In Re: Micron Technology, Inc. , 875 F.3d 1091 ( 2017 )


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  •   United States Court of Appeals
    for the Federal Circuit
    ______________________
    IN RE: MICRON TECHNOLOGY, INC.,
    Petitioner
    ______________________
    2017-138
    ______________________
    On Petition for Writ of Mandamus to the United
    States District Court for the District of Massachusetts in
    No. 1:16-cv-11249-WGY, Judge William G. Young.
    ______________________
    Decided: November 15, 2017
    ______________________
    JARED BOBROW, Weil, Gotshal & Manges LLP, Red-
    wood Shores, CA, for petitioner. Also represented by
    MICHELE GAUGER, AARON Y. HUANG, JEREMY JASON LANG;
    MEGAN WANTLAND, Washington, DC.
    WILLIAM D. BELANGER, Pepper Hamilton LLP, Boston,
    MA, for respondent President and Fellows of Harvard
    College. Also represented by RYAN C. DECK, MAIA H.
    HARRIS, GREGORY D. LEN.
    ______________________
    ON PETITION
    ______________________
    Before TARANTO, CHEN, and HUGHES, Circuit Judges.
    TARANTO, Circuit Judge.
    2                                   IN RE: MICRON TECH., INC.
    Micron Technology, Inc., petitions for a writ of man-
    damus to set aside the district court’s denial of Micron’s
    motion, made pursuant to 28 U.S.C. § 1406(a), to dismiss
    or to transfer the case for improper venue. The district
    court held that Micron had waived its venue objection.
    The court relied on the waiver rule of Federal Rule of
    Civil Procedure 12(h)(1)(A), which, as relevant here,
    provides for waiver, based on the incorporated terms of
    Rule 12(g)(2), when a defendant omits an available venue
    defense from an initial motion to dismiss. The court
    concluded that the Supreme Court’s decision in TC Heart-
    land LLC v. Kraft Foods Group Brands LLC, 
    137 S. Ct. 1514
    (2017), was not a change of law that would make
    Rule 12(g)(2) and hence Rule 12(h)(1)(A) inapplicable.
    Many district courts have faced similar situations
    since TC Heartland was decided, and the result has been
    widespread disagreement over the change-of-law question
    relevant to waiver under Rule 12(g)(2) and (h)(1)(A). We
    answer that question and clarify the basic legal frame-
    work governing determinations of forfeiture of a venue
    defense. We conclude that TC Heartland changed the
    controlling law in the relevant sense: at the time of the
    initial motion to dismiss, before the Court decided TC
    Heartland, the venue defense now raised by Micron (and
    others) based on TC Heartland’s interpretation of the
    venue statute was not “available,” thus making the waiv-
    er rule of Rule 12(g)(2) and (h)(1)(A) inapplicable. But
    that waiver rule, we also conclude, is not the only basis on
    which a district court might reject a venue defense for
    non-merits reasons, such as by determining that the
    defense was not timely presented. A less bright-line,
    more discretionary framework applies even when Rule
    12(g)(2) and hence Rule 12(h)(1)(A) does not. We grant
    the petition, vacate the order, and remand for considera-
    tion of forfeiture under that framework.
    IN RE: MICRON TECH., INC.                                 3
    I
    In June 2016, President and Fellows of Harvard Col-
    lege (Harvard) filed this patent-infringement case in the
    District of Massachusetts against Micron, which is incor-
    porated in Delaware and has its principal place of busi-
    ness in Idaho. Harvard alleged that venue in the District
    of Massachusetts is proper in this matter under 28 U.S.C.
    §§ 1391(b) and 1400. On August 15, 2016, Micron moved
    under Federal Rule of Civil Procedure 12(b)(6) to dismiss
    the complaint for failure to state a claim, but it did not
    include an objection to venue under Rule 12(b)(3).
    In December 2016, the Supreme Court granted review
    in the TC Heartland case to address the correct interpre-
    tation of the term “resides” in 28 U.S.C. § 1400(b), which
    addresses venue in patent cases. Under that provision,
    patent-infringement actions “may be brought in the
    judicial district where the defendant resides, or where the
    defendant has committed acts of infringement and has a
    regular and established place of business.” In late May
    2017, the Court held that, under § 1400(b), “a domestic
    corporation ‘resides’ only in its State of incorporation for
    purposes of the patent venue statute.” TC 
    Heartland, 137 S. Ct. at 1517
    .
