Inre: Teles Ag Information ( 2014 )


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  •   United States Court of Appeals
    for the Federal Circuit
    ______________________
    IN RE TELES AG
    INFORMATIONSTECHNOLOGIEN AND SIGRAM
    SCHINDLER BETEILIGUNGSGESELLSCHAFT
    MBH
    ______________________
    2012-1297
    ______________________
    Appeal from the United States Patent and Trademark
    Office, Board of Patent Appeals and Interferences in
    Reexamination No. 90/010, 017.
    ______________________
    Decided: April 4, 2014
    ______________________
    MICHAEL D. KAMINSKI, Foley & Lardner LLP, of
    Washington, DC, argued for appellants. With him on the
    brief were HOWARD N. SHIPLEY, GEORGE E. QUILLIN, and
    RYAN A. SCHMID.
    AMY J. NELSON, Associate Solicitor, Office of the Solic-
    itor, United States Patent and Trademark Office, of
    Arlington, Virginia argued for appellee. With her on the
    brief was NATHAN K. KELLEY, Deputy Solicitor. Of counsel
    was SCOTT C. WEIDENFELLER, Associate Solicitor.
    FRANK E. SCHERKENBACH, Fish & Richardson, P.C., of
    Boston, Massachusetts for amicus curiae. Of counsel on
    the brief was CRAIG E. COUNTRYMAN, of San Diego, Cali-
    2                                 IN RE: TELES AG INFORMATION
    fornia; and HOWARD G. POLLACK and MICHAEL R.
    HEADLEY, of Redwood City, California.
    ______________________
    Before DYK, MOORE, and WALLACH, Circuit Judges.
    DYK, Circuit Judge.
    Teles AG Informationstechnologien and Sigram
    Schindler Beteiligungsgesellschaft MBH (collectively,
    “Teles”) own all substantial rights in 
    U.S. Patent No. 6,954,453
     (“the ’453 patent”) on a method and apparatus
    for transmitting data in a telecommunications network.
    The Patent and Trademark Office (“PTO”) conducted an
    ex parte reexamination of the ’453 patent and rejected
    claims 34–36 and 38 as obvious under 
    35 U.S.C. § 103
    .
    The Board of Patent Appeals and Interferences (“Board”)
    affirmed. Teles brought suit in the United States District
    Court for the District of Columbia, challenging the
    Board’s decision pursuant to 
    35 U.S.C. § 145
     (2006). We
    agree with the district court that it lacked subject matter
    jurisdiction, and hold that the version of § 145 in effect at
    the time did not authorize a patent owner in an ex parte
    reexamination to bring suit in district court challenging
    the Board’s action. But we hold that the district court
    erred in dismissing the case and instead should have
    transferred the case as it attempted to do after the dis-
    missal. We treat the case as having been transferred to
    this court and consider it as an appeal from the Board’s
    decision. We affirm the Board’s rejection of claim 35 as
    obvious under § 103.
    BACKGROUND
    I
    In 1980, Congress established a system of ex parte
    reexamination that allowed patent owners and third
    parties to ask the PTO to reexamine claims of issued
    patents in view of prior art. See An Act to Amend the
    IN RE: TELES AG INFORMATION                               3
    Patent and Trademark Laws, Pub. L. No. 96-517, 
    94 Stat. 3015
     (1980) (codified at 
    35 U.S.C. §§ 302
    –07 (1986)). We
    have recognized the “important public purpose” behind
    reexamination as “part of a larger effort to revive United
    States industry’s competitive vitality by restoring confi-
    dence in the validity of patents issued by the PTO.” Patlex
    Corp. v. Mossinghoff, 
    758 F.2d 594
    , 601 (Fed Cir. 1985);
    see also H.R. Rep. No. 96-1307(I), at 3 (1980), reprinted in
    1980 U.S.C.C.A.N. 6460, 6462 (describing the goal of
    “strengthen[ing] investor confidence in the certainty of
    patent rights by creating a system of administrative
    reexamination of doubtful patents”).
    Section 145 has long authorized patent applicants to
    challenge the Board’s adverse examination decisions in
    district court instead of directly appealing to this court
    pursuant to 
    35 U.S.C. § 141
    . See Kappos v. Hyatt, 
    132 S. Ct. 1690
    , 1694 (2012). After the reexamination statute
    was enacted, we allowed patent owners to challenge
    adverse ex parte reexamination decisions in district court
    pursuant to § 145. See Joy Techs., Inc. v. Manbeck, 
    959 F.2d 226
    , 227 (Fed. Cir. 1992). In 1999, Congress amend-
    ed § 145 and related provisions. This case raises the
    question of whether § 145 civil actions remained available
    to patent owners seeking to challenge adverse reexamina-
    tion decisions after Congress amended the statute in 1999
    and before 2011, when Congress amended the statute to
    clarify that § 145 review was not available to patent
    owners.
