[3510-16]
DEPARTMENT OF COMMERCE
Patent and Trademark Office
37 CFR Parts 1, 3, 5, 7, and 10
[Docket #: 960606163-7130-02]
RIN 0651-AA80
AGENCY: Patent and Trademark Office, Commerce.
ACTION: Final Rule.
SUMMARY: The Patent and Trademark Office (Office) is
amending the rules of practice to simplify the requirements
of the rules, rearrange portions of the rules for better
context, and eliminate unnecessary rules or portions thereof
as part of a government-wide effort to reduce the regulatory
burden on the American public. Exemplary changes include:
(1) simplification of the procedure for filing continuation
and divisional applications; (2) amendment of a number of
rules to permit the filing of a statement that errors were
made without deceptive intent, without a requirement for a
further showing of facts and circumstances; and
(3) elimination of the requirement that the inventorship be
named in an application on the day of its filing, which
eliminates the need for certain petitions to correct
inventorship.
EFFECTIVE DATE: December 1, 1997.
FOR FURTHER INFORMATION CONTACT: Hiram H. Bernstein or
Robert W. Bahr, Senior Legal Advisors, by telephone at
(703) 305-9285, or by mail addressed to: Box Comments--Patents, Assistant Commissioner for Patents, Washington, DC
20231 marked to the attention of Mr. Bernstein or by
facsimile to (703) 308-6916.
SUPPLEMENTARY INFORMATION: This rule change implements the
Administration's program of reducing the regulatory burden
on the American public in accordance with the changes
proposed in the Notice of Proposed Rulemaking entitled "1996
Changes to Patent Practice and Procedure" (Notice of
Proposed Rulemaking), published in the Federal Register at
61 FR 49819 (September 23, 1996), and in the Official
Gazette at 1191 Off. Gaz. Pat. Office 105 (October 22,
1996). The changes involve: (1) simplification of
procedures for filing continuation and divisional
applications, establishing lack of deceptive intent in
reissues, petition practice, and in the filing of papers
correcting improperly requested small entity status;
(2) elimination of unnecessary requirements, such as certain
types of petitions to correct inventorship under § 1.48;
(3) removal of rules and portions thereof that merely
represent instructions as to the internal management of the
Office more appropriate for inclusion in the Manual of
Patent Examining Procedure (MPEP); (4) rearrangement of
portions of rules to improve their context; and
(5) clarification of rules to aid in understanding of the
requirements that they set forth.
Changes to proposed rules: This Final Rule contains a
number of changes to the text of the rules as proposed for
comment. The significant changes (as opposed to additional
grammatical corrections) are discussed below. Familiarity
with the Notice of Proposed Rulemaking is assumed.
Discussion of Specific Rules and Response to Comments:
Forty-three written comments were received in response to
the Notice of Proposed Rulemaking. The written comments
have been analyzed. For contextual purposes, the comment on
a specific rule and response to the comment are provided
with the discussion of the specific rule. Comments in
support of proposed rule changes generally have not been
reported in the responses to comments sections.
Title 37 of the Code of Federal Regulations, Parts 1, 3, 5,
7, and 10 are amended as follows:
Part 1:
Section 1.4: Section 1.4, paragraphs (d)(1) and (2), are
amended to be combined into § 1.4 paragraphs (d)(1)(i) and
(d)(1)(ii). Section 1.4(d)(1)(ii) is also amended to
include the phrase "direct or indirect copy" to clarify that
the copy of the document(s) constituting the correspondence
submitted to the Office may be a copy of a copy (of any
generation) of the original document(s), or a direct copy of
the original document(s).
Section 1.4(d)(2) is amended to provide that the
presentation to the Office (whether by signing, filing,
submitting, or later advocating) of any paper by a party,
whether a practitioner or non-practitioner, constitutes a
certification under § 10.18(b), and that violations of
§ 10.18(b)(2) may subject the party to sanctions under
§ 10.18(c). That is, by presenting a paper to the Office,
the party is making the certifications set forth in
§ 10.18(b), and is subject to sanctions under § 10.18(c) for
violations of § 10.18(b)(2), regardless of whether the party
is a practitioner or non-practitioner. The sentence "[a]ny
practitioner violating § 10.18(b) may also be subject to
disciplinary action" clarifies that a practitioner may be
subject to disciplinary action in lieu of or in addition to
sanctions under § 10.18(c) for violations of § 10.18(b).
Section 1.4(d)(2) is amended so that the certifications set
forth in § 10.18(b) are automatically made upon presenting
any paper to the Office by the party presenting the paper.
The amendments to §§ 1.4(d) and 10.18 support the amendments
to §§ 1.6, 1.8, 1.10, 1.27, 1.28, 1.48, 1.52, 1.55, 1.69,
1.102, 1.125, 1.137, 1.377, 1.378, 1.804, 1.805, (§§ 1.821
and 1.825 will be reviewed at a later date in connection
with other matters), 3.26, and 5.4 that delete the
requirement for verification (MPEP 602) of statements of
facts by applicants and other parties who are not registered
to practice before the Office. The absence of a required
verification has been a source of delay in the prosecution
of applications, particularly where such absence is the only
defect noted. The change to §§ 1.4(d) and 10.18
automatically incorporates required averments thereby
eliminating the necessity for a separate verification for
each statement of facts that is to be presented, except for
those instances where the verification requirement is
retained. Similarly, the amendments to §§ 1.4(d) and 10.18
support an amendment to § 1.97 (§§ 1.637 and 1.673 will be
reviewed at a later date in connection with other matters)
that changes the requirements for certifications to
requirements for statements. This change in practice does
not affect the separate verification requirement for an oath
or declaration under § 1.63, affidavits or declarations
under §§ 1.130, 1.131, and 1.132, or statements submitted in
support of a petition under § 5.25 for a retroactive
license. The statements in §§ 1.494(e) and 1.495(f) that
verification of translations of documents filed in a
language other than English may be required is also
maintained, as such requirements are made rarely and only
when deemed necessary (e.g., when persons persist in
translations which appear on their face to be inaccurate).
The requirements for certification of service on parties in
§§ 1.248, 1.510, 1.637 and 10.142 are also maintained.
Section 1.4 is also amended to add a new paragraph (g)
related to an applicant who has not made of record a
registered attorney or agent being required to state whether
assistance was received in the preparation or prosecution of
a patent application. This is transferred from § 1.33(b)
for consistent contextual purposes.
Section 1.6: Section 1.6(d)(3) is amended to provide that continued prosecution applications under § 1.53(d) may be transmitted to the Office by facsimile. However, the procedures described in § 1.8 do not apply to, and no benefit under § 1.8 will be given to, a continued prosecution application under § 1.53(d). That is, an applicant may file a continued prosecution application by facsimile transmission, but the filing date accorded such continued prosecution application will be the date the complete transmission of the continued prosecution application is received in the Office. For example, a continued prosecution application transmitted by facsimile from California at 10:30 pm (Pacific time) on November 18, 1997, and received in the Office at 1:30 am (Eastern time) on November 19, 1997, will be accorded a filing date of
November 19, 1997. An applicant filing a continued
prosecution application by facsimile transmission bears the
responsibility of transmitting such application in a manner
and at a time that will ensure its complete and timely
(§ 1.53(d)(1)(ii)) receipt in the Office.
An applicant filing an application under § 1.53(d) (a
continued prosecution application) by facsimile must include
an authorization to charge (at least) the basic filing fee
to a deposit account, or the application must be treated
under § 1.53(f) as having been filed without the basic
filing fee (as fees cannot otherwise be transmitted by
facsimile). To avoid paying the late filing surcharge under
§ 1.16(e), an application (including an application under
§ 1.53(d)) must include the basic filing fee (§ 1.16(e)).
As such, payment of the basic filing fee for an application
under § 1.53(d) on any date later than the filing date of
the application under § 1.53(d) (even if paid within the
period for reply to the last action in the prior
application) is ineffective to avoid the late filing
surcharge under § 1.16(e). Therefore, unless an application
under § 1.53(d) filed by facsimile includes an authorization
to charge the basic filing fee to a deposit account, the
applicant will be given a notification requiring payment of
the appropriate filing fee (§ 1.53(d)(3)) and the late
filing surcharge under § 1.16(e) to avoid abandonment of the
§ 1.53(d) application.
Section 1.6(d)(3) is also amended to delete the reference to
§ 1.8(a)(2)(ii)(D) as this paragraph was deleted in the
Final Rule entitled "Communications with the Patent and
Trademark Office" ("Communications with the Office"),
published in the Federal Register at 61 FR 56439, 56443
(November 1, 1996), and in the Official Gazette at 1192 Off.
Gaz. Pat. Office 95 (November 26, 1996).
Section 1.6(d)(6) is amended to reflect the transfer of
material from §§ 5.6, 5.7, and 5.8 to §§ 5.1 through 5.5.
Section 1.6(e)(2) is amended to remove the requirement that
the statement be verified in accordance with the change to
§§ 1.4(d)(2) and 10.18.
