Touchcom, Inc. v. Bereskin & Parr [Revised] ( 2009 )


Menu:
  •  United States Court of Appeals for the Federal Circuit
    *Revised: August 4, 2009
    2008-1229
    TOUCHCOM, INC.
    and TOUCHCOM TECHNOLOGIES, INC.,
    Plaintiffs-Appellants,
    v.
    BERESKIN & PARR
    and H. SAMUEL FROST,
    Defendants-Appellees.
    Sheron Korpus, Kasowitz, Benson, Torres & Friedman, LLP, of New York, New
    York, argued for plaintiffs-appellants. With him on the brief was Michael S. Shuster.
    G. Luke Ashley, Thompson & Knight L.L.P., of Dallas, Texas, argued for
    defendants-appellees. With him on the brief were John H. Martin, J. Michael Heinlen;
    and Peter E. Strand, Shook, Hardy & Bacon L.L.P., of Washington, DC.
    Appealed from: United States District Court for the Eastern District of Virginia
    Senior Judge James C. Cacheris
    * Correction of title
    United States Court of Appeals for the Federal Circuit
    2008-1229
    TOUCHCOM, INC.
    and TOUCHCOM TECHNOLOGIES, INC.,
    Plaintiffs-Appellants,
    v.
    BERESKIN & PARR
    and H. SAMUEL FROST,
    Defendants-Appellees.
    Appeal from the United States District Court for the Eastern District of Virginia
    in Case No. 1:07-CV-114, Senior Judge James C. Cacheris.
    ____________________
    DECIDED: August 3, 2009
    ____________________
    Before LOURIE, GAJARSA, and PROST, Circuit Judges.
    Opinion for the court filed by Circuit Judge LOURIE. Dissenting opinion filed by Circuit
    Judge PROST.
    LOURIE, Circuit Judge.
    Touchcom, Inc. and Touchcom Technologies, Inc. (collectively “Touchcom”)
    appeal from the final judgment of the United States District Court for the Eastern District
    of Virginia dismissing Touchcom’s malpractice suit against the law firm of Bereskin &
    Parr (“B&P”) and attorney H. Samuel Frost. Touchcom, Inc. v. Bereskin & Parr, No. 07-
    CV-114, slip op. at 1 (E.D. Va. Feb. 4, 2008). The district court dismissed Touchcom’s
    suit for lack of personal jurisdiction. Because the court erred in determining that it did
    not have personal jurisdiction over B&P and Frost, we reverse.
    BACKGROUND
    Peter Hollidge, one of the principals of Touchcom, Inc., invented aspects of a
    pump system that was designed to allow a user to control the system via a central
    processing unit. In 1987, he retained B&P, a Canadian intellectual property law firm,
    and specifically H. Samuel Frost, a partner in B&P’s Mississauga office, to file and
    prosecute the necessary patent applications. Hollidge sought patent protection for his
    invention in Canada, the United States, and various European countries. B&P and
    Frost entered into an oral agreement with Hollidge regarding the patent prosecution.
    Frost prepared a Canadian patent application on Hollidge’s invention that was
    filed on August 6, 1987. 1    The Canadian application, which ultimately issued as
    Canadian Patent 1,301,929, contained the complete source code for Hollidge’s
    invention. 2 Can. Patent No. 1,301,929 (filed Aug. 6, 1987) (issued May 26, 1992). That
    source code, particularly its omission from a subsequent patent application in the United
    States, is at the heart of Touchcom’s present action against B&P and Frost (collectively,
    “appellees”).
    To obtain patent protection on Touchcom’s invention outside of Canada, Frost
    opted to file under the Patent Cooperation Treaty (“PCT”). The PCT provides a unified
    procedure for filing a single patent application in multiple countries. Under the PCT
    process, an applicant first files a patent application in one participating country. The
    1
    A second attorney, Robert Wilkes, assisted Frost in prosecuting the
    relevant patents in this case. Wilkes is not a defendant in this action.
    2
    On December 7, 1987, Hollidge assigned his invention to Touchcom. For
    ease of reference, we will refer to the invention as Touchcom’s from this point forward.
    2008-1229                                  2
    International Bureau of the World Intellectual Property Organization (“WIPO”), on
    request, then transmits copies of the application to domestic national patent offices
    selected by the patentee. Those filings are referred to as “national phase entries.”
    On August 5, 1988, Frost filed a PCT application in the United Kingdom covering
    Touchcom’s invention. That PCT application, unlike the Canadian application, did not
    contain the complete computer source code for the invention; a portion of the source
    code was unintentionally omitted. On December 29, 1989, WIPO transmitted and filed
    a national phase application in the United States Patent and Trademark Office
    (“USPTO”), which is located in Alexandria, Virginia. The U.S. application was identical
    to the British application; it also lacked the omitted portion of the computer source code.
    In order to perfect the U.S. application, Frost transmitted various documents to
    the USPTO, including a transmittal letter, a cover letter that outlined applicable fees,
    and a declaration of inventorship executed by Hollidge. Additionally, Frost submitted a
    preliminary amendment (not related to the source code), a petition to make special, and
    small entity declarations signed by Hollidge and Touchcom. It is not alleged that Frost,
    or any other member of B&P, physically entered Virginia to prosecute the Touchcom
    patent. On June 25, 1991, U.S. Patent 5,027,282 (filed Dec. 28, 1988), claiming the
    interactive pump system, issued to Touchcom.
    Several years after obtaining its U.S. patent, Touchcom filed two patent
    infringement actions in the U.S. District Court for the Eastern District of Texas. In one of
    those actions, the district court held that Touchcom’s patent was invalid for
    indefiniteness. Touchcom, Inc. v. Dresser, Inc., 
    427 F. Supp. 2d 730
    , 737 (E.D. Tex.
    2005). The court premised much of its finding of indefiniteness on the absence of
    2008-1229                                    3
    portions of the source code from Touchcom’s patent. 
    Id.
    On August 25, 2006, Touchcom filed a malpractice action against appellees in
    the Superior Court for the District of Columbia. Appellees subsequently removed the
    case to the U.S. District Court for the District of Columbia.           On October 3, 2006,
    Touchcom voluntarily dismissed the D.C. action and, on the following day, re-filed the
    case in the circuit court of Arlington County, Virginia.
    On January 30, 2007, appellees removed the Arlington County action to the U.S.
    District Court for the Eastern District of Virginia. Shortly thereafter, appellees moved to
    dismiss the complaint for lack of personal jurisdiction pursuant to Federal Rule of Civil
    Procedure 12(b)(2). Touchcom moved to remand the case to state court for lack of
    subject matter jurisdiction. The district court then stayed the proceedings pending our
    decision in Air Measurement Technologies, Inc. v. Akin Gump Strauss Hauer & Feld,
    