    After the decision in TC Heartland, Micron filed a mo-
    tion, pursuant to 28 U.S.C. § 1406(a) and Rule 12(b)(3), to
    dismiss or to transfer the case on the ground that the
    District of Massachusetts is not a proper venue for this
    case. The district court denied the motion. It concluded
    that, under Rule 12(g)(2) and (h)(1)(A), Micron had
    waived its venue defense by not objecting to venue in its
    first motion to dismiss filed in August 2016. The court
    rejected Micron’s contention that TC Heartland was a
    change of law that made the Rule 12(h)(1)(A) waiver rule
    inapplicable. President & Fellows of Harvard Coll. v.
    Micron Tech., Inc., No. 1:16-cv-11249-WGY, 
    2017 WL 3749419
    , at *2, 4 (D. Mass. Aug. 30, 2017).
    4                                   IN RE: MICRON TECH., INC.
    Micron petitions for a writ of mandamus, asking us to
    reverse the district court’s order and direct that the case
    either be dismissed for improper venue or transferred to
    the District of Delaware or the District of Idaho. Harvard
    asks this court to deny the petition or, if we do not deny it
    outright, to vacate the order and to remand for considera-
    tion of the portion of § 1400(b) that allows venue “where
    the defendant has committed acts of infringement and
    has a regular and established place of business.” The
    district court, having found that Micron waived its venue
    objection, did not decide whether venue is proper under
    that part of § 1400(b).
    II
    A
    The court may issue a writ of mandamus as “neces-
    sary or appropriate in aid of [its] . . . jurisdiction[] and
    agreeable to the usages and principles of law.” 28 U.S.C.
    § 1651(a). Traditionally, the writ has been used “to
    confine [the court to which the requested mandamus
    would be directed] to a lawful exercise of its prescribed
    jurisdiction.” Cheney v. U.S. Dist. Court for Dist. of Co-
    lumbia, 
    542 U.S. 367
    , 380 (2004) (quoting Roche v. Evapo-
    rated Milk Ass’n, 
    319 U.S. 21
    , 26 (1943)). “Although
    courts have not confined themselves to an arbitrary and
    technical definition of ‘jurisdiction,’ only exceptional
    circumstances amounting to a judicial usurpation of
    power or a clear abuse of discretion will justify” issuance
    of the writ. 
    Id. (internal citations
    and quotation marks
    omitted).
    There are three general requirements for mandamus.
    First, the petitioner must “have no other adequate means
    to attain the relief” desired. 
    Id. Second, the
    petitioner
    must show that the “right to issuance of the writ is ‘clear
    and indisputable.’” 
    Id. at 381
    (quoting Kerr v. U.S. Dist.
    Court for N. Dist. of Cal., 
    426 U.S. 394
    , 403 (1976)).
    IN RE: MICRON TECH., INC.                                  5
    Third, “the issuing court, in the exercise of its discretion,
    must be satisfied that the writ is appropriate under the
    circumstances.” 
    Id. Mandamus may
    be used in narrow circumstances
    where doing so is important to “proper judicial admin-
    istration.” La Buy v. Howes Leather Co., 
    352 U.S. 249
    ,
    259–60 (1957). More specifically, the Supreme Court has
    confirmed that, in some circumstances, mandamus can be
    an appropriate means for the appellate court to correct a
    district court’s answers to “basic, undecided” legal ques-
    tions. Schlagenhauf v. Holder, 
    379 U.S. 104
    , 110 (1964).
    This court has applied those standards, including, recent-
    ly, in the venue context. E.g., In re Cray Inc., 
    871 F.3d 1355
    , 1358–59 (Fed. Cir. 2017); see also In re Queen’s
    Univ. at Kingston, 
    820 F.3d 1287
    , 1291 (Fed. Cir. 2016)
    (noting that mandamus may be appropriate to “further
    supervisory or instructional goals” regarding “issues
    [that] are unsettled and important”) (citation omitted); In
    re BP Lubricants USA Inc., 
    637 F.3d 1307
    , 1313 (Fed. Cir.
    2011); In re Volkswagen of Am., Inc., 
    545 F.3d 304
    , 319
    (5th Cir. 2008) (en banc) (issuing writ of mandamus
    regarding venue-transfer order and noting that such writs
    “are supervisory in nature and are particularly appropri-
    ate when the issues also have an importance beyond the
    immediate case”).