    II
    Teles is the owner of the ’453 patent, which issued on
    October 11, 2005. ’453 patent, at [45]. The ’453 patent
    recites a “method for transmitting data in a telecommuni-
    cations network and switch for implementing said meth-
    od.” Id. at [54]. In August 2007, a third party filed a
    request that the PTO conduct an ex parte reexamination
    of the ’453 patent. The examiner rejected claims 34–36
    4                                 IN RE: TELES AG INFORMATION
    and claim 38 under 
    35 U.S.C. § 103
     as obvious over 
    U.S. Patent No. 6,069,890
     (“White”) combined with either 
    U.S. Patent No. 6,137,792
     (“Jonas”) or 
    U.S. Patent No. 4,996,685
     (“Farese”). Teles appealed the rejections to the
    Board, which affirmed. Teles then sought review of the
    Board’s decision in the United States District Court for
    the District of Columbia pursuant to § 145. The district
    court dismissed the case for lack of subject matter juris-
    diction, holding that, after the 1999 amendments, § 145
    proceedings could not be maintained by patent owners.
    Teles appealed the district court’s dismissal for lack of
    subject matter jurisdiction to this court pursuant to 
    28 U.S.C. § 1295
    (a)(1). Teles did not appeal the Board’s
    decision to this Court.
    DISCUSSION
    I
    We address initially the question of jurisdiction.
    While we have jurisdiction to review the district court’s
    dismissal pursuant to § 1295(a)(1), the question is wheth-
    er we also have jurisdiction to review the Board’s action
    (if the district court lacked jurisdiction). After the district
    court granted the motion to dismiss, it also purported to
    transfer the case to this court pursuant to 
    28 U.S.C. § 1631
    . A transfer “is not proper when combined with a
    dismissal.” Hollyanne Corp. v. TFT, Inc., 
    199 F.3d 1304
    ,
    1307 (Fed. Cir. 1999); see also Christianson v. Colt Indus.
    Operating Corp., 
    486 U.S. 797
    , 818 (1988). Once the
    district court dismissed the case for lack of jurisdiction, it
    “was without authority to transfer the case.” Tootle v.
    Sec’y of Navy, 
    446 F.3d 167
    , 173 (D.C. Cir. 2006).
    But we hold that the district court erred in dismissing
    the case rather than transferring it. Once the district
    court held that it lacked jurisdiction, it should have
    transferred the case pursuant to § 1631. See Paul v.
    I.N.S., 
    348 F.3d 43
    , 47 (2nd Cir. 2003); see also Kolek v.
    IN RE: TELES AG INFORMATION                                 5
    Engen, 
    869 F.2d 1281
    , 1283–84 (9th Cir. 1989). Here, as
    in Paul and Kolek, the statutory deadline for filing an
    appeal to this court had passed, and no evidence suggest-
    ed bad faith in Teles’ filing with the district court. Under
    these circumstances, it was in the interest of justice to
    transfer the case pursuant to § 1631, and we “treat
    [Teles’] petition for review, which was timely filed with
    the district court, as if it had been properly transferred” to
    this court rather than dismissed. Paul, 
    348 F.3d at
    47
    (citing Miller v. Hambrick, 
    905 F.2d 259
    , 262 (9th Cir.
    1990) (district court correctly determined that it lacked
    jurisdiction but abused its discretion in failing to consider
    whether transfer was in the interest of justice)); see also
    Kolek, 
    869 F.2d at 1284
     (treating dismissal as transfer
    where appellate court had exclusive jurisdiction and
    timely filing deadline had passed); In re McCauley, 
    814 F.2d 1350
    , 1352 (9th Cir. 1987) (reviewing merits of
    dismissed appeal as if properly transferred to appellate
    court).
    In reviewing the case as though the district court had
    transferred the case, we address (1) the district court’s
    jurisdiction, and (2) if the district court lacked jurisdic-
    tion, the Board’s decision on the merits. We review both
    the district court’s dismissal for lack of jurisdiction and
    the question of statutory interpretation underlying that
    dismissal de novo. Mudge v. United States, 
    308 F.3d 1220
    ,
    1224 (Fed. Cir. 2002) (citing Strickland v. United States,
    
    199 F.3d 1310
    , 1313 (Fed. Cir. 1999) and Muniz v. United
    States, 
    972 F.2d 1304
    , 1309 (Fed. Cir. 1992)). We review
    the Board’s decisions de novo for errors of law and for
    substantial evidence as to questions of fact. In re En-
    hanced Sec. Research, LLC, 
    739 F.3d 1347
    , 1351 (Fed. Cir.
    2014) (citing In re Baxter Int’l, Inc., 
    678 F.3d 1357
    , 1361
    (Fed. Cir. 2012)).