    504 F.3d 1262
     (Fed. Cir. 2007). That decision was entered on October 15, 2007, and
    the district court lifted its stay one month later.
    On February 4, 2008, the district court ruled on all pending motions, including
    appellees’ motion to dismiss under Fed. R. Civ. P. 12(b)(2) for lack of personal
    jurisdiction. Touchcom, Inc. v. Bereskin & Parr, No. 07-CV-114, slip op. at 31 (E.D. Va.
    Feb. 4, 2008).     As a preliminary matter, the court, relying on our decisions in Air
    Measurement and Immunocept, LLC v. Fulbright & Jaworski, LLP, 
    504 F.3d 1281
     (Fed.
    Cir. 2007), found that it possessed subject matter jurisdiction over Touchcom’s claim.
    Touchcom, No. 07-CV-114, slip op. at 8-18. Thus, the court denied B&P and Frost’s
    motion to remand the case to state court.             Id. at 17-18.   The court then granted
    Touchcom’s 12(b)(2) motion and dismissed the case for lack of personal jurisdiction. Id.
    2008-1229                                       4
    at 18-30. In doing so, the court focused its analysis on the particular requirements of
    the Virginia long-arm statute and concluded that Touchcom had failed to plead facts
    sufficient to satisfy those requirements.     Id. at 30 (“[T]he Court does not possess
    specific jurisdiction over Defendants within the meaning of Virginia’s long-arm statute.”).
    Touchcom timely appealed the district court’s judgment. We have jurisdiction
    under 
    28 U.S.C. § 1295
    (a)(1).
    DISCUSSION
    Touchcom argues that the district court erred when it found that it lacked
    personal jurisdiction over appellees. Touchcom contends that, contrary to the court’s
    finding, appellees’ contacts with the Commonwealth of Virginia were sufficient to satisfy
    the Virginia long-arm statute and establish specific jurisdiction over appellees.        In
    support of that claim, Touchcom alleges that appellees transacted business in Virginia,
    contracted to supply services or things in Virginia, and caused tortious injury in Virginia
    by an act or omission outside of Virginia. Furthermore, Touchcom claims that appellees
    possess the required “minimum contacts” with Virginia such that exercise of personal
    jurisdiction over appellees would not be inconsistent with notions of fair play and
    substantial justice.
    In response, appellees urge us to affirm the district court’s finding that it lacked
    specific jurisdiction over appellees.    Appellees claim that Virginia’s long-arm statute
    does not confer jurisdiction over Frost or B&P because the alleged malpractice does not
    arise out of business transacted in Virginia or from the transmission of documents to the
    USPTO. Appellees further argue that the Virginia long-arm statute does not establish
    jurisdiction because the alleged malpractice was not a tortious act committed in Virginia.
    2008-1229                                    5
    Even if the Virginia long-arm statute conferred jurisdiction in this case, and appellees
    claim it does not, appellees argue that finding personal jurisdiction in this case would
    violate due process.
    The question presented in this case is one of first impression, viz., whether the
    act of filing an application for a U.S. patent at the USPTO is sufficient to subject the
    filing attorney to personal jurisdiction in a malpractice claim that is based upon that filing
    and is brought in federal court. For the reasons discussed below, we conclude that it is.
    A.     Standard of Review
    We review whether the district court had personal jurisdiction over appellees
    under a de novo standard. 3D Sys., Inc. v. Aarotech Labs., Inc., 
    160 F.3d 1373
    , 1376
    (Fed. Cir. 1998). “While we defer to the interpretation of a state’s long-arm statute given
    by that state’s highest court, particularly whether or not the statute is intended to reach
    the limit of federal due process, when analyzing personal jurisdiction for purposes of
    compliance with federal due process, Federal Circuit law, rather than regional circuit
    law, applies.” 
    Id. at 1377
     (citations omitted).
    Because the district court decided appellees’ pretrial personal jurisdiction motion
    without conducting a hearing, Touchcom must make only a prima facie showing that the
    district court had personal jurisdiction over appellees in order to succeed on appeal.
    Elecs. for Imaging, Inc. v. Coyle, 
    340 F.3d 1344
    , 1349 (Fed. Cir. 2003). In evaluating
    whether Touchcom has met its burden, we accept the uncontroverted allegations in
    Touchcom’s complaint as true and resolve any factual conflicts in Touchcom’s favor. 
    Id.
    Courts may exercise personal jurisdiction over defendants on either of two
    bases: general or specific jurisdiction. Synthes (U.S.A.) v. G.M. dos Reis Jr. Ind. Com.
    2008-1229                                     6
    de Equip. Medico, 
    563 F.3d 1285
    , 1297 (Fed. Cir. 2009). General jurisdiction “requires
    that the defendant have ‘continuous and systematic’ contacts with the forum state and
    confers personal jurisdiction even when the cause of action has no relationship with
    those contacts.” Silent Drive, Inc. v. Strong Indus., Inc., 
    326 F.3d 1194
    , 1200 (Fed. Cir.
    2003) (quoting Helicopteros Nacionales de Colombia, S.A. v. Hall, 
    466 U.S. 408
    , 414-16
    (1984)).    Because Touchcom does not appeal the district court’s conclusion that it
    lacked general jurisdiction, we will limit our discussion to specific jurisdiction.
    B.     Specific Jurisdiction
    Analysis of personal jurisdiction in federal court begins with Rule 4 of the Federal
    Rules of Civil Procedure. Synthes, 
    563 F.3d at
    1293 (citing Fed. R. Civ. P. 4; Omni
    Capital Int’l, Ltd. v. Rudolf Wolff & Co., 
    484 U.S. 97
    , 104 (1987)). Rule 4(k)(1)(A) states
    that service of process establishes jurisdiction over a defendant “who is subject to the
    jurisdiction of a court of general jurisdiction in the state where the district court is
    located.”   Fed. R. Civ. P. 4(k)(1)(A).      Pursuant to Rule 4(k)(1)(A), a federal court
    addressing personal jurisdiction over a defendant approaches such an inquiry by
    analyzing the long-arm statute and governing principles of the forum state. See id.; see
    also CFA Inst. v. Inst. of Chartered Fin. Analysts of India, 
    551 F.3d 285
    , 292 (4th Cir.
    2009) (“[A] federal court assessing such a jurisdictional issue borrows and applies the
    applicable long-arm statute and governing principles from the forum state.”).         Rule
    4(k)(2), on the other hand, establishes jurisdiction over a defendant when process has
    been served and three requirements are met: “(1) the plaintiff’s claim arises under
    federal law, (2) the defendant is not subject to jurisdiction in any state’s courts of
    general jurisdiction, and (3) the exercise of jurisdiction comports with due process.”
    2008-1229                                      7
    Synthes, 
    563 F.3d at 1294
    .
    The district court, in deciding this case, found that Rule 4(k)(1)(A) did not permit
    the exercise of jurisdiction over appellees. The court did not examine whether Rule
    4(k)(2) permitted the exercise of personal jurisdiction over appellees.            The court’s
    reason for ignoring Rule 4(k)(2) was sound: Touchcom did not allege that that rule
    permitted the exercise of jurisdiction. However, on appeal, Touchcom does argue the
    relevance of Rule 4(k)(2), and we are entitled to consider it. See Appellant’s Br. at 32
    n.6.
    Appellees argue that Touchcom has waived any argument based upon that rule
    because it is raising the argument for the first time on appeal. However, Touchcom
    correctly points out that it did not have the opportunity to argue Rule 4(k)(2) to the
    district court because the court ruled on subject matter jurisdiction, and thus whether the
    case arose under federal law, at the same time that it ruled on personal jurisdiction.
    Indeed, at the district court Touchcom argued that its claims did not arise under federal
    law. Because Rule 4(k)(2) requires that a claim arise under federal law, Touchcom was
    not in a position to argue Rule 4(k)(2) until the present appeal.         We therefore will
    consider Touchcom’s 4(k)(2) argument. There was no waiver. See ISI Int’l, Inc. v.
    Borden Ladner Gervais LLP, 
    256 F.3d 548
    , 551-52 (7th Cir. 2001) (ruling on Rule
    4(k)(2) even though it was not argued at the district court or appellate level).