Section 1.6(f) is added to provide for the situation in
which the Office has no evidence of receipt of an
application under § 1.53(d) (a continued prosecution
application) transmitted to the Office by facsimile
transmission. Section 1.6(f) requires that a showing
thereunder include, inter alia, a copy of the sending unit's
report confirming transmission of the application under
§ 1.53(d) or evidence that came into being after the
complete transmission of the application under § 1.53(d) and
within one business day of the complete transmission of the
application under § 1.53(d). Therefore, applicants are
advised to retain copies of the sending unit's reports in
situations in which such unit is used to transmit
applications under § 1.53(d) to the Office or otherwise
maintain a log book of the transmission of any application
under § 1.53(d) to the Office. See also "Communications
with the Patent and Trademark Office" Final Rule.
No comments were received regarding the proposed change to
§ 1.6.
Section 1.8: Section 1.8(a)(2)(i)(A) is amended to
specifically refer to a request for a continued prosecution
application under § 1.53(d) as a correspondence filed for
the purposes of obtaining an application filing date, which
is excluded by § 1.8(a)(2)(i)(A) from the procedure set
forth in § 1.8. The purpose of this amendment is to render
it clear that, notwithstanding that a continued prosecution
application under § 1.53(d) may be filed by facsimile
transmission, the procedure set forth in § 1.8 does not
apply to a request for a continued prosecution application
under § 1.53(d) (or any correspondence filed for the purpose
of obtaining an application filing date). That is, the date
on the certificate of transmission (§ 1.8(a)) of an
application under § 1.53(d) is not controlling (or even
relevant), in that an application under § 1.53(d) (a
continued prosecution application) filed by facsimile
transmission will not be accorded a filing date as of the
date on the certificate of transmission (§ 1.8(a)), unless
Office records indicate, or applicant otherwise establishes
pursuant to § 1.6(f), receipt in the Office of the complete
application under § 1.53(d) on the date on the certificate
of transmission, and that date is not a Saturday, Sunday, or
Federal holiday.
Section 1.8(b)(3) is amended to remove the requirement that
the statement be verified in accordance with the change to
§§ 1.4(d)(2) and 10.18.
Section 1.9: Section 1.9(d) is amended to define a small
business concern as used in 37 CFR Chapter I as any business
concern meeting the size standards set forth in 13 CFR Part
121 to be eligible for reduced patent fees. The regulations
of the Small Business Administration (SBA) set forth the
size standards of a business concern to be eligible for
reduced patent fees. See 13 CFR 121.802. Thus, the
language in § 1.9(d) duplicating such size standards is
deleted as redundant, and to avoid confusion in the event
that such size standards are subsequently changed by the
SBA. The MPEP will include SBA's regulations concerning
size standards for a business concern to be eligible for
reduced patent fees.
Section 1.9(f) is amended to add the phrase "eligible for
reduced patent fees" to clarify that a small entity as used
in 37 CFR Chapter I is limited to an independent inventor, a
small business concern or a non-profit organization that is
eligible for reduced patent fees under 35 U.S.C. 41(h)(1).
Section 1.10: Sections 1.10(d) and (e) are amended to
remove the requirement for a statement that is verified.
Comment 1: One comment suggested that § 1.10 be amended to
clearly set forth the controlling date for correspondence
filed by "Express Mail" under § 1.10.
Response: Section 1.10 was substantially amended in the
"Communications with the Office" Rule Final (discussed
supra). Section 1.10(a) as amended in the aforementioned
Final Rule provides that: (1) correspondence received by
the Office that was delivered by the "Express Mail Post
Office to Addressee" service of the United States Postal
Service (USPS) under § 1.10 will be considered filed in the
Office on the date of deposit with the USPS; (2) the date of
deposit with the USPS is shown by the "date-in" on the
"Express Mail" mailing label or other official USPS
notation; and (3) if the USPS deposit date cannot be
determined, the correspondence will be accorded the Office
receipt date as the filing date.
Section 1.11: Section 1.11(b) is amended to provide that
the filing of a continued prosecution application under
§ 1.53(d) of a reissue application will not be announced in
the Official Gazette. Although the filing of a continued
prosecution application of a reissue application constitutes
the filing of a reissue application, the announcement of the
filing of such continued prosecution application would be
redundant in view of the announcement of the filing of the
prior reissue application in the Official Gazette.
Section 1.14: Section 1.14(a) is amended to: (1) clarify
the provisions of § 1.14(a); (2) provide that copies of an
application-as-filed may be provided to any person on
written request accompanied by the fee set forth in
§ 1.19(b), without notice to the applicant, if the
application is incorporated by reference in a U.S. patent;
and (3) treat applications in the file jacket of a pending
application under § 1.53(d) as pending rather than abandoned
in determining whether copies of, and access to, such
applications will be granted.
Under current practice, the public is entitled to access to
the original disclosure (or application-as-filed) of an
application, when the application is incorporated by
reference into a U.S. patent. See In re Gallo, 231 USPQ 496
(Comm'r Pat. 1986). Section 1.14(a)(2) is added to avoid
the need for a petition under § 1.14(e) to obtain a copy of
the original disclosure (or application-as-filed) of an
application that is incorporated by reference into a U.S.
patent.
Section 1.14 is also amended to add a paragraph (f) to
recognize the change to § 1.47(a) and (b) which add
exceptions to maintaining pending applications in confidence
by providing public notice to nonsigning inventors of the
filing of a patent application.
Comment 2: One comment stated that the change from
"applications preserved in secrecy" to "applications
preserved in confidence" suggests a lower level of security
for the applications permitting greater discovery by third
parties.
Response: The term "secrecy" in § 1.14 was changed to
"confidence" in the Final Rule entitled "Miscellaneous
Changes in Patent Practice" ("Miscellaneous Changes in
Patent Practice"), published in the Federal Register at 61
FR 42790 (August 19, 1996), and in the Official Gazette at
1190 Off. Gaz. Pat. Office 67 (September 17, 1996). This
change did not represent a change in practice, but merely
conformed the language of § 1.14 to that of 35 U.S.C. 122
(the term "secrecy" is a term of art in regard to matters of
national security, and its former use in § 1.14 was
inappropriate).
Section 1.16: Section 1.16 is amended to add new paragraphs
(m) and (n) including the unassociated text following
paragraphs (d) and (l).
No comments were received concerning § 1.16.
Section 1.17: Section 1.17 (and § 1.136(a)) adds a
recitation to an extension of time fee payment for a reply
filed within a fifth month after a nonstatutory or shortened
statutory period for reply was set.
Section 1.17(a) is subdivided into paragraphs (a)(1) through
(a)(5), with paragraphs (a)(1) through (a)(4) setting forth
the amounts for one-month through four-month extension fees.
Section 1.17(a)(5) provides the small entity and other than
small entity amounts for the new fifth-month extension fee.
Section 1.17(a) is being amended to permit a petition for a
fifth-month extension of time. As the Office may set a
shortened statutory period for reply of one-month or thirty
days, whichever is longer, this authority for a petition
under § 1.136(a) will permit an applicant to extend the
period for reply until the six-month statutory maximum
(35 U.S.C. 133) without resorting to a petition under
§ 1.136(b), or to extend by five months, pursuant to
§ 1.136(a), a non-statutory period for taking action (e.g.,
the time period in § 1.192(a) for filing an appeal brief).
Section 1.17 paragraphs (e), (f), and (g) are rewritten as
§ 1.17 paragraphs (b), (c), and (d).
Section 1.17(h) is amended to delete references to petitions
under §§ 1.47, 1.48, and 1.84. Sections 1.47, 1.48, and
1.84(a) and (b) are amended to contain a reference to the
petition fee set forth in § 1.17(i), rather than the
petition fee set forth in § 1.17(h).
Section 1.17(i) is amended to: (1) add a petition under
§ 1.41 to supply the name(s) of the inventor(s) after the
filing date without an oath or declaration as prescribed by
§ 1.63, except in provisional applications; (2) add a
petition under § 1.47 for filing by other than all the
inventors or a person not the inventor; (3) add a petition
under § 1.48 for correction of inventorship, except in
provisional applications; (4) add a petition under § 1.59
for expungement and return of information; (5) delete the
references to petitions under §§ 1.60 and 1.62 in view of
the deletion of §§ 1.60 and 1.62; (6) add a petition under
§ 1.84 for accepting color drawings or photographs; and
(7) add a petition under § 1.91 for entry of a model or
exhibit.
Section 1.17(q) is amended to add a petition under § 1.41 to
supply the name(s) of the inventor(s) after the filing date
without a cover sheet as prescribed by § 1.51(c)(1) in a
provisional application.
Section 1.17, as well as §§ 1.103, 1.112, 1.113, 1.133,
1.134, 1.135, 1.136, 1.142, 1.144, 1.146, 1.191, 1.192,
1.291, 1.294, 1.484, 1.485, 1.488, 1.494, 1.495, (§§ 1.530,
1.550, 1.560, 1.605, 1.617, 1.640, and 1.652 will be
reviewed at a later date in connection with other matters),
1.770, 1.785, (§ 1.821 will be reviewed at a later date in
connection with other matters), and 5.3 are also amended to
replace the phrases "response" and "respond" with the phrase
"reply" for consistency with § 1.111.