    6                                 IN RE: TELES AG INFORMATION
    II
    On its face, even before the 1999 amendments, § 145
    only provided for district court actions brought by patent
    “applicants.” Nonetheless, in Joy Technologies, we con-
    strued § 145 as applicable to a “patent owner” involved in
    an ex parte reexamination. 
    959 F.2d at 229
    . This construc-
    tion of the statute was continued in later cases. See
    Takeda Pharm. Co., Ltd. v. Doll, 
    561 F.3d 1372
     (Fed. Cir.
    2009); In re Lueders, 
    111 F.3d 1569
    , 1577, n.14 (Fed. Cir.
    1997); Boeing Co. v. Comm’r of Patents & Trademarks,
    
    853 F.2d 878
    , 881 (Fed. Cir. 1988).
    In 1999, Congress amended the Patent Act to create a
    system of inter partes reexamination that allowed third
    parties who had requested the reexamination to partici-
    pate actively in the PTO reexamination process. 1 When
    Congress created the inter partes reexamination system,
    it changed the text of existing statutory provisions, in-
    cluding §§ 134, 141, and 145. The district court concluded
    that these changes made § 145 unavailable to patent
    owners (as opposed to patent applicants).
    First, Congress amended § 141, which provided for
    appeals of Board decisions to this court, by inserting an
    express limitation on the appeal rights of patent owners
    in any reexamination proceeding: “A patent owner in any
    1   See American Inventors Protection Act (“AIPA”),
    enacted as part of the Intellectual Property and Commu-
    nications Omnibus Reform Act of 1999, Pub. L. No. 106-
    113, 
    113 Stat. 1501
     (1999); 
    35 U.S.C. §§ 311
    , 316; see also
    145 Cong. Rec. H6944 (1999) (statement of Rep. Dana
    Rohrabacher) (describing legislative effort to “further
    encourage potential litigants to use the PTO as a[n]
    avenue to resolve patentability issues . . . [by] creat[ing]
    an additional reexam option that permits a 3rd party
    requestor to file additional written briefs”).
    IN RE: TELES AG INFORMATION                               7
    reexamination proceeding dissatisfied with the final
    decision in an appeal to the Board of Patent Appeals and
    Interferences under section 134 may appeal the decision
    only to the United States Court of Appeals for the Federal
    Circuit.” 
    35 U.S.C. § 141
     (2000) (emphases added).
    Second, Congress changed the substance and struc-
    ture of § 134, governing appeals to the Board. Before
    1999, § 134 mentioned only patent applicants: “An appli-
    cant for a patent, any of whose claims has been twice
    rejected, may appeal from the decision of the primary
    examiner to the Board of Patent Appeals and Interfer-
    ences, having once paid the fee for such appeal.” 
    35 U.S.C. § 134
     (1994). As amended, the section for the first time
    addressed patent applicants, patent owners, and third
    party requesters individually, as follows:
    a) PATENT APPLICANT.—An applicant for a
    patent, any of whose claims has been twice reject-
    ed, may appeal from the decision of the adminis-
    trative patent judge to the Board of Patent
    Appeals and Interferences, having once paid the
    fee for such appeal.
    (b) PATENT OWNER.—A patent owner in
    any reexamination proceeding may appeal from
    the final rejection of any claim by the administra-
    tive patent judge to the Board of Patent Appeals
    and Interferences, having once paid the fee for
    such appeal.
    (c) THIRD-PARTY.—A third-party requester
    in an inter partes proceeding may appeal to the
    Board of Patent Appeals and Interferences from
    the final decision of the administrative patent
    judge favorable to the patentability of any original
    or proposed amended or new claim of a patent,
    having once paid the fee for such appeal. The
    third-party requester may not appeal the decision
    of the Board of Patent Appeals and Interferences.
    8                               IN RE: TELES AG INFORMATION
    
    35 U.S.C. § 134
     (2000). 2
    Third, Congress amended § 145, which previously ref-
    erenced § 134 generally, to refer only to § 134(a), govern-
    ing patent applicants:
    An applicant dissatisfied with the decision of the
    Board of Patent Appeals and Interferences in an
    appeal under section 134(a) of this title may, un-
    less appeal has been taken to the United States
    Court of Appeals for the Federal Circuit, have
    remedy by civil action against the Director in the
    United States District Court for the District of Co-
    lumbia . . . .
    
    35 U.S.C. § 145
     (2000) (emphasis added). On their face,
    these amendments would appear to restrict § 145 appeals
    to patent applicants. However, Teles argues that § 145
    continued to be available to patent owners.
    Teles’ first argument is that the phrase in § 141 stat-
    ing that a patent owner “may appeal the [adverse reexam-
    ination] decision only to the United States Court of
    Appeals for the Federal Circuit” does not preclude an
    owner from invoking the provisions of §§ 145 and 306
    because a civil action under § 145 is not an “appeal.”