    For the reasons stated below, we agree with the district court’s findings that
    under a traditional 4(k)(1)(A) analysis, the court lacked personal jurisdiction over
    appellees. However, we find that under a Rule 4(k)(2) analysis, exercise of jurisdiction
    over appellees is permitted. We will analyze each rule in turn.
    2008-1229                                    8
    1.     Rule 4(k)(1)(A)
    An inquiry into personal jurisdiction involves two steps. Genetic Implant Sys.,
    Inc. v. Core-Vent Corp., 
    123 F.3d 1455
    , 1458 (Fed. Cir. 1997) (citing Burger King Corp.
    v. Rudzewicz, 
    471 U.S. 462
    , 471-76 (1985)). We must first decide whether the forum
    state’s long-arm statute permits service of process on appellees. 
    Id.
     We must then
    determine whether the assertion of personal jurisdiction in accordance with that long-
    arm statute would violate the U.S. Constitution’s guarantee of due process. 
    Id.
    In this case, the two-step personal jurisdiction inquiry coalesces into a single
    inquiry. The Virginia long-arm statute has been interpreted by the Supreme Court of
    Virginia to generally authorize the exercise of jurisdiction to the full extent permitted by
    the U.S. Constitution. Danville Plywood Corp. v. Plain & Fancy Kitchens, Inc., 
    238 S.E.2d 800
    , 802 (Va. 1977). Thus, satisfaction of Virginia’s requirements for service of
    process is satisfied when due process is satisfied. Stated differently, the statutory and
    constitutional inquiries coalesce into the question whether due process is satisfied by
    the court’s exercise of personal jurisdiction over appellees. Diamond Healthcare of
    Ohio, Inc. v. Humility of Mary Health Partners, 
    229 F.3d 448
    , 450 (4th Cir. 2000).
    The Supreme Court articulated the test for determining whether the exercise of
    jurisdiction comports with due process in International Shoe Co. v. Washington, 
    326 U.S. 310
     (1945). We have interpreted International Shoe and its progeny as creating a
    three-pronged approach for determining whether the exercise of jurisdiction is permitted
    under the Fifth Amendment. Synthes, 
    563 F.3d at 1297
    . First, the defendant must
    have “minimum contacts” with the forum state. Id.; Int’l Shoe, 
    326 U.S. at 316
    . In the
    context of finding specific jurisdiction, the “minimum contacts” prong requires a showing
    2008-1229                                    9
    that the defendant has “purposefully directed his activities at residents of the forum.”
    Synthes, 
    563 F.3d at
    1297 (citing Elecs. for Imaging, 
    340 F.3d at 1350
    ). The second
    prong requires that “the claim arises out of or relates to the defendant’s activities with
    the forum.” 
    Id.
     The third prong of the due process test is a showing that “assertion of
    jurisdiction is reasonable and fair.” 
    Id.
    The “constitutional touchstone” of a due process inquiry is determining whether
    the defendant “purposefully established ‘minimum contacts’ in the forum state.” Burger
    King, 
    471 U.S. at 474
     (quoting Int’l Shoe, 
    326 U.S. at 316
    ). Thus, “it is essential in each
    case that there be some act by which the defendant purposefully avails itself of the
    privilege of conducting activities within the forum [ ], thus invoking the benefits and
    protections of its laws.” Hanson v. Denckla, 
    357 U.S. 235
    , 253 (1958). Contacts with
    the forum that are “random”, “fortuitous,” or “attenuated,” or that result from the
    “unilateral activity of another party or third person” are not sufficient to establish
    personal jurisdiction. Burger King, 
    471 U.S. at 475
    .
    In this case, appellees’ contacts with Virginia are limited to the filing of a patent
    application at the USPTO and subsequent communications and filings made in
    connection with that application. Appellees never travelled to Virginia in connection with
    this patent and thus have not contributed to or benefited from Virginia’s restaurants,
    hotels, airports, or other commercial establishments in its prosecution of the patent.
    Appellees have not directed any of their activities at issue in this case towards residents
    of Virginia, nor have they engaged in business negotiations with any Virginia residents.
    Appellees’ contacts are limited to long-distance communications with a federal agency
    that happens to be located in Virginia primarily because of the state’s proximity to our
    2008-1229                                   10
    nation’s capital.   While appellees made such contacts purposefully, and thus those
    contacts are neither random nor fortuitous, see 
    id.,
     the contacts do not indicate a
    purposeful availment of the “privilege of conducting business within” Virginia. Finally,
    they have engaged in no conduct in Virginia that concerns the interests of Virginia, such
    as protecting its citizens, businesses, or property.        For purposes of this lawsuit,
    appellees do not therefore possess the constitutional “minimum contacts” with Virginia,
    Hanson, 
    357 U.S. at 253
    , are not subject to jurisdiction in Virginia’s courts of general
    jurisdiction, and are therefore not subject to jurisdiction in federal court in Virginia under
    a Rule 4(k)(1)(A) analysis. 3
    2.     Rule 4(k)(2)
    Rule 4(k)(2), entitled “Federal Claim Outside State-Court Jurisdiction,” states, in
    relevant part: “For a claim that arises under federal law, serving a summons . . .
    establishes personal jurisdiction over a defendant if: (A) the defendant is not subject to
    jurisdiction in any state’s courts of general jurisdiction; and (B) exercising jurisdiction is
    consistent with the United States Constitution and laws.” Fed. R. Civ. P. 4(k)(2). Thus,
    for a court to exercise personal jurisdiction over a defendant under that rule, the
    plaintiff’s claim must arise under federal law, the defendant must not be subject to
    jurisdiction in any state’s courts of general jurisdiction, and exercise of jurisdiction must
    comport with due process. Synthes, 
    563 F.3d at 1293-94
    .
    a.     Claim Arises Under Federal Law
    This case was removed to the United States District Court for the Eastern District
    3
    This malpractice suit, where the patent owner is the plaintiff, is not a case
    to which 
    35 U.S.C. § 293
     applies, where jurisdiction over a foreign patentee is provided
    for proceedings affecting the patent.
    2008-1229                                    11
    of Virginia. Appellees argued that the case raised a federal question. Touchcom, No.
    07-CV-114, slip op. at 6 (arguing subject matter jurisdiction under 
    28 U.S.C. §§ 1331
    ,
    1338). Thus, for the district court to have possessed subject matter jurisdiction over
    Touchcom’s claim, the claims must necessarily have arisen under federal law. See 
    28 U.S.C. § 1331
     (conferring original jurisdiction to federal district courts over “all civil
    actions arising under the Constitution, laws, or treaties of the United States” (emphasis
    added)); 
    28 U.S.C. § 1338
     (stating that U.S. district courts possess subject matter
    jurisdiction over civil actions that “aris[e] under any Act of Congress relating to patents”
    (emphasis added)).
    We agree with the district court that it possessed subject matter jurisdiction over
    this case under 
    28 U.S.C. § 1338
    . As a consequence of that decision, Touchcom’s
    claims necessarily arise under federal law for purposes of Rule 4(k)(2). The Supreme
    Court has held that § 1338 jurisdiction extends to any case “in which a well-pleaded
    complaint establishes either that federal patent law creates the cause of action or that
    the plaintiff’s right to relief necessarily depends on resolution of a substantial question of
    federal patent law, in that patent law is a necessary element of one of the well-pleaded
    complaints.” Christianson v. Colt Indus. Operating Corp., 
    486 U.S. 800
    , 809 (1988). In
    Immunocept, we held that a malpractice claim necessarily involved a substantial
    question of patent law because the claim required the court to determine the scope of
    the patent claims at issue. 504 F.3d at 1284-85. We noted in Immunocept that “state
    claims that involve a comparison of patent applications and the proof of invalidity” are
    within the jurisdiction of federal district courts under 
    28 U.S.C. § 1338
    . 