Comment 3: One comment questioned why the terms "respond"
and "response" in the rules of practice were being replaced
with the term "reply."
Response: It is appropriate to use a single term ("reply")
throughout the rules of practice, to the extent possible, to
refer to that "reply" by an applicant to an Office action
required to avoid abandonment and continue prosecution.
Comment 4: At least one comment noted that there is no
statutory authority under 35 U.S.C. 41(a)(8)(C) for the
$2,010 amount set for the fifth month extension of time.
Response: While the Notice of Proposed Rulemaking proposed
a fifth month extension fee of $2010, a Notice of Proposed
Rulemaking entitled "Revision of Patent and Trademark Fees
for Fiscal Year 1998" ("1998 Fee Revision"), published in
the Federal Register at 62 FR 24865 (May 7, 1997), and in
the Official Gazette at 1198 Off. Gaz. Pat. Office 97 (May
27, 1997), proposed that this fee be set at $2060. The
Office is now adopting the $2060 fifth month extension fee
as proposed in the "1998 Fee Revision" Notice of Proposed
Rulemaking.
Under 35 U.S.C. 41(a)(8)(C) (1991), the Commissioner is
authorized to charge $340 for any third or subsequent
petition for a one-month extension of time. However, under
35 U.S.C. 41(f), the additional fee established pursuant to
35 U.S.C. 41(a)(8)(C) for a subsequent petition for a one-month extension of time has been increased to $560 (i.e.,
$560 is the current difference (established under 35 U.S.C.
41(a)(8)(C)) between the $1510 fee for a four-month
extension of time and the $950 three-month extension of
time). The $1510 fee for a four-month extension of time
plus the $560 fee for an additional month is $2070 (this
differs from the $2060 fee proposed in the "1998 Fee
Revision" Notice of Proposed Rulemaking due to rounding).
Therefore, the Office is authorized under 35 U.S.C. 41(a)(8)
to establish a fee of $2060 for a five-month extension of
time.
Section 1.21: Section 1.21(l) is amended for consistency
with § 1.53, and § 1.21(n) is amended to change the
reference to an improper application under §§ 1.60 or 1.62
to a reference to an application in which proceedings are
terminated pursuant to § 1.53(e).
No comments were received regarding the proposed change to
§ 1.21.
Section 1.26: Section 1.26(a) is amended to better track
the statutory language of 35 U.S.C. 42(d) and to add back
language relating to refunds of fees paid that were not
"required" that was inadvertently dropped in the July 1,
1993, publication of title 37 CFR, and from subsequent
publications.
No comments were received regarding the proposed change to
§ 1.26.
Section 1.27: Section 1.27 paragraphs (a) through (d) are
amended to remove the requirement that a statement filed
thereunder be "verified," and to replace "aver" and
"averring" with "state" and "stating." See comments
relating to § 1.4(d). Section 1.27(b) is also amended for
clarification with the movement of a clause relating to "any
verified statement" within a sentence.
No comments were received regarding the proposed change to
§ 1.27.
Section 1.28: Section 1.28(a) is amended to remove the
requirement for a statement that is "verified." See
comments relating to § 1.4(d).
Section 1.28(a) is also amended to provide that a new small
entity statement is not required for a continuing or reissue
application where small entity status is still proper and
reliance is placed on a reference to a small entity
statement filed in a prior application or patent or a copy
thereof is supplied. Section 1.28(a) is further amended to
state that the payment of a small entity basic statutory
filing fee in a nonprovisional application, which claims
benefit under 35 U.S.C. 119(e), 120, 121, or 365(c) of a
prior application (including a continued prosecution
application) or in a reissue application, where the prior
application or the patent has small entity status, will
constitute a reference in the continuing or reissue
application to the small entity statement in the prior
application or in the patent, thereby establishing small
entity status in such a nonprovisional application.
Section 1.28(a) is also amended to require a new
determination of continued entitlement to small entity
status for continued prosecution applications filed under
§ 1.53(d) and to clarify that the refiling of applications
as continuations, divisions and continuation-in-part
applications and the filing of reissue applications also
require a new determination of continued entitlement to
small entity status prior to reliance on small entity status
in a prior application or patent.
Comment 5: One comment asked whether the change to § 1.28
regarding small entity requires that a small entity
statement be filed with each continuing application.
Response: While the filing of a continuing application
requires a new determination of entitlement to small entity
status, § 1.28(a) continues to permit reliance on a small
entity statement filed in a prior application for
nonprovisional continuing applications.
Section 1.28(c) is amended to remove the requirement for a
statement of facts explaining how an error in payment of a
small entity fee(s) occurred in good faith and how and when
the error was discovered. A fee deficiency payment under
§ 1.28(c) must include the difference between fee(s)
originally paid as a small entity and the other than small
entity fee(s) in effect at the time of payment of the
complete fee deficiency. A fee deficiency payment under
§ 1.28(c) will be treated as a representation by the party
submitting the payment that small entity status was
established in good faith and that the original payment of
small entity fees was made in good faith. Any paper
submitted under § 1.28(c) will be placed in the appropriate
file without review after the processing of any check or the
charging of any fee deficiency payment specifically
authorized.
Comment 6: One comment suggested that § 1.28(c) be amended
to clarify current Office practice regarding the acceptance
of papers under § 1.28(c)(2) in light of two recent District
Court decisions: (1) Haden Schweitzer Corp. v. Arthur B.
Myr Industries, Inc., 901 F. Supp. 1235, 36 USPQ2d 1020
(E.D. Mich. 1995); and (2) DH Technology, Inc. v. Synergstex
International, Inc., 937 F. Supp. 902, 40 USPQ2d 1754 (N.D.
Cal. 1996).
Response: The Office is also aware of a recent District
Court decision in Jewish Hospital of St. Louis v. Idexx
Laboratories, 951 F. Supp 1, 42 USPQ2d 1720 (D. Me. 1996),
that relies on § 1.28(c)(2) exclusively. The changes to
§ 1.28(c) are not directed to the issue of whether
§ 1.28(c)(2) must be viewed as the exclusive remedy.
Nevertheless, an applicant or patentee can avoid undesirable
results by not claiming small entity status unless it is
absolutely certain that the applicant or patentee is
entitled to small entity status (i.e., resolving any doubt,
uncertainty, or lack of information in favor of payment of
the full fee). See MPEP 509.03 ("Small entity status must
not be established unless the person or persons signing
the . . . statement can unequivocally make the required
self-certification" (emphasis added)).
Section 1.33: Section 1.33 is amended to no longer provide
that the required residence and post office address of the
applicant can appear elsewhere than in the oath or
declaration under § 1.63. Section 1.63(a)(3) is amended to
require that the post office address as well as the
residence be identified therein and not elsewhere.
Permitting the residence to be elsewhere in the application
other than the oath or declaration, as was in § 1.33(a),
would be inconsistent with unamended § 1.63(c) that states
that the residence must appear in the oath or declaration.
The requirement for placement of the post office address is
equivalent to the requirement for the residence to eliminate
confusion between the two, which often are the same
destination and are usually provided in the oath or
declaration. The reference in § 1.33(a) to the assignee
providing a correspondence address has been moved within
§ 1.33(a) for clarification. Other clarifying language
includes a reference to § 1.34(b), use of the terms
"provided," "furnished" rather than "notified," and
"application" rather than "case," and deletion of the
expression "of which the Office."
The former language of § 1.33(b) is transferred to new
§ 1.4(g). Section 1.33(b) is amended to set forth the
signature requirement for papers filed in an application
(formerly in § 1.33(a)). Section 1.33(b) is specifically
amended to provide that amendments and other papers filed in
an application must be signed by: (1) an attorney or agent
of record appointed in compliance with § 1.34(b); (2) a
registered attorney or agent not of record who acts in a
representative capacity under the provisions of § 1.34(a);
(3) the assignee of record of the entire interest (if there
is such); (4) an assignee of record of an undivided part
interest (if there is such), so long as the amendment or
other paper is also signed by any assignee(s) of the
remaining interest and any applicant retaining an interest;
or (5) all of the applicants, including applicants under
§§ 1.42, 1.43 and 1.47, unless there is an assignee of
record of the entire interest and such assignee has chosen
to prosecute the application to the exclusion of the
applicant(s), and, as such, has taken action in the
application in accordance with §§ 3.71 and 3.73. This is
not a change in practice, but simply a clarification of
current signature requirements.
No comments were received regarding the proposed change to
§ 1.33.
Section 1.41: Section 1.41(a) (and § 1.53) is amended to no
longer require that a patent be applied for in the name of
the actual inventors for an application for patent to be
accorded a filing date. The requirement for use of full
names is moved to § 1.63(a) for better context. Section
1.41(a) is specifically amended: (1) to provide that a
patent is applied for in the name(s) of the actual
inventor(s); (2) to add paragraphs (a)(1) and (a)(2)
indicating how the inventorship is set forth in a
nonprovisional and provisional application; and (3) to add
paragraph (a)(3) indicating the need for an identifier
consisting of alphanumeric characters if no name of an
actual inventor is provided.