    We find this case to present special circumstances jus-
    tifying mandamus review of certain basic, unsettled,
    recurring legal issues over which there is considerable
    litigation producing disparate results. After the Supreme
    Court decided TC Heartland, corporate defendants in
    many pending patent cases newly presented venue objec-
    tions under 28 U.S.C. § 1400(b), asserting lack of resi-
    dence in the judicial district where the case was filed. In
    many of those cases, the timing of the venue objection
    presented a question about waiver under Rule 12(g)(2)
    and (h)(1)(A)—in particular, whether TC Heartland
    6                                    IN RE: MICRON TECH., INC.
    effected a change of controlling law such that the Rule
    12(h)(1)(A) waiver rule was inapplicable. The district
    courts have deeply split on the answer. All of that is
    made clear in the district court’s decision in this case, so
    we need not multiply citations. Harvard, 
    2017 WL 3749419
    , at *3–4.
    Answering the fundamental change-of-law question
    regarding the applicability of Rule 12(g)(2) and (h)(1)(A)—
    as well as the equally fundamental question whether
    those provisions provide the only basis for finding that a
    defendant can no longer make a venue objection—is
    important to proper judicial administration. Doing so
    would reduce the widespread disparities in rulings on the
    fundamental legal standards, while leaving the exercise of
    such discretion as is available in applying those standards
    subject to case-by-case review. In these circumstances,
    we think that mandamus is a proper vehicle for consider-
    ing the fundamental legal issues presented in this case
    and many others.
    B
    Section 1406(a) of Title 28 of the United States Code
    provides that “[t]he district court of a district in which is
    filed a case laying venue in the wrong division or district
    shall dismiss, or if it be in the interest of justice, transfer
    such case to any district or division in which it could have
    been brought.” A defendant objecting to venue may file a
    motion to dismiss for improper venue under Federal Rule
    of Civil Procedure 12(b)(3). The ability to file a Rule
    12(b)(3) motion, however, is constrained by other provi-
    sions of that Rule.
    What is key for present purposes is Rule 12(h)(1),
    which provides:
    When Some [Defenses] Are Waived. A party waives
    any defense listed in Rule 12(b)(2)–(5) by:
    IN RE: MICRON TECH., INC.                                7
    (A) omitting it from a motion in the cir-
    cumstances described in Rule 12(g)(2); or
    (B) failing to either:
    (i) make it by motion under this
    rule; or
    (ii) include it in a responsive
    pleading or in an amendment al-
    lowed by Rule 15(a)(1) as a matter
    of course.
    As relevant here, Rule 12(h)(1)(A) says that a venue
    defense under Rule 12(b)(3) is waived if it is omitted from
    a motion in the circumstances described in Rule 12(g)(2).
    Rule 12(g)(2), in relevant part, states that “a party
    that makes a motion under this rule must not make
    another motion under this rule raising a defense or objec-
    tion that was available to the party but omitted from its
    earlier motion.” 1 In particular, subject to one crucial
    condition, Rule 12(g)(2) covers a situation in which a
    defendant has made a Rule 12(b) motion to dismiss but
    omitted from that motion a venue objection under Rule
    12(b)(3)—which is what Micron did in August 2016. The
    crucial condition for Rule 12(g)(2) to apply, and hence for
    the unmade venue objection to be waived under Rule
    12(h)(1)(A), is that the venue defense had to be “available
    to the [defendant]” when the defendant made the initial
    Rule 12(b) motion.
    Accordingly, the Rule 12 waiver question presented
    here is whether the venue defense was “available” to
    Micron in August 2016. We conclude as a matter of law
    that it was not. The venue objection was not available
    1   Rule 12(g)(2) excepts objections based on Rule
    12(h)(2) and (3), which are not applicable here.
    8                                   IN RE: MICRON TECH., INC.
    until the Supreme Court decided TC Heartland because,
    before then, it would have been improper, given control-
    ling precedent, for the district court to dismiss or to
    transfer for lack of venue.