    Id. at 1285
    (citations omitted).
    2008-1229                                    12
    Just as in Immunocept, this case concerns state malpractice claims that involve
    analysis of patent claims and proof of invalidity. Touchcom will be required to show
    that, had appellees not omitted a portion of the source code from its application, the
    resulting U.S. patent would not have been held invalid. See Stewart v. Hall, 
    770 F.2d 1267
    , 1269-70 (4th Cir. 1985) (stating that Virginia law requires malpractice plaintiffs to
    prove “but for” causation); White v. Morano, 
    452 S.E.2d 856
    , 858 (Va. 1995) (stating
    that “but for” causation is proven by conducting a “trial within a trial”). In this case, such
    a showing necessarily requires an analysis of patent validity.              Thus, following
    Immunocept and Christianson, we agree with the district court that the court possessed
    subject matter jurisdiction over Touchcom’s claims. Because we agree with the district
    court that Touchcom’s claims arise under federal law, the first requirement of Rule
    4(k)(2) has been met.
    b.      Not Subject to Jurisdiction in Any State
    The second requirement of Rule 4(k)(2), that the defendant is not subject to the
    jurisdiction of any state’s courts of general jurisdiction, poses practical difficulties for
    district courts. See Synthes, 
    563 F.3d at 1294
     (“[D]etermining the second Rule 4(k)(2)
    requirement—that the defendant not be subject to personal jurisdiction in any state’s
    courts of general jurisdiction (the ‘negation requirement’)—poses practical difficulties for
    a district court.”).   That is because the requirement either places a burden on the
    plaintiff of proving a negative many times over, viz., that defendant is not subject to
    jurisdiction in any of the fifty states, or requires that the defendant concede its potential
    amenability to suit in federal court (by denying its amenability to suit in any state court)
    or submitting to jurisdiction in a particular state, an uninviting choice. See United States
    2008-1229                                     13
    v. Swiss Am. Bank, Ltd., 
    191 F.3d 30
    , 40-41 (1st Cir. 1999). In response, the various
    circuit courts have developed different methods for determining whether this
    requirement of Rule 4(k)(2) is met. See Synthes, 
    563 F.3d at 1294-95
     (describing the
    various approaches used among the different circuits). We have not previously had
    occasion to address our approach to this issue. 
    Id. at 1296
     (holding that Rule 4(k)(2)
    permitted jurisdiction, yet leaving for another day the determination of which party bears
    the burden of proof regarding the second requirement of that rule and what that party is
    required to prove).
    Rule 4(k)(2) closed a loophole that existed prior to the 1993 amendments of the
    Federal Rules of Civil Procedure. 4 Before the adoption of Rule 4(k)(2), a non-resident
    defendant who did not have “minimum contacts” with any individual state sufficient to
    support exercise of jurisdiction, but did have sufficient contacts with the United States
    as a whole, could escape jurisdiction in all fifty states. Rule 4(k)(2) was adopted to
    ensure that federal claims will have a U.S. forum if sufficient national contacts exist.
    See Synthes, 
    563 F.3d at
    1295 (citing Fed. R. Civ. P. 4(k)(2) advisory committee notes
    4
    The advisory committee notes to the 1993 amendment state:
    Under the former rule, a problem was presented when the defendant was a
    non-resident of the United States having contacts with the United States
    sufficient to justify the application of United States law and to satisfy federal
    standards of forum selection, but having insufficient contact with any single
    state to support jurisdiction under state longarm legislation or meet the
    requirements of the Fourteenth Amendment limitation on state court territorial
    jurisdiction. In such cases, the defendant was shielded from the enforcement
    of federal law by the fortuity of a favorable limitation on the power of state
    courts, which was incorporated into the federal practice by the former rule. In
    this respect, the revision responds to the suggestion of the Supreme Court
    made in Omni Capital Int’l v. Rudolf Wolff & Co., Ltd., 
    484 U.S. 97
    , 111
    (1987).
    Fed. R. Civ. P. 4(k)(2) advisory committee notes to 1993 amendment.
    2008-1229                                  14
    to 1993 amendment).
    In dealing with the second requirement of Rule 4(k)(2), the Fifth, Seventh, Ninth,
    Eleventh, and DC Circuits have adopted an approach that places the burden on the
    defendant. See Oldfield v. Pueblo de Bahia Loria, S.A., 
    558 F.3d 1210
    , 1219 n.22 (11th
    Cir. 2009); Holland Am. Line Inc. v. Wartsila N. Am., Inc., 
    485 F.3d 450
    , 461 (9th Cir.
    2007); Mwani v. bin Laden, 
    417 F.3d 1
    , 11 (D.C. Cir. 2005); Adam v. Unione
    Mediterranea di Sicurta, 
    364 F.3d 646
    , 651 (5th Cir. 2004); ISI Int’l, 
    256 F.3d at 552
    .
    Under that approach, a court is entitled to use Rule 4(k)(2) to determine whether it
    possesses personal jurisdiction over the defendant unless the defendant names a state
    in which the suit can proceed. As articulated by the Seventh Circuit:
    A defendant who wants to preclude the use of Rule 4(k)(2) has only to
    name some other state in which the suit could proceed. Naming a more
    appropriate state would amount to a consent to personal jurisdiction there.
    . . . If, however, the defendant contends that he cannot be sued in the
    forum state and refuses to identify any other state where suit is possible,
    then the federal court is entitled to use Rule 4(k)(2). This procedure
    makes it unnecessary to traipse through the 50 states, asking whether
    each could entertain the suit.
    ISI Int’l, 
    256 F.3d at 552
     (citations omitted).
    The First Circuit has a different approach.       Under that circuit’s approach, a
    plaintiff must certify that defendant is not subject to jurisdiction in any state, at which
    point the burden shifts to the defendant to refute the plaintiff’s certification. Swiss Am.
    Bank, 
    191 F.3d at 41
    . The First Circuit’s approach “presents practical difficulties for a
    plaintiff who prefers to plead in the alternative that the defendant is subject to suit under
    a state’s long-arm statute.”      Synthes, 
    563 F.3d at 1294
    .       The Fourth Circuit has
    seemingly followed the First Circuit’s approach. See Base Metal Trading, Ltd. v. OJSC
    “Novokuznetsky Aluminum Factory”, 
    283 F.3d 208
    , 215 (4th Cir. 2002) (citing the First
    2008-1229                                     15
    Circuit’s Swiss Am. Bank. decision in deciding whether the second requirement of Rule
    4(k)(2) was met).
    We conclude that, in federal cases, the purposes of Rule 4(k)(2) are best
    achieved when the defendant is afforded the opportunity to avoid the application of the
    rule only when it designates a suitable forum in which the plaintiff could have brought
    suit. The advisory committee was concerned with defendants escaping jurisdiction in
    U.S. federal courts while still having minimum contacts with the United States. If we
    were to adopt the First Circuit’s requirement that a plaintiff must prove that a defendant
    was not subject to jurisdiction in any of the fifty states, we would be allowing some
    defendants to escape jurisdiction due to the excessive burden involved in making such
    a showing. It is difficult to prove a negative. Furthermore, that approach would not
    allow plaintiffs to plead jurisdiction in the alternative under Rule 4(k)(1)(A) and Rule
    4(k)(2). Requiring a plaintiff to certify that a defendant is not subject to jurisdiction in
    any state forecloses an argument by the plaintiff that the defendant is subject to
    jurisdiction in the state in which the court resides. See Base Metal Trading, 
    283 F.3d at 215
     (noting that the First Circuit’s certification requirement does not permit litigants to
    adopt “inconsistent alternate positions in a case”).        An approach that forecloses
    alternative arguments appears to conflict with the Federal Rules of Civil Procedure.
    See Fed. R. Civ. P. 8(d)(2) (“A party may set out 2 or more statements of a claim or
    defense alternatively or hypothetically, either in a single court or defense or in separate