    Under Teles’ interpretation, the “only” restriction limits
    patent owners’ appeals to this court as opposed to other
    circuit courts and does not limit the availability of § 145
    district court review to patent owners. But this reading
    makes the provision entirely superfluous because this
    court already had exclusive jurisdiction over decisions of
    the Board. 
    28 U.S.C. § 1295
     (a)(4)(A) (1994). Significantly,
    § 141 did not subject patent applicants to a similar limita-
    tion, stating that “[a]n applicant dissatisfied with the
    2  In 2002, Congress amended § 134, substituting
    “primary examiner” for “administrative patent judge.” 35
    U.S.C § 134 (2006).
    IN RE: TELES AG INFORMATION                                  9
    decision in an appeal to the Board of Patent Appeals and
    Interferences under section 134 of this title may appeal
    the decision to the United States Court of Appeals for the
    Federal Circuit.” 
    35 U.S.C. § 141
     (2000) (emphasis added).
    If the “only” limitation were designed to restrict appeals
    to this court, rather than other circuit courts, it is hard to
    understand why Congress would not employ similar
    language as to patent applicants.
    Teles’ second argument is that the conclusion that the
    1999 amendments restricted § 145 to patent applicants is
    inconsistent with the language of § 306, pertaining to
    appeals by patent owners in ex parte reexaminations.
    After the 1999 amendments, § 306 continued to read:
    The patent owner involved in a reexamination
    proceeding under this chapter may appeal under
    the provisions of section 134 of this title, and may
    seek court review under the provisions of section
    141 to 145 of this title, with respect to any decision
    adverse to the patentability of any original or pro-
    posed amended or new claim of the patent.
    
    35 U.S.C. § 306
     (2000) (emphasis added). Teles argues
    that the reference in § 306 to “the provisions of section
    141 to 145” shows that § 145 continues to be available to
    patent owners. But this inconsistency in retaining a
    reference to § 145 in § 306 does not undermine the clear
    intention of the 1999 amendments to eliminate § 145 as to
    patent owners.
    In Chickasaw Nation v. United States, the Supreme
    Court considered a similar question involving an apparent
    contradiction between statutory language and an internal
    cross-reference. 
    534 U.S. 84
     (2001). There, the question
    was whether Indian tribes were exempt from paying
    certain taxes. One subsection of the statute stated that
    “Internal Revenue Code provisions that ‘concer[n] the
    reporting and withholding of taxes’ with respect to gam-
    bling operations shall apply to Indian tribes in the same
    10                               IN RE: TELES AG INFORMATION
    way as they apply to the States,” but also stated “in its
    parenthetical that those provisions ‘includ[e]’ Internal
    Revenue Code ‘chapter 35.’” 
    Id. at 87
     (alterations in
    original). Chapter 35, however, said “nothing about the
    reporting or withholding of taxes, [but] simply impose[d]
    taxes . . . from which it exempt[ed] certain state-
    controlled gambling activities.” 
    Id.
     The Indian tribes
    claimed that the chapter 35 reference exempted them
    from paying taxes from which states were similarly
    exempt. 
    Id.
    Faced with this apparent contradiction, the Supreme
    Court held that “[t]he language of the statute is too strong
    to bend as the Tribes would wish—i.e., so that it gives the
    chapter 35 reference independent operative effect.” 
    Id. at 89
    . The Court explained that “the language outside the
    parenthetical is unambiguous. It says without qualifica-
    tion that the subjection applies to ‘provisions . . . concern-
    ing the reporting and withholding of taxes.’” 
    Id.
     In light of
    such strong and unambiguous language, making the
    chapter 35 reference effective on its own would have
    required “seriously rewriting the language of the rest of
    the statute.” 
    Id.
     Rather than reach that result, the Court
    concluded that “in context, common sense suggests that
    the cross-reference is simply a drafting mistake,” and that
    Congress “unintentionally failed to remove what had
    become a superfluous numerical cross-reference.” 
    Id. at 91, 92
    . The same is evidently true here with respect to the
    retention of the cross-reference to § 145 in § 306.
    The fact that in the case of an inter partes reexamina-
    tion, § 315, as of the time of the 1999 amendments, pro-
    vided for an appeal by the patent owner “under the
    provisions of sections 141 through 144,” 
    35 U.S.C. § 315
    (a)(1) (2000), merely confirms the likelihood that the
    reference to § 145 in § 306 was a drafting error. Moreover,
    the fact that § 145 on its face applied only to “applicants”
    and not owners helps to explain why Congress could have
    failed to focus on the drafting error in § 306.