Section 1.41(a)(1) provides that the inventorship of a
nonprovisional application is that inventorship set forth in
the oath or declaration as prescribed by § 1.63, except as
provided for in §§ 1.53(d)(4) and 1.63(d). Section
1.41(a)(1) also provides that if an oath or declaration as
prescribed by § 1.63 is not filed during the pendency of a
nonprovisional application, the inventorship is that
inventorship set forth in the application papers filed
pursuant to § 1.53(b), unless a petition under this
paragraph accompanied by the fee set forth in § 1.17(i) is
filed supplying the name(s) of the inventor(s).
Section 1.41(a)(2) provides that the inventorship of a
provisional application is that inventorship set forth in
the cover sheet as prescribed by § 1.51(c)(1). Section
1.41(a)(2) also provides that if a cover sheet as prescribed
by § 1.51(c)(1) is not filed during the pendency of a
provisional application, the inventorship is that
inventorship set forth in the application papers filed
pursuant to § 1.53(c), unless a petition under this
paragraph accompanied by the fee set forth in § 1.17(q) is
filed supplying the name(s) of the inventor(s).
35 U.S.C. 120 and § 1.78(a) require, inter alia, that an
application have at least one inventor in common with a
prior application to obtain the benefit of the filing date
of such application. Considering the executed oath or
declaration (or cover sheet in a provisional application)
the sole mechanism for naming the inventor(s) would operate
as a trap in the event that an application were abandoned
prior to the filing of an oath or declaration in favor of a
continuing application (or in the event that a cover sheet
was not filed in a provisional application). To avoid this
result, § 1.41 as adopted provides that the inventorship is
that inventorship named in an executed oath or declaration
under § 1.63 (or in the cover sheet under § 1.51(c)(1) in a
provisional application), but that if no executed oath or
declaration under § 1.63 (or cover sheet under § 1.51(c)(1)
in a provisional application) is filed during the pendency
of the application, the inventorship will be considered to
be the inventor(s) named in the original application papers.
In the peculiar situation in which no inventor is named in
the original application papers (or the correct inventor(s)
are not named in the original application papers), and no
executed oath or declaration under § 1.63 (or cover sheet
under § 1.51(c)(1) in a provisional application) is filed
during the pendency of the application, it will be necessary
for the applicant to file a petition under § 1.41(a) (and
appropriate fee) to name the inventor(s). No explanation
(other than that the paper is supplying or changing the
name(s) of the inventor(s)) or showing of facts concerning
the inventorship or any delay in naming the inventorship is
required or desired in a petition under § 1.41(a). The
petition fee is required to cover (or defray in a
provisional application) the costs of updating the Office's
records for the application.
Where no inventor(s) is named on filing, the Office requests
that an identifying name be submitted for the application.
The use of very short identifiers should be avoided to
prevent confusion. Without supplying at least a unique
identifying name the Office may have no ability or only a
delayed ability to match any papers submitted after filing
of the application and before issuance of an identifying
application number with the application file. Any
identifier used that is not an inventor's name should be
specific, alphanumeric characters of reasonable length, and
should be presented in such a manner that it is clear to
application processing personnel what the identifier is and
where it is to be found. It is strongly suggested that
applications filed without an executed oath or declaration
under §§ 1.63 or 1.175 include the name of the person(s)
believed to be the inventor for identification purposes.
Failure to apprise the Office of the application identifier
being used may result in applicants having to resubmit
papers that could not be matched with the application and
proof of the earlier receipt of such papers where submission
was time dependent.
As any inventor(s) named in the original application papers
is considered to be the inventor(s) only when no oath or
declaration under § 1.63 is filed in a nonprovisional
application or cover sheet under § 1.51(c)(1) filed in a
provisional application, the recitation of the inventorship
in an application submitted under § 1.53(b) or (d) without
an executed oath or declaration or cover sheet,
respectively, for purposes of identification may be changed
merely by the later submission of an oath or declaration
executed by a different inventive entity without recourse to
a petition under §§ 1.41 or 1.48.
Comment 7: One comment noted that when an application is
filed only an alphanumeric identifier may be used, which
would of necessity require a correction of inventorship, and
questioned how a verified statement under § 1.48(a) could be
filed as there would be no person to sign such statement,
whether the Office will require that the name(s) of the
inventor(s) be submitted within a specified period, and
whether the filing date will be lost if the name(s) of the
inventor(s) is not submitted within such period.
Response: The name(s) of the inventor(s) in a
nonprovisional application are provided in the oath or
declaration under § 1.63 (§ 1.41(a)(2)) and the name(s) of
the inventor(s) in a provisional application are provided in
the cover sheet (§ 1.41(a)(3)). Thus, an application filed
without the name(s) of the inventor(s) must also have been
filed without an oath or declaration under § 1.63
(nonprovisional) or cover sheet (provisional).
The Office will set a time period in a nonprovisional
application filed without an oath or declaration under
§ 1.63 for the filing of such an oath or declaration
(§ 1.53(f)). The Office will set a time period in a
provisional application filed without a cover sheet for the
filing of such cover sheet (§ 1.53(g)). The subsequently
filed oath or declaration or cover sheet will provide the
name(s) of the inventor(s). No petition under § 1.48(a)
would be required where there was an alphanumeric identifier
(and not a name of a person) or where the person(s) set
forth as the inventor(s) was incorrect.
In the event that an oath or declaration or cover sheet is
not timely filed, the application will become abandoned and
the inventorship will be considered to be the inventor(s)
named in the original application papers. The failure to
timely file an oath or declaration, cover sheet, or the
name(s) of the inventor(s) is not a filing date issue.
Comment 8: One comment thought that the proposed change
eliminating the need to identify any inventor would lead to
sloppy filing procedures and that it should in almost all
cases be possible for practitioners to correctly identify
the inventors at the time of filing.
Response: Experience has demonstrated that a significant
number of applications filed under § 1.53(b) without an
executed oath or declaration have been filed with incorrect
inventorships with explanations running from "there was no
time to investigate the inventorship" to "the inventors
contacted either did not understand the inventorship
requirements under U.S. patent law or did not appreciate
that the claims as filed included or did not include the
contribution of the omitted or erroneously added inventor."
Additionally, Office experience is that while almost all
§ 1.48(a) petitions concerning such matters are eventually
granted, only a small percentage are granted on the initial
petition thereby causing a prolonged prosecution period,
which is undesirable in view of the amendment to 35 U.S.C.
154 contained in the Uruguay Round Agreements Act (URAA),
Pub. L. 103-465, 108 Stat. 4809 (1994).
Section 1.47: Section 1.47 paragraphs (a) and (b) are
amended, pursuant to 35 U.S.C. 116 and 35 U.S.C 118, to
provide for publication in the Official Gazette of a notice
of filing for all applications, except for continued
prosecution applications under § 1.53(d), submitted under
this section rather than only when notice to the nonsigning
inventor(s) is returned to the Office undelivered or when
the address of the nonsigning inventor(s) is unknown. The
information to be published, after grant of the § 1.47
petition, will include: The application number, filing
date, invention title and name(s) of the nonsigning
inventor(s). Letters returned as undeliverable are
difficult to match with the related application file, and
when matched with the file, the applications are burdensome
to flag as requiring further action by the Office.
Accordingly, the return of letters is not a desirable means
of triggering publication of a notice to a nonsigning
inventor as to the filing of the application. Furthermore,
when a returned letter is used as such a trigger, another
review of the application must be made for returned
correspondence. As the best time for review of returned
letters is after allowance, but before issuance, of an
application, processing of the application would be delayed
and done at a time that could be best used for printing
related processing requirements. Printing of notice of the
filing of all applications wherein § 1.47 status is granted
does not require any such review to be made. In order to
best balance the obligation of providing notice to inventors
and efficient processing of applications, notice in the
Official Gazette of the filing of § 1.47 applications will
be prepared essentially at the same time that the letter
notice is directly sent to the nonsigning inventor.
Paragraphs (a) and (b) of this section are also amended to
exclude the filing of continued prosecution applications
under § 1.53(d) from the notice requirement.
Section 1.47 is also amended for clarification purposes. A
reference to an "omitted inventor" in § 1.47(a) is replaced
with "nonsigning inventor." The statements in § 1.47
paragraphs (a) and (b) that a patent will be granted upon a
satisfactory showing to the Commissioner are deleted as
unnecessary. Section 1.47(b) is amended to clarify that it
applies only where none of the inventors are willing or can
be found to sign the oath or declaration by substitution of
"an inventor" by "all the inventors." The use of "must
state" in regard to the last known address is deleted as
redundant in view of the explicit requirement for such
address in the rule. The sentence in § 1.47(b) referring to
the filing of the assignment, written agreement to assign or
other evidence of proprietary interest is deleted as
redundant in view of the requirement appearing earlier in
§ 1.47(b) calling for "proof of pertinent facts."