    ones.”).
    We conclude that the approach articulated by the Seventh Circuit is more in tune
    with the purposes behind the enactment of Rule 4(k)(2). We agree with the Seventh
    2008-1229                                   16
    Circuit that the “[c]onstitutional analysis for each of the 50 states” required under the
    First Circuit’s approach is undesirable and “eminently avoidable by allocating burdens
    sensibly.”      ISI Int’l, 
    256 F.3d at 552
    .   Thus, we agree with the Seventh Circuit’s
    conclusion that if “the defendant contends that he cannot be sued in the forum state and
    refuses to identify any other where suit is possible, then the federal court is entitled to
    use Rule 4(k)(2).” 
    Id.
     5
    Turning now to the facts of this case, the district court found, and we have
    confirmed, that appellees are not subject to Virginia’s courts of general jurisdiction. See
    sec. B1, supra. Appellees have not named another state in which they would be subject
    to jurisdiction. All of the appellees’ contacts with the United States that have been
    alleged by Touchcom occurred at the USPTO in Virginia. There is no record evidence
    of any of the contacts relating to Touchcom’s claims occurring in any other state. Thus,
    we find that for purposes of Rule 4(k)(2) Touchcom has made a prima facie showing
    that appellees are not subject to the jurisdiction of any state’s courts of general
    jurisdiction.
    As noted above, due to the procedural posture of this appeal, Touchcom is
    required only to make a prima facie case of personal jurisdiction in order to prevail.
    Elecs. for Imaging, 
    340 F.3d at 1349
    . We recognize that because the case was decided
    on summary judgment and Rule 4(k)(2) was not argued before the district court, there
    5
    Because Touchcom argued both rule 4(k)(1)(A) and Rule 4(k)(2), and
    because we have dealt with both of those rules, we need not decide whether a Rule
    4(k)(2) analysis can only be conducted after a Rule 4(k)(1)(A) analysis, as required by
    the First, Fourth, and Sixth Circuits. Swiss Am. Bank, 
    191 F.3d at 37
    ; CFA Inst., 
    551 F.3d at 292
    ; Fortis Corp. Ins. v. Viken Ship Mgmt., 
    450 F.3d 214
    , 218 (6th Cir. 2006);
    see also Synthes 
    563 F.3d at 1295
     (leaving for another day the question whether
    4(k)(1)(A) analysis must precede 4(k)(2) analysis).
    2008-1229                                     17
    may be evidence of appellees’ contacts with states other than Virginia that did not form
    part of the record. If, on remand, the district court determines that appellees are subject
    to personal jurisdiction in another state, or if appellees designate such a forum, the
    district court is welcome to transfer the case as it sees fit. However, if such a showing
    is not made, Touchcom has met its burden under Rule 4(k)(2) of demonstrating that
    appellees are not subject to the jurisdiction of any state’s courts of general jurisdiction.
    c.     Due Process
    Just as in the due process analysis under Rule 4(k)(1)(A), in deciding whether
    due process permits the exercise of personal jurisdiction under Rule 4(k)(2), we must
    consider whether “(1) defendant has purposefully directed its activities at residents of
    the forum, (2) the claim arises out of or relates to the defendant’s activities with the
    forum, and (3) assertion of personal jurisdiction is reasonable and fair.” Synthes, 
    563 F.3d at 1297
    . However, the due process analysis under Rule 4(k)(2) differs somewhat
    from the analysis under Rule 4(k)(1), which we analyzed previously.             Rule 4(k)(2)
    “contemplates a defendant’s contacts with the entire United States, as opposed to the
    state in which the district court sits.” 
    Id. at 1295
    .      Thus, while the test of specific
    jurisdiction under 4(k)(2) involves the same steps as under 4(k)(1), we must consider
    appellees “contacts with the nation as a whole.” 
    Id. at 1296
    .
    Applying the first factor of our three-factor test to this case, we conclude that
    appellees purposefully directed their activities at parties in the United States and thus
    had “minimum contacts” sufficient to satisfy due process. Appellees entered into a
    contractual agreement to obtain U.S. patent protection for Touchcom. That agreement
    contemplated and resulted in appellees seeking and obtaining a U.S. patent. In doing
    2008-1229                                    18
    so, appellees were required to be registered patent agents, submit documents to the
    USPTO, and perfect their client’s patent application before that agency. It stands to
    reason that one who has sought and obtained a property interest from a U.S. agency
    has purposefully availed itself of the laws of the United States.
    Appellees argue that because the U.S. patent application at issue in this case
    originated as a PCT application, their contacts with the United States are not sufficient
    to subject them to personal jurisdiction in federal court. However, the procedural route
    by which the patent was obtained is irrelevant. Appellees ultimately obtained a U.S.
    patent for their client by availing themselves of the only agency authorized to issue such
    patents, which is, not surprisingly, located in the United States.       Appellees were
    required to submit documents to the USPTO to perfect the U.S. patent application and
    appellees thus have had minimum contacts with the United States. That appellees
    never physically entered the country in doing so is not determinative of minimum
    contacts. See Burger King, 
    471 U.S. at 476
     (finding that jurisdiction was appropriate
    where defendant had not physically entered the state). Defendant purposefully directed
    its activities at the United States. Therefore, appellees’ decision to employ the PCT
    process, rather than directly filing a non-PCT U.S. patent application, does not alter our
    minimum contacts analysis.
    As for the second factor of our due process analysis, we conclude that
    Touchcom’s claims of malpractice undoubtedly arise out of appellees’ activities with an
    agency of the United States. Appellees argue that Touchcom’s claims are based upon
    an error committed in the filing of a PCT application, not the U.S. application, and
    therefore do not arise out of contacts with the United States. We disagree. Touchcom’s
    2008-1229                                   19
    claims arise from their filing of an allegedly deficient U.S. application. Had appellees
    filed the erroneous PCT application but chosen not to file a national phase entry in the
    United States, Touchcom would not have such a claim. Thus, appellees’ contacts arise
    out of activities within the United States that form the basis for the litigation in this case.
    We now turn to the third prong in our analysis. After finding that a defendant’s
    activities form the basis for the litigation and are sufficient to establish minimum
    contacts, a court must analyze whether exercising jurisdiction over a defendant based
    on those contacts would be reasonable and fair. See, e.g., Synthes, 
    563 F.3d at 1299
    .
    In determining whether exercising jurisdiction comports with “fair play and substantial
    justice,” we consider five factors: “(1) the burden on the defendant, (2) the forum’s
    interest in adjudicating the dispute, (3) the plaintiff’s interest in obtaining convenient and
    effective relief, (4) the interstate judicial system’s interest in obtaining the most efficient
    resolution of controversies, and (5) the shared interest of the states in furthering
    fundamental substantive policies.” 
    Id.
     (citing Burger King, 
    471 U.S. at 477
    ). These
    factors may “render jurisdiction unreasonable” despite the presence of minimum
    contacts. Burger King, 
    471 U.S. at 477
    .
    The first factor in our analysis of fair play and substantial justice is the burden
    placed upon the defendant in having to litigate in the forum. “The unique burdens
    placed upon one who must defend oneself in a foreign legal system should have
    significant weight in assessing the reasonableness of stretching the long arm of
    personal jurisdiction over national borders.” Asahi Metal Indus. Co. v. Super. Ct. of
    Cal., 
    480 U.S. 102
    , 114 (1987).         However, we have recognized that “progress in
    communications and transportation has made the defense of a lawsuit in a foreign