    IN RE: TELES AG INFORMATION                              11
    Teles argues, however, that here, legislative history
    demonstrates that Congress deliberately retained the
    reference to § 145 in § 306. Teles points out that bills
    proposed before 1999 would have amended § 306 to elimi-
    nate the reference to § 145, and that these bills were not
    adopted. This does not assist Teles. As the Supreme Court
    held in Solid Waste Agency of N. Cook Cnty. v. U.S. Army
    Corps of Eng’rs, reliance on failed legislative proposals is
    disfavored as a means of inferring legislative intent. 
    531 U.S. 159
    , 169 (2001).
    Teles also relies on the fact that during consideration
    of the 1999 amendments, one of the bills proposed to
    amend § 306 by eliminating the reference to § 145. See
    American Inventors Protection Act of 1999, H.R. 1907
    106th Cong. (as introduced); see also H. Rep. 106-287(I),
    at 59–60 (Aug. 3, 1999) (describing proposed changes to
    § 306). But the proposed section made an even more
    significant change: it gave third party requesters in inter
    partes examinations the right to appeal Board decisions to
    this court or to become parties in appeals taken by patent
    owners. When the bill was reported out of the House
    Judiciary Committee, this provision was removed. 3 The
    debate on the provision suggests nothing about a decision
    to retain § 145 for patent owners, but demonstrates that
    the provision was removed because of opposition to giving
    appeal rights to third parties in ex parte examinations.
    During the House debate over the bill, Representative
    Lofgren asked about this change, but only with respect to
    the removal of third parties’ appeal rights. 145 Cong. Rec.
    6942 (statement of Rep. Zoe Lofgren). The response to
    3    Although third parties in inter partes examina-
    tions were given the right to appeal to this court in 2002,
    Pub. L. 107-273 § 13106(c), such appeals remain unavail-
    able to third parties in ex parte examinations. See 
    35 U.S.C. § 141
     (2012).
    12                              IN RE: TELES AG INFORMATION
    Representative Lofgren’s question similarly focused on
    the impact it would have on the rights of third party
    requesters, not patent owners. See 145 Cong. Rec. H6942
    (statement of Rep. Coble) (explaining that the change
    “was done for the benefit of the independent inventors to
    balance the interest of a third party with those of a . . .
    patentee, by allowing a third party to pursue reexamina-
    tion . . . while assuring that a patentee would not be
    subject to harassment in such proceedings”). There was no
    suggestion that the provision was rejected in an attempt
    to retain § 145 review for patent owners. 4
    The only specific reference to the appeal rights of pa-
    tent owners is Senator Lott’s statement that “[t]he pa-
    tentee is not entitled to the alternative of an appeal of an
    inter partes reexamination to the U.S. District Court for
    the District of Columbia. Such appeals are rarely taken
    from ex parte reexamination proceedings under existing
    law and its removal should speed up the process.” 145
    Cong. Rec. S14720. Interestingly, Senator Lott viewed the
    amendment to § 141 discussed above as precluding § 145
    review: “a patent owner in a reexamination proceeding
    may appeal an adverse decision . . . only to the U.S. Court
    of Appeals for the Federal Circuit as earlier noted.” Id. at
    4  Teles’ other references to statements during floor
    debates do not show that the § 145 reference remained
    because of legislative intent rather than inadvertence.
    See, e.g., 145 Cong. Rec. H6942 (statement of Rep. Zoe
    Lofgren) (“[T]he bill was amended to retain existing law
    for ex parte reexaminations . . . .”); 145 Cong. Rec. S14720
    (statement of Sen. Trent Lott) (“Subtitle F leaves existing
    ex parte reexamination procedures in Chapter 30 of title
    35 intact.”). These statements do not say anything about
    the appeal rights of patent owners after completion of the
    reexamination.
    IN RE: TELES AG INFORMATION                              13
    S14721. These statements hardly indicate a desire to
    retain § 145 review for patent owners.
    Finally, Teles argues that the 2011 amendments to
    § 306 show that the 1999 amendments left the appeal
    rights of patent owners intact. When Congress enacted
    the America Invents Act in 2011, it amended § 306 by
    limiting patent owners to review “under the provisions of
    sections 141 to 144.” See Leahy-Smith America Invents
    Act (“AIA”), Pub. L. No. 112-129, 
    125 Stat. 284
     (2011)
    (codified as amended at 
    35 U.S.C. § 306
     (2011)). The 2011
    amendments thus removed the cross-reference to § 145 in
    § 306 (but were not retroactive). Teles argues that this
    change demonstrates that § 306 before the changes pre-
    served § 145 for patent owners.