Comment 9: One comment believed that the amendment to
§ 1.47(b) results in a change in practice permitting an
assignee to proceed thereunder only where all the inventors
refuse to sign, and that the assignee should not be
precluded from making the required declaration where only
one inventor refuses to cooperate as the other inventors may
not have personal knowledge of the facts.
Response: While the specific language of § 1.47(b) is
amended to recite the condition that "all the inventors
refuse to execute an application" the prior use of the term
"inventor" was intended to mean and was interpreted as
meaning all inventors. See MPEP 409.03(b). Accordingly,
the language clarification is not a change in practice.
Although it is unclear as to what particular "facts" the comment is addressed to that the other inventors would not have personal knowledge of, facts as to the inventorship of the noncooperating inventor would better lie with the other inventors who are after all required to be joint inventors, 35 U.S.C. 116, and therefore the other inventors should have the best knowledge of the facts required for a declaration under § 1.63. Any declaration of facts, in support of the petition, to show, e.g., that an inventor has refused to sign a declaration after having been given an opportunity to do so, should be made by someone with first-hand knowledge of the events, such as the attorney who presented the inventor with the application papers.
Section 1.48: Section 1.48 provides for correction of
inventorship in an application (other than a reissue
application). Section 1.324 provides for correction of
inventorship in a patent. Sections 1.171 and 1.175 provide
for correction of inventorship in a patent via a reissue
application.
Section 1.48 is amended in its title to clarify that the
section concerns patent applications, other than reissue
applications, and not patents. Where a patent names an
incorrect inventive entity, the inventorship error may be
corrected by reissue. See MPEP 1402. Where a reissue
application names an incorrect inventive entity in the
executed reissue oath or declaration (whether the reissue
application is filed for the sole purpose or in-part to
correct the inventorship, or is filed for purposes other
than correction of the inventorship), a new reissue oath or
declaration in compliance with § 1.175 may be submitted with
the correct inventorship without a petition under § 1.48.
This is because it is the inventorship of the patent being
reissued that is being corrected (via a reissue
application).
35 U.S.C. 251, ¶3, provides that the provisions of title 35,
U.S.C., relating to applications apply to reissue
applications. 35 U.S.C. 116, ¶3, authorizes the
Commissioner to permit correction of inventorship in an
application under such terms as the Commissioner prescribes.
The Commissioner has determined that correction of
inventorship in a reissue application may be accomplished
under 35 U.S.C. 251 via the reissue oath or declaration,
without resort to a petition under § 1.48. Therefore,
§ 1.48 has been amended to specifically exclude its
applicability to correction of inventorship in a reissue
application.
Section 1.48(a) will not require correction of the
inventorship if the inventorship or other identification
under § 1.41 was set forth in error on filing of the
application. Section 1.48(a) is amended to apply only to
correction of inventor or inventors, in applications, other
than reissue applications, from that named in an originally
filed executed oath or declaration and not to the naming of
inventors or others for identification purposes under
§ 1.41. The statement to be submitted will be required only
from the person named in error as an inventor or from the
person who through error was not named as an inventor rather
than from all the original named inventors so as to comply
with 35 U.S.C. 116. The requirement that any amendment of
the inventorship under § 1.48(a) be "diligently" made has
been removed. The applicability of a rejection under
35 U.S.C. 102(f) or (g) against an application with the
wrong inventorship set forth therein and any patent that
would issue thereon is a sufficient motivation for prompt
correction of the inventorship without the need for a
separate requirement for diligence.
Comment 10: Two comments expressed opposition to deletion
of the diligence requirement in § 1.48 paragraphs (a)
through (c) in that removal thereof would seem to promote
delay in correction of the inventorship and decrease the
importance of having the correct inventorship.
Response: In addition to the motivation noted in the
explanation of the rules for not allowing a patent to issue
with improper inventorship, the criteria for correction of
the inventorship becomes more restrictive subsequent to
issuance under § 1.324 (having a statutory basis under
35 U.S.C. 256) than under § 1.48(a) (having a statutory
basis under 35 U.S.C. 116). 35 U.S.C. 256 requires
participation by all the parties including each original
named inventor, which participation may be harder to obtain
after the patent has issued. Petitions under § 1.48(a)
filed earlier while the application is pending may seek
waiver under § 1.183 of participation of some of the parties
needed to participate. Additionally, petitions under § 1.48
in pending applications are not entered as a matter of right
in rejected (the criteria of § 1.116 applies) or allowed
(the criteria of § 1.312 applies) applications. See
§ 1.48(a) and MPEP 201.03.
A clarifying reference to § 1.634 is added in § 1.48(a) for
instances when inventorship correction is necessary during
an interference and has been moved from § 1.48(a)(4) for
improved contextual purposes.
The § 1.48(a)(1) statement requires a statement only as to
the lack of deceptive intent rather than a statement of
facts to establish how the inventorship error was discovered
and how it occurred, since the latter requirement is
deleted. Additionally, the persons from whom a statement is
required now includes any person who through error was not
named as an inventor but limits statements from the original
named inventors to only those persons named in error as
inventors rather than all persons originally named as
inventors including those correctly named. The paragraph is
amended to remove the requirement that the statement be
verified in accordance with the change to §§ 1.4(d)(2) and
10.18.
Comment 11: One comment opposed the removal of the Office
from examining the issue of inventorship as substantive law
invalidates patents that have issued in the names of
incorrect inventors and the Office is charged with the duty
of examining applications for the purpose of denying issue
to those applications that do not meet the standards of
patentability. Where an oath has originally been filed
asserting the proper inventor is one entity and a subsequent
paper asserts that the proper inventor is another, under
such circumstances "the facts are inherently suspect" and an
investigation by the Office is warranted and required by
statute.
Response: The amendments to § 1.48 have otherwise received
overwhelming support.
The Office has pursued the existence of improper
inventorship in applications by rejection under 35 U.S.C.
102(f) or (g) and will continue to do so independent of the
change in the verified statement requirements under § 1.48
paragraphs (a) or (c). A request to change inventorship,
however, often requested by the current inventors or
assignee on their own initiative is not seen to be
inherently fraught with deceptive intent as to warrant a
close and detailed examination absent more. A statement
that the error was made without deceptive intent is seen to
be a sufficient investigation complying with the statutory
requirement under 35 U.S.C. 116, particularly as most
petitions are eventually granted or an application can be
refiled naming the new desired inventive entity. Refiling
of the application to change the inventorship will not cause
the Office, absent more, to initiate an investigation as to
the correct inventorship or cause a rejection under
35 U.S.C. 102(f) or (g) to be made. Additionally, it should
be noted that the Office views a petition under § 1.48 to be
a procedural matter and not to represent a substantive
determination as to the actual inventorship. See MPEP
201.03, Verified Statement of Facts.
For those situations where there was deceptive intent, the
Office is lacking certain necessary tools for a thorough
inquiry (e.g., subpoena authority) to ascertain the truth
thereof (as in other situations under §§ 1.28 and 1.56).
However, the inquiry cannot be waived by the Office due to
the statutory requirement under 35 U.S.C. 116. There is no
other reasonable course of action than to accept as an
explanation for the execution of a § 1.63 oath or
declaration setting forth an erroneous inventive entity that
the inventor did not remember the contribution of the
omitted inventor at the time the oath or declaration was
executed (absent subpoena power and inter parties hearings),
and therefore further inquiries into the matter other than a
statement of lack of deceptive intent are a waste of Office
resources.
Comment 12: One comment suggested that in limiting the
submission of a verified statement of facts to only the
parties being added or deleted as inventors, agreement of
the original named inventors should also be obtained as is
currently done when verified statements of facts from all
the original named inventors are required.
Response: Agreement or acquiescence of the original named
inventors, to the extent that they remain as inventors, to
the new inventorship will be obtained through the retained
requirement that the actual inventive entity complete a new
oath or declaration under § 1.63, which must set forth the
new inventive entity. Additionally, through the rule
changes to this section and §§ 1.28 and 1.175 the Office is
decreasing its investigation of claims relating to a lack of
deceptive intent. The remaining purpose of these rules is
to force the applicant(s) to merely make an assertion as to
a lack of deceptive intent thereby permitting subsequent
reviewers (tribunals or otherwise) to determine, in light of
all the available facts, whether the applicant(s) complied
with the statute.
Section 1.48(a)(2) is amended for clarification purposes to
indicate the availability of §§ 1.42, 1.43 or 1.47 in
meeting the requirement for an executed oath or declaration
under § 1.63 from each actual inventor. Section 1.47 is
only applicable to the person to be added as an inventor
(inventors named in an application transmittal letter can be
deleted without petition). For those persons already having
submitted an executed oath or declaration under § 1.63, a
petition under § 1.183, requesting waiver of reexecution of
an oath or declaration, may be an appropriate remedy. The
requirement for an oath or declaration is maintained in
§ 1.48(a) notwithstanding its replacement in § 1.324 for
issued patents by a statement of agreement or lack of
disagreement with the requested change in view of the need
to satisfy the duty of disclosure requirement in a pending
application that is set forth in a § 1.63 oath or
declaration.