    This is a common-sense interpretation of Rule
    12(g)(2). Where controlling law precluded the district
    court, at the time of the motion, from adopting a defense
    or objection and on that basis granting the motion, it is
    natural to say, in this context, that the defense or objec-
    tion was not “available” to the movant. The law of prece-
    dent is part of what determines what law controls. The
    language “was available” focuses on the time of the mo-
    tion in the district court, not some future possibility of
    relief on appeal, thus pointing toward how the district
    court may permissibly act on the motion at the time—i.e.,
    where the motion is for dismissal, whether it can dismiss
    the case and thereby avoid wasting resources on contin-
    ued litigation. Because what Rule 12(g)(2) addresses is
    the omission of a defense or objection from an initial
    motion for one of the forms of relief specified in the Rule,
    subsection (g)(2) is naturally understood to require the
    availability of that relief at the time of the initial motion
    (here, dismissal based on improper venue). That under-
    standing is supported by the purpose of Rule 12(g)(2),
    which is to consolidate defenses and to promote early
    resolution of such issues. See Fed. R. Civ. P. 12 advisory
    committee notes (1966) (“[Rule 12(g)’s] required consolida-
    tion of defenses and objections in a Rule 12 motion is
    salutary in that it works against piecemeal consideration
    of a case.”); see also 
    id. (“Amended subdivision
    (h)(1)(A)”
    specifies waiver of available defenses not raised in a pre-
    answer Rule 12 motion because “[a] party who by motion
    invites the court to pass upon a threshold defense should
    bring forward all the specified defenses he then has and
    thus allow the court to do a reasonably complete job.”).
    This straightforward, relatively bright-line reading
    reflects, as well, the waiver consequence stated in Rule
    IN RE: MICRON TECH., INC.                                  9
    12(g)(2) and (h)(1)(A): in declaring an objection waived,
    those provisions mention no considerations except the
    availability of the objection when it was omitted from the
    specified Rule 12 motion. 2 This reading is also supported
    by the instruction stated in Federal Rule of Civil Proce-
    dure 1—that the Rules “should be construed, adminis-
    tered, and employed by the court and the parties to secure
    the just, speedy, and inexpensive determination of every
    action and proceeding.” When a defense or objection is
    futile in the sense that the law bars the district court from
    adopting it to dismiss, to require the assertion of the
    defense or objection in an initial motion to dismiss, on
    pain of waiver, would generally be to require the waste of
    resources, contrary to Rule 1.
    No decision of the Supreme Court or a circuit court to
    which we have been pointed runs counter to this common-
    sense interpretation. 3 The rationale for this interpreta-
    tion, moreover, is consistent with the general approach,
    which is neither rigid nor context-independent, that is
    reflected in opinions from the Supreme Court and the
    circuit courts in various settings—i.e., a sufficiently sharp
    change of law sometimes is a ground for permitting a
    party to advance a position that it did not advance earlier
    in the proceeding when the law at the time was strongly
    enough against that position. See, e.g., Blonder-Tongue
    Labs., Inc. v. Univ. of Ill. Found., 
    402 U.S. 313
    , 350 (1971)
    (vacating and remanding to allow petitioner to amend
    pleadings to include estoppel argument that was futile
    2    As explained infra, a less bright-line standard for
    forfeiture applies in particular circumstances even when
    there is no waiver under Rule 12(g)(2) and (h)(1)(A).
    3    We therefore need not decide whether this cir-
    cuit’s law or the relevant regional circuit’s law governs
    the particular waiver question presented.
    10                                  IN RE: MICRON TECH., INC.
    under earlier controlling precedent but now available by
    partial overruling of precedent); Curtis Publ’g Co. v.
    Butts, 
    388 U.S. 130
    , 143–44 (1967) (opinion for four
    Justices) (allowing late raising of First Amendment
    objection to libel liability, where, at the time of trial,
    “there was strong precedent indicating that civil libel
    actions were immune from general constitutional scruti-
    ny”); Bennett v. City of Holyoke, 
    362 F.3d 1
    , 7 (1st Cir.
    2004); Gucci Am., Inc. v. Li, 
    768 F.3d 122
    , 135–36 (2d Cir.
    2014); Holzsager v. Valley Hosp., 
    646 F.2d 792
    , 796 (2d
    Cir. 1981); Chassen v. Fidelity Nat’l Fin., Inc., 
    836 F.3d 291
    , 293 (3d Cir. 2016) (“Every circuit to have answered
    this question has held that a litigant [need not] engage in
    futile gestures merely to avoid a claim of waiver.” (brack-
    ets in original) (internal quotation marks omitted));
    Beazer E., Inc. v. Mead Corp., 
    525 F.3d 255
    , 263 (3d Cir.