    2008-1229                                     20
    tribunal less burdensome.” World-Wide Volkswagen v. Woodson, 
    444 U.S. 286
    , 294
    (1980) (quotation marks omitted). That is especially true in this case in which appellees
    are being required to travel only from near Toronto to Alexandria, Virginia, a distance of
    approximately 500 miles.      See Deprenyl Animal Health, Inc. v. Univ. of Toronto
    Innovations Found., 
    297 F.3d 1343
    , 1356 (Fed. Cir. 2002) (finding the burden on a
    Canadian defendant subject to suit in Kansas was “relatively minimal”).            Also, in
    Synthes we held that requiring a Brazilian defendant to travel to the United States from
    Brazil in order to defend against a patent infringement suit was “not unduly
    burdensome.” Synthes, 
    563 F.3d at 1299
    . The present case involves travel that is
    much less burdensome than a Brazil-United States journey. Flights from Toronto to the
    Washington D.C. area are routine and frequent. Furthermore, appellees in this case are
    attorneys who are at least familiar enough with U.S. law to be registered as non-
    resident patent agents and eligible to practice before the USPTO. Appellees, as U.S.
    registered patent agents, may well have other business with the USPTO. In light of the
    relatively short travel time required and appellees’ seeming familiarity with the U.S. legal
    system, we conclude that the burden on appellees in defending this case in the United
    States is minimal.
    Next, we analyze the forum’s interest in adjudicating the dispute. Although this
    dispute is between Canadian citizens, the United States has an interest in regulating
    malpractice occurring at the USPTO regardless of the nationalities involved. The United
    States also has a legitimate interest in providing an adjudicatory forum for claims of
    malpractice occurring before its federal agencies. This factor thus does not indicate that
    exercising personal jurisdiction over appellees would be a constitutional violation.
    2008-1229                                   21
    As for the third prong of the fairness inquiry—the plaintiff’s interest in obtaining
    relief in the chosen forum—Touchcom’s interest in obtaining relief in a U.S. court is also
    minimal. Both U.S. and Canadian courts could equally provide the relief that Touchcom
    seeks. This factor is therefore neutral.
    The fourth and fifth factors, to the extent they apply, do not convince us that
    exercising jurisdiction over appellees would violate notions of fair play and substantial
    justice.   “Both factors are concerned with the potential clash of substantive social
    policies between competing fora and the efficiency of a resolution to the controversy.”
    Synthes, 
    563 F.3d at
    1300 (citing Burger King, 
    471 U.S. at 477
    ). As for the fourth
    factor, the United States does not appear to be any less efficient a forum in which to
    adjudicate this dispute. Aspects of U.S. patent law will be required to prove causation in
    this case regardless whether it is adjudicated in the United States or Canada. While
    both parties appear to believe that Canadian law will govern the substantive malpractice
    action, it is not entirely clear to us that that is the case. It appears that under Virginia’s
    choice of law rules, the law of the forum where the wrongful act occurred governs tort
    claims. Jones v. R.S. Jones & Assocs., Inc., 
    431 S.E.2d 33
    , 34 (Va. 1993). In spite of
    appellees’ arguments to the contrary, the alleged wrongful act presumably occurred in
    Virginia where the appellees’ patent application was filed; thus, it would appear that
    Virginia law would govern the malpractice action. In such a case, the United States
    would be the most efficient forum for adjudicating this dispute. Even if Canadian law
    does govern the malpractice action, either forum would have to apply foreign law. In
    such a case, this prong would not favor either party.
    Regarding the fifth factor, the United States has a cognizable policy interest in
    2008-1229                                    22
    regulating the practice of foreign attorneys that appear before the USPTO. Of course,
    Canada has an interest in regulating contracts entered into between its citizens. Thus,
    this factor also does not favor either party. Such a conclusion does not suggest that
    due process would be offended by the exercise of jurisdiction over appellees. In light of
    appellees’ minimal burden in litigating this case in the United States and the United
    States’ interest in and efficiency in adjudicating this dispute, we accordingly find that
    exercise of jurisdiction in this case comports with due process.
    In summary, appellees’ contacts with the United States indicate that appellees
    “purposefully avail[ed]” themselves of the privilege of conducting business in the United
    States. Those contacts form the basis for the present action. We therefore conclude
    that appellees’ contacts with the United States are sufficient to meet the “minimum
    contacts” standard articulated in International Shoe. Furthermore, exercise of personal
    jurisdiction over appellees in this case would not offend traditional notions of fair play
    and substantial justice. The present action was filed in Virginia and no other state
    appears to have a superior claim to jurisdiction. We therefore find that Touchcom has
    shown a prima facie case of personal jurisdiction in the U.S. District Court for the
    Eastern District of Virginia pursuant to Rule 4(k)(2).
    C.     Statute of Limitations
    As an alternative to their jurisdictional argument, appellees argue that
    Touchcom’s claims should be dismissed under Fed. R. Civ. P. 12(b)(6) because they
    are barred by Virginia’s three-year statute of limitations. Because the district court did
    not decide that issue, we remand the case for the court to rule on that issue in the first
    instance.
    2008-1229                                    23
    CONCLUSION
    Because the district court possessed personal jurisdiction over appellees, we
    reverse the court’s dismissal. We remand the case for proceedings consistent with this
    opinion.
    REVERSED AND REMANDED
    2008-1229                                24
    United States Court of Appeals for the Federal Circuit
    2008-1229
    TOUCHCOM, INC.
    and TOUCHCOM TECHNOLOGIES, INC.,
    Plaintiffs-Appellants,
    v.
    BERESKIN & PARR
    and H. SAMUEL FROST,
    Defendants-Appellees.
    Appeal from the United States District Court of the Eastern District of Virginia in case
    no. 1:07-CV-114, Senior Judge James C. Cacheris.
    PROST, Circuit Judge, dissenting.
    I agree with the majority’s discussion of Rule 4(k)(1)(A) and its treatment of the
    first two requirements for personal jurisdiction to be proper under Rule 4(k)(2). I also
    agree that the Appellees have minimum contacts with the United States as a whole and
    that Touchcom’s cause of action arises out of those contacts. However, in my view, this
    case presents one of the “rare situations” in which minimum contacts are present but
    exercising personal jurisdiction would nevertheless violate due process because “the
    plaintiff’s interest and the state’s interest in adjudicating the dispute in the forum are so
    attenuated that they are clearly outweighed by the burden of subjecting the defendant to
    litigation within the forum.” Beverly Hills Fan Co. v. Royal Sovereign Corp., 
    21 F.3d 1558
    , 1568 (Fed. Cir. 1994). I therefore respectfully dissent.
    As the majority notes, a court cannot exercise jurisdiction if doing so “would
    offend traditional notions of fair play and substantial justice.” Asahi Metal Indus. Co. v.
    Super. Ct. of Cal., 
    480 U.S. 102
    , 113 (1987) (quotation marks omitted). In determining
    whether the assertion of jurisdiction over a defendant is reasonable, we consider five
    factors: (1) the burden on the defendant, (2) the forum’s interest in adjudicating the
    dispute, (3) the plaintiff’s interest in obtaining convenient and effective relief, (4) the
    interstate judicial system’s interest in obtaining the most efficient resolution of
    controversies, and (5) the shared interest of the states in furthering fundamental
    substantive social policies. Synthes (U.S.A.) v. G.M. dos Reis Jr. Ind. Com. de Equip.
    Medico, 
    563 F.3d 1285
    , 1299 (Fed. Cir. 2009) (citing Burger King Corp. v. Rudzewicz,
    