Section 1.48(a)(4) is amended to include a citation to
§ 3.73(b) to clarify the requirements for submitting a
written consent of assignee, which is subject to the
requirement under § 3.73(b), and to delete the reference to
an application involved in an interference, which is being
moved to § 1.48(a). Section 1.48(a)(4) is also amended to
clarify that the assignee required to submit its written
consent is only the existing assignee of the original named
inventors at the time the petition is filed and not any
party that would become an assignee based on the grant of
the inventorship correction.
Section 1.48(b) is also amended to remove the requirement
that a petition thereunder be diligently filed. The
applicability of a rejection under 35 U.S.C. 102(f) or (g)
against an application with the wrong inventorship set forth
therein and any patent that would issue thereon is
sufficient motivation for prompt correction of the
inventorship without the need for a separate requirement for
diligence.
Section 1.48(b) is amended to have a clarifying reference to
§ 1.634 added for instances when inventorship correction is
necessary during an interference.
Comment 13: A comment noted that the literal wording of
§ 1.48(b) permits correction thereunder only where the
correct inventors were named on filing thereby excluding
correction under § 1.48(b) where an incorrect inventorship
was named on filing that was subsequently corrected under
§ 1.48(a) and, subsequent to the correction prosecution of
the application, required additional correction under
§ 1.48(b).
Response: The comment is accepted and § 1.48(b) has been
modified to delete "when filed" after "nonprovisional
application" for clarification purposes. Additionally, the
term "originally" in the first sentence of paragraph (b) has
been replaced with "currently."
Section 1.48(c) is amended so that a petition thereunder no
longer needs to meet the current requirements of § 1.48(a),
which are also changed. A statement from each inventor
being added that the inventorship amendment is necessitated
by amendment of the claims and that the error occurred
without deceptive intent is required under § 1.48(c)(1)
rather than the previous requirement of a statement from
each original named inventor. The previous requirements
under § 1.48(a) for an oath or declaration, the written
consent of an assignee and the written consent of any
assignee are retained, but are now separately set forth in
§§ 1.48 paragraphs (c)(2) through (c)(4). The particular
circumstances of a petition under this paragraph, adding an
inventor due to an amendment of the claims that incorporates
material attributable to the inventor to be added, is seen
to be indicative of a lack of deceptive intent in the
original naming of inventors. Accordingly, all that must be
averred to is that an amendment of the claims has
necessitated correction of the inventorship and that the
inventorship error existing in view of the claim amendment
occurred without deceptive intent. The previous requirement
for diligence in filing the petition based on an amendment
to the claims is not retained as applicants have the right,
prior to final rejection or allowance, to determine when
particular subject matter is to be claimed. Applicants
should note that any petition under § 1.48 submitted after
allowance is subject to the requirements of § 1.312, and a
petition submitted after final rejection is not entered as a
matter of right.
Section 1.48(c)(2) is amended to clarify the availability of
§§ 1.42, 1.43 and 1.47 in meeting the requirement for an
executed oath or declaration under § 1.63. Section 1.47 is
only applicable to the person to be added as an inventor.
For those persons already having an executed oath or
declaration under § 1.63, a petition under § 1.183,
requesting waiver of reexecution of an oath or declaration,
may be an appropriate remedy.
Section 1.48(c)(4) is amended to clarify that the assignee
required to submit its written consent is only the existing
assignee of the original named inventors at the time the
petition is filed and not any party that would become an
assignee based on the grant of the inventorship correction.
A citation to § 3.73(b) is presented.
Section 1.48(d) is amended by addition of "their part" to
replace "the part of the actual inventor or inventors" and
of "omitted" to replace "actual" to require statements from
the inventors to be added rather than from all the actual
inventors so as to comply with 35 U.S.C. 116.
Section 1.48(d)(1) is also clarified to specify that the
error to be addressed is the inventorship error. It is not
expected that the party filing a provisional application
will normally need to correct an error in inventorship under
this paragraph by adding an inventor therein except when
necessary under § 1.78 to establish an overlap of
inventorship with a continuing application.
Section 1.48(d)(1) is also amended to remove the requirement
that the statement be verified in accordance with the change
to §§ 1.4(d)(2) and 10.18.
Section 1.48(e)(1) is amended to replace a requirement in
provisional applications that the required statement be one
"of facts" directed towards "establishing that the error"
being corrected "occurred without deceptive intention,"
requiring only a statement that the inventorship error
occurred without deceptive intent. Paragraph (e)(1) is also
amended to remove the requirement that the statement be
verified in accordance with the change to §§ 1.4(d)(2) and
10.18. It is not expected that the party filing a
provisional application would need to file a petition under
this paragraph since the application will go abandoned by
operation of law (35 U.S.C. 111(b)(5)), and the need to
delete an inventor will not affect the overlap of
inventorship needed to claim priority under § 1.78(a)(3) for
any subsequently filed nonprovisional application.
Section 1.48(e)(3) is amended to clarify that the assignee
required to submit its written consent is only the prior
existing assignee before correction of the inventorship is
granted and not any party that would become an assignee
based on the grant of the inventorship correction. A
reference to § 3.73(b) is added.
Section 1.48(f) is added to provide that the later filing of
an executed oath or declaration (or cover sheet
(§ 1.51(c)(1)) in a provisional application) during the
pendency of the application would act to correct the
inventorship without a specific petition for such correction
and will be used to further process the application
notwithstanding any inventorship or other identification
name earlier presented.
Section 1.48(g) is added to specifically recognize that the
Office may require such other information as may be deemed
appropriate under the particular circumstances surrounding a
correction of the inventorship.
Section 1.51: Section 1.51, paragraphs (a)(1) and (a)(2),
are re-written as § 1.51, paragraphs (b) and (c),
respectively, and § 1.51(b) is re-written as § 1.51(d).
Section 1.51(c) covering the use of an authorization to
charge a deposit account is removed as unnecessary in view
of § 1.25(b).
No comments were received regarding the proposed change to
§ 1.51.
Section 1.52: Section 1.52, paragraphs (a) and (d), are
amended to remove the requirement that the translation be
verified in accordance with the change to §§ 1.4(d)(2) and
10.18. Section 1.52, paragraph (c), is amended to remove
the reference to §§ 1.123 through 1.125 to: (1) reflect a
transfer of material from §§ 1.123 and 1.124 to § 1.121;
(2) further clarify that § 1.125 is not a vehicle amendment
of an application; and (3) to clarify that alterations to
application papers may be made on, as well as before, the
signing of the oath or declaration. Section 1.52,
paragraphs (a) and (d), are also amended to clarify the need
for a statement that the translation being offered is an
accurate translation, as in § 1.69(b).
Comment 14: Two comments were received asking whether the
attorney can sign the statement that the translation is
accurate, and how much firsthand knowledge does a
practitioner need to know that the translation is accurate.
Response: The Office will accept a statement that the
translation is accurate from any party. However, any party
signing such statement must keep in mind the averments that
are made under §§ 1.4(d) and 10.18. The actual firsthand
knowledge needed by a practitioner is that amount of
knowledge to comply with the averments in §§ 1.4(d) and
10.18.
Comment 15: A comment questioned whether there is any
difference between the previous language of "verified
translation" and the present language of "accurate
translation."
Response: The previous language was directed at a
verification that the translation is accurate. A
verification requirement is now unnecessary due to the
amendments to §§ 1.4(d) and 10.18. Thus, § 1.52(d) is
amended to include the more direct term "accurate."
Section 1.53: Section 1.53 is amended to include headings
for each paragraph for purposes of clarity.
Section 1.53(a) is amended to state that "[a]ny papers
received in the Patent and Trademark Office which purport to
be an application for a patent will be assigned an
application number for identification purposes." That is,
the Office will refer to papers purporting to be an
application for a patent as an "application" and assign such
"application" an application number for identification
purposes. This reference, however, does not imply that such
papers meet the requirements in § 1.53(b) to be accorded a
filing date or constitute an "application" within the
meaning of 35 U.S.C. 111.
Section 1.53(b) is amended to provide that: (1) the filing
date of an application for patent filed under § 1.53(b) is
the date on which a specification as prescribed by 35 U.S.C.
112 containing a description pursuant to § 1.71 and at least
one claim pursuant to § 1.75, and any drawing required by
§ 1.81(a) are filed in the Office; (2) no new matter may be
introduced into an application after its filing date; (3) a
continuation or divisional application filed by all or by
fewer than all of the inventors named in a prior
nonprovisional application may be filed under § 1.53(b) or
(d); and (4) a continuation or divisional application naming
an inventor not named in the prior nonprovisional
application or a continuation-in-part application must be
filed under § 1.53(b).
Section 1.53(c) is amended to provide for provisional
applications (formerly provided for in § 1.53(b)(2)).
Section 1.53(c) includes the language of former
§ 1.53(b)(2), with certain changes for purposes of clarity.