    Teles’ theory contradicts the legislative history, which
    recognized that the amendments corrected a drafting
    error in the 1999 legislation: Ҥ 306 is amended to con-
    form to the changes made by § 4605 of the American
    Inventors Protection Act of 1999, Public Law 106-113 to
    §§ 134 and 141 of Title 35.” H.R. Rep No. 112-98(I), at 77
    (2011) (Statement of Rep. Smith) (June 1, 2011); see also
    157 Cong. Rec. S1377 (daily ed. Mar. 8, 2011) (statement
    of Sen. Kyle) (“It is fairly apparent, however, that [the
    authority for a patent owner to bring a civil action under
    § 145] was intended to be eliminated by the amendments
    made by section 4605 of the American Inventors Protec-
    tion Act of 1999, Public Law 106-113, to sections 134 and
    141 of Title 34 . . . . The AIPA neglected, however, to
    eliminate a cross reference to section 145 in section 306 of
    Title 35 . . . .”). Amendments intended to clarify statutory
    language do not indicate that the original language
    should be construed to mean the opposite of the clarifying
    language. See Jerman v. Carlisle, McNellie, Rini, Kramer
    & Ulrich LPA, 
    559 U.S. 573
    , 591 & n.12 (2010) (referenc-
    ing statements in legislative history as evidence that
    amendment intended to clarify, rather than change, the
    scope of existing statutory provision). The 2011 amend-
    14                                  IN RE: TELES AG INFORMATION
    ments do not manifest Congress’ intent to preserve the
    availability of § 145 in the earlier version of the section.
    We therefore hold that the 1999 amendments elimi-
    nated the right of patent owners to secure review under
    § 145, and affirm that the district court lacked jurisdiction
    over the § 145 action.
    III
    We turn next to Teles’ appeal of the Board’s rejection
    of claim 35. 5 This claim was rejected on the ground that
    the claim would have been obvious.
    A. Claim Construction
    Teles argues that the Board’s decision rests on an in-
    correct claim construction. During reexamination, the
    PTO must give claims their “broadest reasonable con-
    struction consistent with the specification.” In re ICON
    Health & Fitness, Inc., 
    496 F.3d 1374
    , 1379 (Fed. Cir.
    2007). We review de novo the Board’s claim construction
    to determine if it gives claims their broadest reasonable
    construction. Rambus v. Rea, 
    731 F.3d 1248
    , 1252 (Fed.
    Cir. 2013); see also In re Abbott Diabetes Care Inc., 
    696 F.3d 1142
    , 1148 (Fed. Cir. 2012).
    Claim 35 depends on independent claim 34, which re-
    cites a “[s]witching apparatus for routing a telephone
    call . . . selectively by line switching or packet switch-
    ing.” ’453 patent col. 14 ll. 48–53. Dependent claim 35
    reads:
    35. The switch of claim 34,[ 6] further compris-
    ing means to produce the control signal for trans-
    5  The Board also rejected claims 34, 36, and 38, but
    Teles does not challenge these rejections on appeal.
    6   The full text of claim 34 reads:
    IN RE: TELES AG INFORMATION                                15
    ferring to a line-switching transfer or a packet-
    switching transfer to the second end terminal,
    said control signal being produced automatically
    34. Switching apparatus for routing a tele-
    phone call comprising non-packetized data from a
    first end terminal located at a user’s premises to a
    second end terminal located at another user’s
    premises, selectively by line switching or packet
    switching, the switching apparatus comprising:
    means for establishing a connection through a
    line-switching network to the second end termi-
    nal;
    means for line-switching transferring data re-
    ceived from the first end terminal as non-
    packetized data over the line-switching network to
    the second end terminal;
    means for establishing a connection through a
    packet-switching network to the second end ter-
    minal;
    means for packet-switching transferring data re-
    ceived from the first end terminal as non-
    packetized data over the packet-switching net-
    work to the second end terminal; and
    means responsive to a control signal for transfer-
    ring to a line-switching transfer or a packet-
    switching transfer to the second end terminal;
    said means responsive to a control signal chang-
    ing-over to a line switching data transfer or a
    packet-switching transfer during the existing
    transfer with the presence of said control signal.
    ’453 patent col. 14 l. 48 to col. 15 l. 4.
    16                               IN RE: TELES AG INFORMATION
    when demands on the quality of the data transfer
    are understepped or exceeded.
    ’453 patent col. 15 ll. 5–10.
    Claim 35 pertains to the utilization of line switching
    and packet switching in routing telephone calls. Line
    switching and packet switching are two different types of
    telecommunications technologies. In line switching, “a
    connection is continually provided in real time with the
    complete bandwidth of a channel between two points”
    reserved for that connection. 
    Id.
     col. 1 ll. 39–41. The fixed
    bandwidth allows for communications that are “free of
    any time delays,” but can be “expensive, particular-
    ly during telephone conversations since the costs accumu-
    late irrespectively of the information actually
    transferred.” 
    Id.
     col. 1 ll. 44–48. Packet switching oper-
    ates “quite differently from line-switching exchanges, [in
    that] a fixed connection does not have to be main-
    tained . . . i.e., each packet is treated individually and not
    in conjunction with others.” 
    Id.
     col 1. ll. 33–34, 56–59. The
    Internet is an example of a network that uses packet
    switches (routers) to transfer data. 