    2008); Holland v. Big River Minerals Corp., 
    181 F.3d 597
    ,
    605 (4th Cir. 1999); Carroll v. Gen. Accident Ins. Co. of
    Am., 
    891 F.2d 1174
    , 1175 n.1 (5th Cir. 1990); Sambo’s
    Rests., Inc. v. City of Ann Arbor, 
    663 F.2d 686
    , 692–93
    (6th Cir. 1981); Brown v. M & M/Mars, 
    883 F.2d 505
    ,
    512–13 (7th Cir. 1989); Ackerberg v. Johnson, 
    892 F.2d 1328
    , 1332–33 (8th Cir. 1989); Big Horn Cty. Elec. Coop.,
    Inc. v. Adams, 
    219 F.3d 944
    , 953–54 (9th Cir. 2000);
    Fisher v. A.G. Becker Paribas Inc., 
    791 F.2d 691
    , 697 (9th
    Cir. 1986); Peterson v. Shearson/Am. Exp., Inc., 
    849 F.2d 464
    , 466 (10th Cir. 1988); Benoay v. Prudential-Bache
    Secs., Inc., 
    805 F.2d 1437
    , 1440 (11th Cir. 1986); Miller v.
    Drexel Burnham Lambert, Inc., 
    791 F.2d 850
    , 854 (11th
    Cir. 1986); Fed. Election Comm’n v. Legi-Tech, Inc., 
    75 F.3d 704
    , 707 (D.C. Cir. 1996); Chatman-Bey v. Thorn-
    burgh, 
    864 F.2d 804
    , 813 n.9 (D.C. Cir. 1988); see also 18B
    Charles A. Wright & Arthur R. Miller, Federal Practice &
    Procedure § 4478 (2d ed., Apr. 2017 update).
    This case is one in which controlling precedent pre-
    cluded the district court from adopting an objection to
    venue before the Supreme Court decided TC Heartland—
    IN RE: MICRON TECH., INC.                                 11
    specifically, from adopting such an objection in August
    2016, when Micron made its first Rule 12 motion. On the
    patent-specific issue of the proper interpretation of 28
    U.S.C. § 1400(b), the district court was bound by this
    court’s precedent. See In re 
    Cray, 871 F.3d at 1360
    (“Fed-
    eral Circuit law, rather than regional circuit law, governs
    [the] analysis of what § 1400(b) requires.”); see also Foster
    v. Hallco Mfg. Co., Inc., 
    947 F.2d 469
    , 475 (Fed. Cir.
    1991); Panduit Corp. v. All States Plastic Mfg. Co., Inc.,
    
    744 F.2d 1564
    , 1573 (Fed. Cir. 1984). Circuit-court prece-
    dent is binding on district courts notwithstanding the
    mere possibility that the Supreme Court might come to
    disapprove that precedent. See Eulitt ex rel. Eulitt v.
    Maine, Dep’t of Educ., 
    386 F.3d 344
    , 349 (1st Cir. 2004).
    It does not appear, indeed, that Harvard disputes those
    propositions.
    This court held in V.E. Holding Corp. v. Johnson Gas
    Appliance Co., 
    917 F.2d 1574
    , 1575 (Fed. Cir. 1990), that
    the 1988 amendments to 28 U.S.C. § 1391(c) furnished a
    definition of “resides” that applied to § 1400(b). In so
    ruling, this court recognized that the Supreme Court had
    held in Fourco Glass Co. v. Transmirra Products Corp.,
    
    353 U.S. 222
    , 229 (1957), that the then-current version of
    § 1391(c) did not apply to § 1400(b); but this court con-
    cluded that the 1988 amendments to § 1391(c)—which of
    course were not before the Court in Fourco—produced a
    different statutory prescription. V.E. 
    Holding, 917 F.2d at 1579
    –80. Under the 1988 version of § 1391(c), a corpo-
    rate defendant was “‘deemed to reside in any judicial
    district in which it [wa]s subject to personal jurisdiction
    at the time the action [wa]s commenced.’” 
    Id. at 1578
    (quoting statute). It is undisputed that Micron comes
    within that broad definition.
    The 1988 version of § 1391(c) does not itself apply in
    this case. Filed in 2016, this case is subject to the version
    of § 1391(c) that resulted from amendments adopted by
    Congress in 2011. Under this (the current) version, “an
    12                                 IN RE: MICRON TECH., INC.
    entity with the capacity to sue and be sued in its common
    name under applicable law, whether or not incorporated,
    shall be deemed to reside, if a defendant, in any judicial
    district in which such defendant is subject to the court’s
    personal jurisdiction with respect to the civil action in
    question.” 28 U.S.C. § 1391(c). Although the language is
    slightly different from the 1988 version, it is undisputed
    that Micron comes within the definition of “resides” stated
    in the current version of § 1391(c).