Section 1.53(c)(i), for example, includes language requiring
either the provisional application cover sheet required by
§ 1.51(c)(1) or a cover letter identifying the application
as a provisional application. The cover letter may be an
application transmittal letter or some other paper
identifying the accompanying papers as a provisional
application.
Section 1.53(d) is amended to provide for continued
prosecution applications. Section 1.53(d)(1) provides that
a continuation or divisional application, but not a
continuation-in-part, of a prior nonprovisional application
may be filed as a continued prosecution application under
§ 1.53(d), subject to the conditions specified in paragraph
(d)(1)(i) and (d)(1)(ii). That is, an application under
§ 1.53(d) cannot be a continuation-in-part application, and
the prior application cannot be a provisional application.
Section 1.53(d)(1)(i) specifies that the prior application
be either: (1) complete as defined by § 1.51(b) and filed
on or after June 8, 1995; or (2) the national stage of an
international application in compliance with 35 U.S.C. 371
and filed on or after June 8, 1995. The phrase "prior"
application in § 1.53(d)(1) means the application
immediately prior to the continued prosecution application
under § 1.53(d), in that a continued prosecution application
under § 1.53(d) may claim the benefit under 35 U.S.C. 120,
121, or 365(c) of applications filed prior to June 8, 1995
so long as the application that is immediately prior to the
continued prosecution application under § 1.53(d) was filed
on or after June 8, 1995.
Section 1.53(d)(1)(ii) specifies that the application under
§ 1.53(d) be filed before the earliest of: (1) payment of
the issue fee on the prior application, unless a petition
under § 1.313(b)(5) is granted in the prior application;
(2) abandonment of the prior application; or (3) termination
of proceedings on the prior application.
Section 1.53(d)(2) provides that the filing date of a
continued prosecution application is the date on which a
request on a separate paper for an application under
§ 1.53(d) is filed. That is, a request for an application
under § 1.53(d) cannot be submitted within papers filed for
another purpose (e.g., the filing of a "conditional" request
for a continued prosecution application within an amendment
after final for the prior application is an improper request
for a continued prosecution application under § 1.53(d)).
In addition, a "conditional" request for a continued
prosecution application will not be permitted. Any
"conditional" request for a continued prosecution
application submitted (as a separate paper) with an
amendment after final in an application will be treated as
an unconditional request for a continued prosecution
application of such application. This will result (by
operation of § 1.53(d)(2)(v)) in the abandonment of such
(prior) application, and (if so instructed in the request
for a continued prosecution application) the amendment after
final in the prior application will be treated as a
preliminary amendment in the continued prosecution
application.
Section 1.53(d)(2) further provides that an application
filed under § 1.53(d): (1) must identify the prior
application (§ 1.53(d)(i)); (2) discloses and claims only
subject matter disclosed in the prior application (i.e., is
a continuation or divisional, but not a continuation-in-part) (§ 1.53(d)(1)(ii)); (3) names as inventors the same
inventors named in the prior application on the date the
application under § 1.53(d) was filed, except as provided in
§ 1.53(d)(4) (§ 1.53(d)(2)(iii)); (4) includes the request
for an application under § 1.53(d), will utilize the file
jacket and contents of the prior application, including the
specification, drawings and oath or declaration, from the
prior application to constitute the new application, and
will be assigned the application number of the prior
application for identification purposes (§ 1.53(d)(2)(iv));
and (5) is a request to expressly abandon the prior
application as of the filing date of the request for an
application under § 1.53(d) (§ 1.53(d)(2)(v)).
Section 1.53(d)(3) provides that the filing fee for a
continued prosecution application filed under § 1.53(d) is:
(1) the basic filing fee as set forth in § 1.16; and (2) any
additional § 1.16 fee due based on the number of claims
remaining in the application after entry of any amendment
accompanying the request for an application under § 1.53(d)
and entry of any amendments under § 1.116 not entered in the
prior application which applicant has requested to be
entered in the continued prosecution application. See
35 U.S.C. 41(a)(1)-(4).
Section 1.53(d)(4) provides that an application filed under
§ 1.53(d) may be filed by fewer than all the inventors named
in the prior application, provided that the request for an
application under § 1.53(d) when filed is accompanied by a
statement requesting deletion of the name or names of the
person or persons who are not inventors of the invention
being claimed in the new application, and that no person may
be named as an inventor in an application filed under
§ 1.53(d) who was not named as an inventor in the prior
application on the date the application under § 1.53(d) was
filed, except by way of a petition under § 1.48. Thus, an
application under § 1.53(d) must name as inventors either
the same as (§ 1.53(d)(2)(iii)) or fewer than all of
(§ 1.53(d)(4)) the inventors named in the prior application.
A request for an application under § 1.53(d) purporting to
name as an inventor a person not named as an inventor in the
prior application (even if accompanied by a new oath or
declaration under § 1.63 listing that person as an inventor)
will be treated as naming the same inventors named in the
prior application (§ 1.53(d)(2)(iii)).
Section 1.53(d)(5) provides that: (1) any new change must
be made in the form of an amendment to the prior
application; (2) no amendment in an application under
§ 1.53(d) (a continued prosecution application) may
introduce new matter or matter that would have been new
matter in the prior application; and (3) any new
specification filed with the request for an application
under § 1.53(d) will not be considered part of the original
application papers, but will be treated as a substitute
specification in accordance with § 1.125. Pursuant to the
provisions of § 1.53(d)(5), where applicant desires entry of
an amendment in the application under § 1.53(d) that was
previously denied entry under § 1.116 in the prior
application, the applicant must request its entry (and pay
any additional claims fee required by § 1.53(d)(3)(ii)) in
the application under § 1.53(d) prior to action by the
Office in the application under § 1.53(d). Any amendment
submitted with the request for an application under
§ 1.53(d) that seeks to add matter that would have been new
matter in the prior application will be objected to under
§ 1.53(d), and the applicant will be required to cancel the
subject matter that would have been new matter in the prior
application.
Section 1.53(d)(6) provides that the filing of a continued
prosecution application under § 1.53(d) will be construed to
include a waiver of confidentiality by the applicant under
35 U.S.C. 122 to the extent that any member of the public
who is entitled under the provisions of § 1.14 to access to,
copies of, or information concerning either the prior
application or any continuing application filed under the
provisions of this paragraph may be given similar access to,
copies of, or similar information concerning, the other
application(s) in the application file.
Section 1.53(d)(7) provides that a request for an
application under § 1.53(d) is a specific reference under
35 U.S.C. 120 to every application assigned the application
number identified in such request, and that no amendment in
a continued prosecution application under § 1.53(d) shall
delete this specific reference to any prior application.
That is, other than the identification of the prior
application in the request required by § 1.53(d) for a
continued prosecution application, a continued prosecution
application needs no further identification of or reference
to the prior application (or any prior application assigned
the application number of such application under § 1.53(d))
under 35 U.S.C. 120 and § 1.78(a)(2).
Section 1.53(d)(8) provides that in addition to identifying
the application number of the prior application, applicant
is urged to furnish in the request for an application under
§ 1.53(d) the following information relating to the prior
application to the best of his or her ability: (1) title of
invention; (2) name of applicant(s); and (3) correspondence
address.
Section 1.53(d)(9) provides that: (1) envelopes containing
only requests and fees for filing an application under
§ 1.53(d) should be marked "Box CPA" and (2) requests for an
application under § 1.53(d) filed by facsimile transmission
should be clearly marked "Box CPA."
Section 1.53(e)(1) provides that if an application deposited
under § 1.53 paragraphs (b), (c), or (d) does not meet the
respective requirements in § 1.53 paragraphs (b), (c), or
(d) to be entitled to a filing date, applicant will be so
notified, if a correspondence address has been provided, and
given a time period within which to correct the filing
error.
Section 1.53(e)(2) provides that: (1) any request for
review of a notification pursuant to § 1.53(e)(1), or a
notification that the original application papers lack a
portion of the specification or drawing(s), must be by way
of a petition pursuant to § 1.53(e); (2) any petition under
§ 1.53(e) must be accompanied by the fee set forth in
§ 1.17(i) in an application filed under § 1.53 paragraphs
(b) or (d), and the fee set forth in § 1.17(q) in an
application filed under § 1.53(c); and (3) in the absence of
a timely (§ 1.181(f)) petition pursuant to this paragraph,
the filing date of an application in which the applicant was
notified of a filing error pursuant to paragraph (e)(1) of
this section will be the date the filing error is corrected.
Section 1.53(e)(3) provides that if an applicant is notified
of a filing error pursuant to § 1.53(e)(1), but fails to
correct the filing error within the given time period or
otherwise timely (§ 1.181(f)) take action pursuant to
§ 1.53(e)(2), proceedings in the application will be
considered terminated, and that where proceedings in an
application are terminated pursuant to § 1.53(e)(3), the
application may be disposed of, and any filing fees, less
the handling fee set forth in § 1.21(n), will be refunded.