    471 U.S. 462
    , 477 (1985)).        We must also be mindful of the Supreme Court’s
    admonition that “[g]reat care and reserve should be exercised when extending our
    notions of personal jurisdiction into the international field.”   Asahi, 
    480 U.S. at 115
    (quoting United States v. First Nat’l City Bank, 
    379 U.S. 378
    , 404 (1965) (Harlan, J.,
    dissenting)).
    With respect to the first factor, the majority concludes that the burden on the
    Appellees in this case is “minimal” because modern transportation and communication
    technologies make travel between Toronto, Ontario and Alexandria, Virginia less
    burdensome than it has been in the past. See Majority Op. at 20-21 (citing World-Wide
    Volkswagen Corp. v. Woodson, 
    444 U.S. 286
    , 294 (1980), and Synthes, 
    563 F.3d at 1299
    ).    Additionally, the majority suggests that the Appellees, who are residents of
    Canada, have some familiarity with the United States legal system by virtue of their
    status as patent agents who are eligible to practice before the United States Patent and
    Trademark Office (“USPTO”). I respectfully disagree that subjecting the Appellees to
    suit in the United States is a “minimal” burden.
    2008-1229                                    2
    Traveling the approximately 500 miles from the Appellees’ office near Toronto to
    Alexandria is no doubt manageable as a logistical matter.            Nevertheless, “[i]t goes
    without saying that ‘[a]dditional distance [from home] means additional travel time;
    additional travel time increases the probability for meal and lodging expenses; and
    additional travel time with overnight stays increases the time which [the] fact witnesses
    must be away from their regular employment.’” In re TS Tech USA Corp., 
    551 F.3d 1315
    , 1320 (Fed. Cir. 2008) (quoting In re Volkswagen AG, 
    371 F.3d 201
    , 205 (5th Cir.
    2004)) (second and third alterations in original).
    Additionally, the burden on the Appellees is not merely the travel time.             For
    example, I do not think we would assume that it is less burdensome for a resident of
    Buffalo, New York to litigate in Toronto rather than New York City even though Toronto
    is over 250 miles closer. Regardless of the ease of travel, “[t]he unique burdens placed
    upon one who must defend oneself in a foreign legal system should have significant
    weight in assessing the reasonableness of stretching the long arm of personal
    jurisdiction over national borders.” Asahi, 
    480 U.S. at 114
    .
    I also disagree with the majority’s assertion that the Appellees’ eligibility to
    practice before the USPTO gives them a special familiarity with United States law.
    Under the applicable rules, an applicant for registration before the USPTO need not
    demonstrate any general understanding of our country’s legal system. See 
    37 C.F.R. §§ 11.6
    (c), 11.7(a). Moreover, the majority identifies no basis for its conclusion that the
    knowledge and skills necessary to prosecute patents before a government agency
    would tend to provide familiarity with malpractice litigation before a jury in a trial court.
    2008-1229                                      3
    Admittedly, the task of quantifying the burden on a particular defendant in a
    particular case and formulating a linguistic description of that burden is not amenable to
    precision. See, e.g., Asahi, 
    480 U.S. at 114
     (litigating in California was a “severe”
    burden for Japanese defendant); Synthes, 
    563 F.3d at 1299
     (litigating in California was
    a “significant” burden for Brazilian defendant); Deprenyl Animal Health, Inc. v. Univ. of
    Toronto Innovation Found., 
    297 F.3d 1343
    , 1356 (Fed. Cir. 2002) (defendant’s status as
    a Canadian corporation was “not insignificant,” but the burden of subjecting it to
    litigation in Kansas was “relatively minimal”); Johnston v. Multidata Sys. Int’l Corp., 
    523 F.3d 602
    , 617 (5th Cir. 2008) (litigating in Texas was a “severe” burden for Canadian
    defendant); Benton v. Cameco Corp., 
    375 F.3d 1070
    , 1079 (10th Cir. 2004) (litigating in
    Colorado was a “significant” burden for a Canadian corporation).             However, it is
    sufficient to resolve this case to recognize that it will be fairly burdensome for the
    Canadian Appellees to hire foreign lawyers to defend them in a trial before foreign jurors
    in a foreign court that will be governed by foreign procedural rules and, potentially, other
    more substantive foreign laws. See, e.g., Majority Op. at 22 (suggesting that Virginia
    choice-of-law rules might be applied). This is so because even if these burdens are not
    viewed as overwhelming, they nevertheless outweigh the competing interests in having
    the case decided in the United States.
    With respect to the second factor in the analysis, I consider the United States’
    interest in adjudicating this dispute to be minimal. Most importantly, neither Touchcom
    nor the Appellees are citizens or residents of the United States. See Asahi, 
    480 U.S. at 114
     (“Because the plaintiff is not a California resident, California’s legitimate interests in
    the dispute have considerably diminished.”). Moreover, as foreign patent agents, the
    2008-1229                                     4
    Appellees are not permitted to represent United States citizens before the USPTO. 
    37 C.F.R. § 11.6
    (c). Thus, the United States can claim no interest in protecting its own
    citizens from negligent representation before the USPTO.
    As a general matter, the majority is correct that “the United States has an interest
    in regulating malpractice occurring at the USPTO regardless of the nationalities
    involved.” Majority Op. at 21. However, the due process analysis must be conducted
    on a case-by-case basis. See Perkins v. Benguet Consol. Mining Co., 
    342 U.S. 437
    ,
    445 (1952).     In this case, the alleged malpractice consists of the Appellees’ act of
    submitting a patent application to the USPTO that could not result in the issuance of a
    valid patent because it lacked the source code necessary to satisfy the definiteness
    requirement of 
    35 U.S.C. § 112
    . In my view, the United States’ interest in discouraging
    this type of negligence by omission is adequately protected by the USPTO’s authority to
    reject claims that suffer from this type of defect. See Manual of Patent Examining
    Procedure § 2181 (8th ed., July 2008 rev.). Additionally, USPTO regulations provide for
    discipline of attorneys who do not represent their clients competently. See 
    37 C.F.R. §§ 10.20
    , 10.77, 11.19. While it is regrettable that the USPTO issued an invalid patent
    to Touchcom, opening our courts to this lawsuit will contribute little to the United States’
    existing ability to encourage patent attorneys and agents to submit proper applications
    to the USPTO.
    Turning to the third factor, I agree with the majority that Touchcom’s interest in
    obtaining relief in a United States court is minimal because a Canadian forum is
    available. Accordingly, I do not believe that this factor supports the exercise of personal
    jurisdiction in this case.
    2008-1229                                    5
    The majority notes that the fourth and fifth factors—the interstate judicial
    system’s interest in obtaining the most efficient resolution of controversies and the
    shared interest of the states in furthering fundamental substantive social policies—“are
    concerned with the potential clash of substantive social policies between competing fora
    and the efficiency of a resolution to the controversy.”           Majority Op. at 22 (quoting
    Synthes, 
    563 F.3d at 1300
    ). In the majority’s view, these factors did not favor either
    party.
    With respect to the fourth factor, the majority concludes that the United States
    and Canada would be equally efficient fora because the suit would likely implicate at
    least some of the laws of each nation. I generally agree, subject to the observation that
    leaving the adjudication of malpractice claims between foreign parties to the fora in
    which they both reside would spread the demand on judicial resources more evenly
    across the globe rather than centralizing it in the United States.
    Finally, I believe that the interest of the fora in furthering fundamental substantive
    social policies counsels against our exercise of jurisdiction. It is true that the United
    States has a policy interest in regulating foreign patent agents who appear before the
    USPTO. However, as discussed above, the exercise of jurisdiction in this case would
    only marginally further that interest.         The United States’ interest must be balanced
    against Canada’s interest in this dispute, which I submit is more significant. First, as the
    majority recognizes, Canada has an interest in regulating contracts entered into
    between Canadian citizens. Second, the magnitude and availability of damages for
    professional     malpractice   will   affect    the   quality   and   price—and,   accordingly,
    accessibility—of professional services. Balancing the competing policy considerations
    2008-1229                                         6
    can be controversial and is best left to the forum in which the services are sought and
    provided.
    In sum, it is my view that a weighing of the factors identified by the Supreme
    Court demonstrates that exercising jurisdiction over the Appellees in this case is
    unreasonable. Accordingly, I respectfully dissent.
    2008-1229                                  7
    