    Id.
     col. 1. ll. 60–67.
    Although packet-switching can provide connections cheap-
    ly, it can also produce significant time delays. 
    Id.
     col. 2.
    ll. 3–7, 15–21. Claim 35 is directed to a device for switch-
    ing from a packet-switched network to a line-switched
    network “automatically when demands on the quality of
    the data transfer are understepped or exceeded.” 
    Id.
    col. 15 ll. 5–10.
    The Board construed the claimed “means to produce
    the control signal” under § 112 ¶ 6 (now § 112(f)). Section
    112 ¶ 6 provides that functional claim language, like the
    “means to produce the control signal” element of claim 35,
    “shall be construed to cover the corresponding structure,
    material, or acts described in the specification and equiva-
    lents thereof.” 
    35 U.S.C. § 112
     ¶ 6 (2006). The Board
    defined the function as “produc[ing] the control signal for
    IN RE: TELES AG INFORMATION                              17
    transferring to a line-switching or a packet-switching
    transfer to the second end terminal.” J.A. 1435. The
    Board agreed with the examiner that, in order to release a
    control signal, the claim required monitoring factors
    related to demands of quality, but did not limit those
    factors to include only the bandwidth of a particular
    transfer. The Board explained that “by using the broad
    term ‘demands of quality,’ claim 35 is not limited to the
    ‘bandwidth of a transfer,’” and that the time delay of a
    transmission was an example of a “quality factor.” J.A.
    1435. The Board found that the structure corresponding
    to the claimed means was the change-over device, identi-
    fied in Figure 4 by label 711.
    While Teles’ argument is not entirely clear, it appears
    that Teles argues that the Board erred by not construing
    the function of claim 35 to be defined by the description of
    structure in the following portion of the specification:
    Alter[n]atively, it can also be possible for the
    change-over control device 711 to monitor the
    bandwidth of a transfer and on understepping or
    exceeding a certain bandwidth and/or in the event
    of a time delay when forwarding IP data packets
    to automatically release a control command to
    change over to the relevant other type of transfer.
    ’453 patent col. 9 ll. 36–42. Teles contends that this pas-
    sage requires that the function include monitoring the
    bandwidth of the packet-switched network in connection
    with the transfer. But the fact that the specification
    describes monitoring bandwidth as an alternative possi-
    bility for producing a change-over command does not
    support construing that function to match the alternative
    function disclosed in the specification rather than the
    recitation in the claim.
    When construing functional claims under § 112 ¶ 6,
    “[t]he statute does not permit limitation of a means-plus-
    function claim by adopting a function different from that
    18                              IN RE: TELES AG INFORMATION
    explicitly recited in the claim.” Micro Chem., Inc. v. Great
    Plains Chem. Co., 
    194 F.3d 1250
    , 1258 (Fed. Cir. 1999)
    (“[T]he district court erred . . . by incorporating unrecited
    functional limitations into the claims.”); see also Globe-
    trotter Software, Inc. v. Elan Computer Grp., 
    236 F.3d 1363
    , 1367 (Fed. Cir. 2001) (The structure disclosed in the
    specification must be necessary to perform “the function
    described in the claim.”) (citing Micro Chem., 
    194 F.3d at 1258
    ). Even if the passage in the specification relied on by
    Teles were relevant to construing the claim language, it
    does not support a different claim construction. The
    passage states that a control signal could be released
    automatically on “understepping or exceeding a certain
    bandwidth and/or in the event of a time delay when
    forwarding IP data packets.” ’453 patent col. 9 ll. 35–40.
    On its face, this language (using “and/or”) describes two
    factors—bandwidth and time delay—as potential alterna-
    tives for producing a change-over command; it does not
    suggest that bandwidth monitoring is necessary to per-
    form that function. The Board did not err in its claim
    construction.
    Finally, Teles argues that the Board’s claim construc-
    tion is erroneous in light of its alleged inventive concept
    as defined by the inventor (monitoring the bandwidth of a
    particular transfer). Teles argues that “the Supreme
    Court’s Mayo decision requires that the ‘inventive con-
    cepts’ embodied by the claimed invention be identified as
    part of construing claims.” Reply Br. 5 (citing Mayo Col-
    laborative Servs. v. Prometheus Labs., Inc., 
    132 S. Ct. 1289
    , 1294 (2012)). But the Court in Mayo referred to an
    “inventive concept” only in the context of § 101 patent-
    eligibility analysis, and specifically in the context of
    ensuring that a process “amounts to significantly more
    than a patent upon the natural law” which its steps
    invoke. Mayo, 
    132 S. Ct. at 1294
    . Requiring claims to
    recite an inventive concept does not mean that claims
    must be construed in light of unspecified inventive con-
    IN RE: TELES AG INFORMATION                                19
    cepts. Mayo simply does not speak to claim construction.
