resins. In this situation, an objection should be taken that the specification has not provided sufficient information to enable the person skilled in the art to perform the claimed method insofar as it encompasses the treatment of thermosetting resins. Unless the applicant can provide evidence and/or credible and plausible submissions that the method is nevertheless applicable to thermosetting resins, the claim must be restricted to the treatment of thermoplastic resins.
Claims Supported Despite Apparent Inconsistencies
28. The application related to a 7-element digital display such as those used in service stations to display petrol prices, in which any required digit could be displayed using hinged flaps which covered/uncovered the elements. The example disclosed each flap attached to the baseboard by two studs, each retained in the base board by a coil spring and cotter arrangement which also retained the flap in an open or closed position by continuing to press on it.
The claims were defined partly by the result to be achieved. The claimed digital display apparatus required (among other things) each flap to be attached to the baseboard by one or more studs with means for retaining the flap in an aperture in the baseboard “wherein spring means on the stud retains the associated flap in the first or second position”.
The Court of Appeal (UK) found that it was not necessary to limit the claims to the exemplified two-stud attachment mechanism or the flap retaining means disclosed in the body of the specification. It found that the person skilled in the art would understand that (i) one or more studs could be used to attach each flap, and (ii) that different spring means could be used other than the coil spring and cotter arrangement explicitly disclosed in the specification, and as such these variations were implicitly disclosed. (A C Edwards Ltd v Acme Signs & Displays Ltd [1990] RPC 621 and [1992] RPC 131)
In the circumstances described above, the broadly drafted claim would be enabled over its full scope by the disclosure of the specification and the understanding of the person skilled in the art based on their common general knowledge, and would therefore be supported by that disclosure.
Amended Reasons
Amended Reason | Date Amended |
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Published for testing |