    The crucial holding of V.E. Holding was that
    § 1391(c)’s definition of “resides,” after the 1988 amend-
    ments, applied to § 1400(b). On that crucial point, there
    is no substantial argument for distinguishing the 2011
    amendments to § 1391(c) from the 1988 amendments that
    V.E. Holding addressed. Indeed, we so held in In re TC
    Heartland LLC, 
    821 F.3d 1338
    , 1341–43 (Fed. Cir. 2016),
    rev’d on other ground, 
    137 S. Ct. 1514
    (2017), and the
    Supreme Court in TC Heartland did not disturb that
    conclusion.
    Thus, if V.E. Holding is taken as a binding precedent,
    § 1391(c)’s current definition of “resides” applies to
    § 1400(b). It follows that controlling precedent, which the
    district court here was bound to follow, would plainly
    have barred the district court from adopting a venue
    objection had Micron made one before the Supreme Court
    decided TC Heartland. The 1957 Fourco decision had not
    (and could not have) addressed the post-1988 versions of
    § 1391(c), and no intervening Supreme Court decision had
    undermined V.E. Holding before the Court decided TC
    Heartland. The V.E. Holding precedent, applied to the
    2011 version of § 1391(c), therefore precluded the district
    court in this case from finding venue improper until the
    Court decided TC Heartland. Harvard does not appear to
    dispute those conclusions.
    The Supreme Court changed the controlling law when
    it decided TC Heartland in May 2017. The Court ob-
    IN RE: MICRON TECH., INC.                               13
    served that Congress “has amended § 1391 twice” since
    
    Fourco, 137 S. Ct. at 1517
    , and the Court described both
    the 1988 and 2011 amendments, 
    id. at 1519–20.
    The
    Court then encompassed both amendments within its
    statement of its holding: “We conclude that the amend-
    ments to § 1391 did not modify the meaning of § 1400(b)
    as interpreted by Fourco.” 
    Id. at 1517.
    Similarly, the
    Court did not distinguish the two amendments when,
    having stated the Fourco-declared meaning of § 1400(b), it
    said that “the only question [it] must answer is whether
    Congress changed the meaning of § 1400(b) when it
    amended § 1391.” 
    Id. at 1520.
    The answer was no. 
    Id. at 1520–21.
    The Court thus clearly (if not quite expressly)
    rejected V.E. Holding and concluded that the definition of
    “resides” in § 1391(c) does not apply to § 1400(b).
    That change of law, by severing § 1400(b) from
    § 1391(c), made available to Micron in this case the objec-
    tion that it does not come within the meaning of “resides”
    for purposes of venue under § 1400(b). That position was
    not available for the district court to adopt before the
    Court decided TC Heartland, because controlling prece-
    dent precluded adoption of the position. For that reason,
    the objection was not “available” under Rule 12(g)(2)
    when Micron made its motion to dismiss in 2016. Accord-
    ingly, contrary to the district court’s conclusion, Rule
    12(h)(1)(A)’s waiver rule is inapplicable here.
    C
    Although we agree with Micron as to the inapplicabil-
    ity of Rule 12(h)(1), we do not agree that we should order
    dismissal or transfer for lack of venue, or even remand for
    proceedings limited to consideration of the merits of the
    venue question. Rule 12(h)(1) is not the sole basis on
    which a district court might, in various circumstances,
    rule that a defendant can no longer present a venue
    defense that might have succeeded on the merits. We
    briefly clarify the fundamental reasons for that conclusion
    14                                  IN RE: MICRON TECH., INC.
    and the framework governing forfeiture even where Rule
    12(h)(1) is inapplicable.
    Rule 12(h)(1) identifies certain situations as trigger-
    ing a conclusion of waiver. It does not state that there is
    no other basis on which a district court might find a
    defendant to have forfeited an otherwise-meritorious
    venue defense. And it makes little sense to treat Rule
    12(h)(1) as excluding other grounds for such a forfeiture.
    Consider a scenario in which a statute clearly allowed
    venue in the forum at the time of a first Rule 12 motion,
    but the statute was later changed so as to forbid venue in
    the forum, with application of the changed statute to
    pending cases. Rule 12(g)(2) and (h)(1)(A) would not
    apply to a new motion to dismiss or transfer for lack of
    venue (because the ground was not available when the
    first Rule 12 motion was filed), but nothing in the Federal
    Rules of Civil Procedure would preclude a district court
    from applying other standards, such as those requiring
    timely and adequate preservation, to find a venue objec-
    tion lost if, for example, it was not made until long after
    the statutory change took effect.