Document Info

Docket Number: 2008-1229

Filed Date: 8/4/2009

Precedential Status: Precedential

Modified Date: 12/21/2014

Authorities (35)

United States v. Swiss American Bank, Ltd. , 191 F.3d 30 ( 1999 )

Benton v. Cameco Corporation , 375 F.3d 1070 ( 2004 )

Oldfield v. Pueblo De Bahia Lora, S.A. , 558 F.3d 1210 ( 2009 )

CFA Institute v. Institute of Chartered Financial Analysts , 551 F.3d 285 ( 2009 )

base-metal-trading-limited-v-ojsc-novokuznetsky-aluminum-factory-mg , 283 F.3d 208 ( 2002 )

Stephen M. Stewart v. B. Vandenburg Hall , 770 F.2d 1267 ( 1985 )

Mwani, Odilla Mutaka v. Bin Ladin, Usama , 417 F.3d 1 ( 2005 )

Adams v. Unione Mediterranea Di Sicurta , 364 F.3d 646 ( 2004 )

Isi International, Inc. v. Borden Ladner Gervais Llp, ... , 256 F.3d 548 ( 2001 )

Fortis Corporate Insurance v. Viken Ship Management , 450 F.3d 214 ( 2006 )

diamond-healthcare-of-ohio-incorporated-a-virginia-corporation-v , 229 F.3d 448 ( 2000 )

Johnston v. Multidata Systems International Corp. , 523 F.3d 602 ( 2008 )

In Re Volkswagen Ag Volkswagen of America, Inc. , 371 F.3d 201 ( 2004 )

holland-america-line-inc-and-windstar-sail-cruises-ltd-on-behalf-of , 485 F.3d 450 ( 2007 )

IMMUNOCEPT, LLC v. Fulbright & Jaworski, LLP , 504 F.3d 1281 ( 2007 )

Genetic Implant Systems, Inc. v. Core-Vent Corporation and ... , 123 F.3d 1455 ( 1997 )

Silent Drive, Inc. v. Strong Industries, Inc. And Brooks ... , 326 F.3d 1194 ( 2003 )

3D Systems, Inc. v. Aarotech Laboratories, Inc., Aaroflex, ... , 160 F.3d 1373 ( 1998 )

Deprenyl Animal Health, Inc. v. The University of Toronto ... , 297 F.3d 1343 ( 2002 )

Electronics for Imaging, Inc. v. Jan R. Coyle and Kolbet ... , 340 F.3d 1344 ( 2003 )

View All Authorities »