    The inventive concept aspect of its discussion has no
    bearing on claim construction.
    B. Obviousness
    Obviousness is a question of law that we review de
    novo, but it rests upon factual determinations that we
    review for substantial evidence. In re Baxter Int’l, Inc.,
    678 F.3d at 1361 (Fed. Cir. 2012) (citing In re Kotzab, 
    217 F.3d 1365
    , 1369 (Fed. Cir. 2000)).
    The Board upheld the examiner’s rejection of claim 35
    (as well as claims 34, 36 and 38) as obvious in view of
    White combined with either Jonas or Farese. White
    “relates to an Internet telephone service where calls can
    be made over the Internet from telephone to telephone,
    telephone to computer, or computer to telephone.” J.A.
    1411 (citing ’890 patent col. 4 ll. 5–24). Farese relates to a
    technique for dynamically changing between packet and
    circuit switching in Integrated Services Digital Network
    (ISDN) communications. Jonas’ system and method
    “enables data packets to be transmitted over a bypass
    [line]-switched telephone network between two computers
    connected to a public packet-switched network, such as
    the Internet.” J.A. 1413 (citing ’792 patent col. 1 ll. 8–12).
    Jonas further discloses that the bypass network could be
    used to avoid time delays associated with packet switch-
    ing. The Board affirmed the examiner’s finding that “‘it
    was well known in the art to change over to [] line-
    switching or packet-switching during an existing transfer
    during a communication in response to a control signal,’
    as disclosed by Farese and Jonas.” J.A. 1427.
    Although White did not itself disclose changing be-
    tween line-switched and packet-switched connections
    during an ongoing communication, the Board agreed with
    the examiner “that it would have been obvious to modify
    White to allow a change-over . . . during an existing
    transfer, as explicitly taught by Jonas and Farese.” J.A.
    20                               IN RE: TELES AG INFORMATION
    1428. Moreover, this modification “would dynamically
    take advantage of both the inherent cost benefit of using
    the packet-switched Internet and the minimal time delay
    of [line]-switched telephone network.” J.A. 1428. Accord-
    ing to the examiner, this benefit explained “why one of
    ordinary skill in the art would combine the teachings of
    White and Jonas and Farese.” J.A. 1429. With respect to
    claim 35, the Board agreed with the examiner that Jonas
    disclosed changing to a line-switched network when
    transmission delays are detected and thus “discloses
    ‘producing a control signal automatically when the de-
    mands of quality are understepped or exceeded.’” J.A.
    1435.
    Teles challenges the conclusion of obviousness on the
    grounds that the prior art references do not disclose all of
    the recited limitations of claim 35. Teles’ main objection is
    to Jonas, specifically, that it discloses a method of calcu-
    lating transmission delay based on monitoring the entire
    network rather than an individual communication. But
    this argument assumes an overly limiting construction of
    the prior art reference and the language of claim 35.
    Under the Board’s construction, the change-over control
    device of claim 35 must produce a signal automatically,
    which requires monitoring quality factors, such as delay,
    but there is no reason to require monitoring the band-
    width of a single transfer in isolation from the network.
    Additionally, the Board found that Jonas teaches that
    transmission delay may be detected “using a variety of
    measures known to those skilled in the art, including
    topological delay time for the transmission, cost, or the
    number of gateways through which the network path
    traverses” as well as by “monitor[ing] the delay time . . .
    by sending occasional ‘ping’ messages to the destination
    router . . . and monitoring delay times of any response
    packets.” J.A. 14–17 (citing ’792 patent col. 5 l. 53 to col. 6
    l. 3). We find no reason to overturn the Board’s finding
    that Jonas discloses the limitation of claim 35.
    IN RE: TELES AG INFORMATION                              21
    Teles next argues a person of ordinary skill would not
    have found it obvious, or even possible, to combine White
    with Jonas. Teles asserts that incorporating Jonas’ “free-
    standing” switches into White’s switches, the central
    offices of local exchange carriers, would be “an extremely
    complicated process.” Reply Br. 25. The Board cited the
    examiner’s reasons for rejecting Teles’ argument: “White
    is proposing providing a redesigned network [for] han-
    dling Internet based call[s] . . . [and] already anticipates
    redesigning the Central Office equipment to respond to
    Internet type calls, thus Jonas would clearly be envi-
    sioned in this network redesigned by White.” J.A. 1304.
    This finding directly contradicts Teles’ assertion that
    White on its own requires “no change of its switching
    apparatus,” Reply Br. 26, and instead shows that White
    presumes that modifications would be required.
    The Board did not err in rejecting claim 35 of the ’453
    patent as obvious in view of White and Jonas.
    AFFIRMED
    

Document Info

Docket Number: 12-1297

Filed Date: 4/4/2014

Precedential Status: Precedential

Modified Date: 10/30/2014

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