    The Supreme Court recently confirmed that the Fed-
    eral Rules of Civil Procedure “are not all encompassing”
    and that there are “standard procedural devices trial
    courts around the country use every day in service of Rule
    1’s paramount command: the just, speedy, and inexpen-
    sive resolution of disputes.” Dietz v. Bouldin, Inc., 136 S.
    Ct. 1885, 1891 (2016). The Court explained “that a dis-
    trict court possesses inherent powers that are ‘governed
    not by rule or statute but by the control necessarily vested
    in courts to manage their own affairs so as to achieve the
    orderly and expeditious disposition of cases.’ Link v.
    Wabash R. Co., 
    370 U.S. 626
    , 630–631 (1962); see also
    United States v. Hudson, 7 Cranch 32, 34 (1812).” 
    Id. The Court
    then identified the fundamental limits on such
    authority:
    IN RE: MICRON TECH., INC.                                 15
    First, the exercise of an inherent power must be a
    “reasonable response to the problems and needs”
    confronting the court’s fair administration of jus-
    tice. Degen v. United States, 
    517 U.S. 820
    , 823–
    824 (1996). Second, the exercise of an inherent
    power cannot be contrary to any express grant of
    or limitation on the district court’s power con-
    tained in a rule or statute. See 
    id., at 823;
    Fed.
    Rule Civ. Proc. 83(b) (districts courts can “regu-
    late [their] practice in any manner consistent with
    federal law”); see, e.g., Bank of Nova Scotia v.
    United States, 
    487 U.S. 250
    , 254 (1988) (holding
    that a district court cannot invoke its inherent
    power to circumvent the harmless-error inquiry
    prescribed by Federal Rule of Criminal Procedure
    52(a)).
    
    Id. at 1892
    (alteration in original; parallel citations omit-
    ted). The Court summarized the “two principles—an
    inherent power must be a reasonable response to a specif-
    ic problem and the power cannot contradict any express
    rule or statute.” 
    Id. We see
    no reason that the Dietz framework is inappli-
    cable to venue objections. Indeed, apart from the Federal
    Rules, Congress has provided express statutory confirma-
    tion of judicial authority to consider the timeliness and
    adequacy of a venue objection: 28 U.S.C. § 1406(b) pro-
    vides that “[n]othing in this chapter shall impair the
    jurisdiction of a district court of any matter involving a
    party who does not interpose timely and sufficient objec-
    tion to the venue.”
    The Supreme Court explained in Neirbo Co. v. Bethle-
    hem Shipbuilding Corp.:
    [T]he locality of a law suit—the place where judi-
    cial authority may be exercised—though defined
    by legislation relates to the convenience of liti-
    16                                    IN RE: MICRON TECH., INC.
    gants and as such is subject to their disposition. . .
    .
    Being a privilege, [venue] may be lost. It may
    be lost by failure to assert it seasonably, by formal
    submission in a cause, or by submission through
    conduct.
    
    308 U.S. 165
    , 168 (1939); see Panhandle E. Pipe Line Co.
    v. Fed. Power Comm’n, 
    324 U.S. 635
    , 639 (1945) (“The
    right to have a case heard in the court of proper venue
    may be lost unless seasonably asserted.”); Commercial
    Cas. Ins. Co. v. Consol. Stone Co., 
    278 U.S. 177
    , 178–81
    (1929) (discussing requirement that venue be “seasona-
    bly” raised and finding waiver where the “[d]efendant
    allowed the time for effective objections to expire and did
    nothing” (emphasis added)); see also Manley v. Engram,
    
    755 F.2d 1463
    , 1468 (11th Cir. 1985) (waiver of motion to
    transfer under § 1406(a) may occur “in any of several
    ways: by express waiver, by conduct amounting to waiver
    as a matter of law, or by failure to interpose a timely and
    sufficient objection”); Libby, McNeill, & Libby v. City Nat’l
    Bank, 
    592 F.2d 504
    , 510 (9th Cir. 1978) (venue objection
    pursuant to § 1406(a) waived because untimely); Davis v.
    Smith, 
    253 F.2d 286
    , 288 (3d Cir. 1958) (party waives
    venue objection when it “performs some act which indi-
    cates to the court that [it] elects not to raise [its] privilege
    of venue”).
    For those reasons, we think it clear that, apart from
    Rule 12(g)(2) and (h)(1)(A), district courts have authority
    to find forfeiture of a venue objection. This authority is
    properly exercised within the framework of Dietz, which
    requires respecting, and not “circumvent[ing],” relevant
    rights granted by statute or 
    Rule. 136 S. Ct. at 1892
    .
    This authority must be exercised with caution to
    avoid the forbidden circumvention. And exercise of the
    authority certainly may rest on sound determinations of
    untimeliness or consent (“submission,” in the language of
    IN RE: MICRON TECH., INC.                                17
    Neirbo). But we generally leave to future cases the task
    of elaborating on when such determinations may soundly
    be reached and what other considerations, if any, might
    be relevant within the Dietz framework. We also do not
    address here whether this court’s law or the relevant
    regional circuit’s law governs forfeiture standards not tied
    to the patent-specific venue statute.
    We limit our observations to the following. As to
    timeliness, whereas the waiver rule of Rule 12(g)(2) and
    (h)(1)(A) requires a focus on the time the TC Heartland
    venue objection was “available” for the district court to
    adopt (i.e., on or after May 22, 2017), the non-Rule au-
    thority’s general concern with timeliness is not necessari-
    ly so limited. We have not provided a precedential
    answer to the question whether the timeliness determina-
    tion may take account of factors other than the sheer time
    from when the defense becomes available to when it is
    asserted, including factors such as how near is the trial,
    which may implicate efficiency or other interests of the
    judicial system and of other participants in the case. But
    we have denied mandamus, finding no clear abuse of
    discretion, in several cases involving venue objections
    based on TC Heartland that were presented close to trial. 4
    We also note a scenario that presents at least an obvious
    4    See, e.g., In re Nintendo of Am. Inc., 695 F. App’x
    543, 543–44 (Fed. Cir. 2017) (motion less than three
    months before trial); In re Techtronic Indus. N. Am., Inc.,
    No. 17-125, 
    2017 WL 4685333
    , at *1 (Fed. Cir. July 25,
    2017) (less than two months before trial); In re Hughes
    Network Sys., LLC, No. 17-130, 
    2017 WL 3167522
    , at *1
    (Fed. Cir. July 24, 2017) (less than two months before
    trial); In re Sea Ray Boats, Inc., No. 17-124, 
    2017 WL 2577399
    , at *1 (Fed. Cir. June 9, 2017) (two weeks before
    trial).
    18                                 IN RE: MICRON TECH., INC.
    starting point for a claim of forfeiture, whether based on
    timeliness or consent or distinct grounds: a defendant’s
    tactical wait-and-see bypassing of an opportunity to
    declare a desire for a different forum, where the course of
    proceedings might well have been altered by such a
    declaration. We do not here say how such a claim of
    forfeiture ultimately should be analyzed.
    Beyond those observations, we do not explore the con-
    tours of timeliness outside Rule 12(g)(2) and (h)(1)(A) or
    how to assess what constitutes consent to venue or what if
    any other considerations could justify a finding of forfei-
    ture even when the defendant has not waived its objection
    under Rule 12(g)(2) and (h)(1)(A). In noting issues that
    might be presented, we are not suggesting that the lee-
    way to find such forfeiture is broad. We do not here seek
    to define the channels in which discretion must be exer-
    cised, even for the specific, time-limited circumstance of
    the transition from V.E. Holding to TC Heartland. Any
    legal conclusions about the boundaries of discretion must
    await particular district court explanations under the
    Dietz framework of how discretion is being exercised in
    particular settings.
    In this case, the district court considered whether to
    excuse what it found to be a Rule 12(h)(1)(A) waiver but
    did not consider whether Micron lost its right to assert
    the absence of venue on grounds separate from Rule
    12(h)(1)(A). We remand for the court to consider any such
    properly raised non-Rule 12(h)(1)(A) arguments that
    Micron has forfeited its venue defense and, if there are no
    such sound arguments, to consider the merits of venue
    under § 1400(b).
    III
    Accordingly, IT IS ORDERED THAT the petition is
    granted to the following extent: the district court’s order
    denying Micron’s Rule 12(b)(3) motion is vacated, and the
    IN RE: MICRON TECH., INC.                            19
    case is remanded for further proceedings consistent with
    this Order.
    

Document Info

Docket Number: 17-138

Citation Numbers: 875 F.3d 1091

Filed Date: 11/15/2017

Precedential Status: Precedential

Modified Date: 1/12/2023

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