Section 1.53(f) is amended to include the language of former
§ 1.53(d)(1) and to provide that the oath or declaration
required for a continuation or divisional application under
§ 1.53(b) may be a copy of the executed oath or declaration
filed in the prior application (under § 1.63(d)).
Section 1.53 paragraphs (g), (h), (i), and (j) are added and
include the language of former § 1.53 paragraphs (d)(2),
(e)(1), (e)(2), and (f), respectively.
Comment 16: The majority of the comments supported the
deletion of §§ 1.60 and 1.62 in favor of the proposed
amendment to § 1.53.
Response: The Office is deleting §§ 1.60 and 1.62 in favor
of an amended § 1.53.
Comment 17: Several comments suggested that the Office
adopt a continued prosecution procedure for applications
filed on or after June 8, 1995 similar to the practice set
forth in § 1.129(a), rather than the continued prosecution
application practice set forth in § 1.53(d).
Response: Section 532(a)(2)(A) of Pub. L. 103-465 provides
specific authorization for the practice set forth in
§ 1.129(a). There is currently no statutory authority for
the Office to simply charge the patent fees set forth in
35 U.S.C. 41(a) for further examination of an application.
35 U.S.C. 41(d) would authorize the Office to further
examine an application for a fee that recovers the estimated
average cost to the Office of such further examination;
however, as 35 U.S.C. 41(h) is applicable only to fees under
35 U.S.C. 41(a) and (b), the Office would not be authorized
to provide a small entity reduction in regard to such fee.
Thus, the only mechanism by which the Office may provide
further examination for a fee to which the small entity
reduction is applicable is via a continuing application.
Section 209 of H.R. 3460, 104th Cong., 2d Sess. (1996),
would have provided statutory authority for the further
reexamination of an application for a fee to which the small
entity reduction was applicable. Section 209 of H.R. 400,
105th Cong., 1st Sess. (1997), if enacted, will provide
statutory authority for the further reexamination of an
application for a fee to which the small entity reduction
will be applicable.
Comment 18: One comment stated that the combination of
§§ 1.53, 1.60, and 1.62 into a single § 1.53 was complex and
confusing. Another comment suggested that § 1.53 be split
into a number of sections, or that headings be used in
§ 1.53 in the manner that headings are used in §§ 1.84 and
1.96.
Response: Placing the provisions of § 1.53 into multiple
sections, rather than multiple paragraphs of a single
section, would not result in a simplification of its
provisions. The Office considers it appropriate to place
the filing provisions concerning all applications
(nonprovisional, provisional, and continued prosecution)
into a single section to reduce the confusion as to the
filing requirements for any application for patent. Section
1.53 as adopted includes headings in each paragraph of
§ 1.53 to indicate the subject to which each of these
paragraphs pertains.
Comment 19: One comment suggested amending § 1.53 to
require applicants to indicate changes to the disclosure in
a continuation or divisional application.
Response: The suggestion is not adopted. The Office did
not propose to amend § 1.53 to require applicants to
indicate changes to the disclosure in any continuing
application. Thus, adopting a change to impose this
additional burden on an applicant is not considered
appropriate in this Final Rule.
Comment 20: One comment suggested that the Office permit
applicants to file a statement requesting deletion of an
inventor in a continuation or divisional application any
time prior to or coincident with the mailing of an issue fee
payment. The comment questioned whether the time period in
§ 1.53(e)(1) addresses this issue.
Response: Unless a statement requesting the deletion of the
names of the person or persons who are not inventors in the
continuation or divisional application accompanies the copy
of the executed oath or declaration submitted in accordance
with § 1.63(d) in an application filed pursuant to
§ 1.53(b), or accompanies the request for an application
under § 1.53(d) in an application filed pursuant to
§ 1.53(d), the inventorship of the continuation or
divisional application filed under § 1.53(b) using a copy of
the oath or declaration of the prior application pursuant to
§ 1.63(d) or filed under § 1.53(d) will be considered
identical to that in the prior application, and correction
of the inventorship (if appropriate) must be by way of
§ 1.48. Identification of the inventorship is necessary to
the examination of an application (e.g., 35 U.S.C. 102(f)
and (g)). As such, the Office must require identification
of the inventorship prior to examination of an application.
Section 1.53(e)(1) applies in those instances in which
papers filed as an application under § 1.53(b), (c), or (d)
do not meet the respective requirements of § 1.53(b), (c),
or (d) to be entitled to a filing date. Submitting an oath
or declaration is not a filing date issue, and naming the
inventors is no longer a filing date issue. Thus, the
provisions of § 1.53(e) do not apply to the filing of a
statement requesting deletion of an inventor in a
continuation or divisional application.
Comment 21: One comment questioned whether § 1.53(d)
applies only to applications filed on or after June 8, 1995,
and questioned whether § 1.53(d) should be made applicable
to pending applications filed prior to June 8, 1995. The
comment also questioned the relationship between § 1.129(a)
and § 1.53(d).
Response: Section § 1.53(d), by its terms, permits the
filing of a continuation or divisional thereunder of only a
nonprovisional application that, inter alia, is either:
(1) complete as defined by § 1.51(b) and filed on or after
June 8, 1995 or; (2) resulted from entry into the national
stage of an international application in compliance with
35 U.S.C. 371 filed on or after June 8, 1995. While
§ 1.53(d) and § 1.129(a) both provide for the continued
prosecution of an application, these sections are distinct
in that they apply to a virtually mutually exclusive class
of applications and have separate requirements (e.g., a
request for a § 1.53(d) application may be filed subsequent
to the filing of an appeal brief, so long as the request is
filed before the earliest of: (1) payment of the issue fee
on the prior application, unless a petition under
§ 1.313(b)(5) is granted in the prior application;
(2) abandonment of the prior application; or (3) termination
of proceedings on the prior application).
Comment 22: One comment suggested that the rules of
practice permit the execution of copies of an oath or
declaration by fewer than all of the inventors, without
cross-reference to the other copies to facilitate
contemporaneous executions by geographically separated
inventors.
Response: The suggestion is not adopted. Section
1.63(a)(3) requires that an oath (or declaration), inter
alia, identify each inventor. The rules of practice permit
inventors to execute separate oaths (or declarations), so
long as each oath (or declaration) sets forth all of the
inventors (the necessary cross-reference). That is,
§ 1.63(a)(3) prohibits the execution of separate oaths (or
declarations) in which each oath (or declaration) sets forth
only the name of the executing inventor. An amendment to
the rules of practice to permit an inventor to execute an
oath or declaration that does not set forth each inventor
would not only lead to confusion as to the inventorship of
an application, but would be inconsistent with the
requirement in 35 U.S.C. 115 that the applicant make an oath
(or declaration) that the applicant believes himself (or
herself) to be the original and first inventor of the
subject matter for which a patent is sought, as the oaths or
declarations would conflict as to the inventorship of the
application.
Comment 23: Several comments suggested that the statement
required under 35 U.S.C. 120 in a continued prosecution
application will be confusing as the continued prosecution
application will have the same application number as the
prior application. One comment indicated that this will
cause confusion: (1) as to which application is being
referenced in a 35 U.S.C. 120 statement in the divisional
application when a divisional application under § 1.53(b)
and a continued prosecution application filed under
§ 1.53(d) are filed from the same prior application; and
(2) in docketing applications as most commercially available
software identify applications by application number.
Another comment questioned what sentence was required
pursuant to § 1.78(a)(2) in a continued prosecution
application.
Response: 35 U.S.C. 120 provides that an application may
obtain the benefit of the filing date of an earlier filed
application if, inter alia, the application "contains or is
amended to contain a specific reference to the earlier filed
application." Section 1.78(a) requires that this specific
reference be in the first sentence of the specification and
identify each earlier filed application by application
number or international application number and international
filing date and relationship of the applications. Thus,
while a "specific reference to the earlier filed
application" is a requirement of statute (35 U.S.C. 120),
the particulars of this specific reference (by application
number, filing date, and relationship) is a requirement of
regulation (§ 1.78(a)), not the patent statute.
The purpose of the "specific reference" requirement of 35 U.S.C. 120 is to provide notice to the public of the filing date upon which a patentee may rely to support the validity of the patent:
[35 U.S.C. 120] embodies an important public
policy. The information required to be disclosed
is information that would enable a person
searching the records of the Patent Office to
determine with a minimum of effort the exact
filing date upon which a patent applicant is
relying to support the validity of his application
or the validity of a patent issued on the basis of
one of a series of applications. In cases such as
this, in which two or more applications have been
filed and the validity of a patent rests upon the
filing date of an application other than that upon
which the patent was issued, a person, even if he
had conducted a search of the Patent Office
records, could unwittingly subject himself to
exactly this type of infringement suit unless the
later application adequately put him on notice
that the applicant was relying upon a filing date
different from that stated in the later
application.
Sampson v. Ampex Corp., 463 F.2d 1042, 1045, 174 USPQ 417,
419 (2d Cir. 1972); see also Sticker Indus. Supply Corp. v.
Blaw-Knox Co., 405 F.2d 90, 93, 160 USPQ 177, 179 (7th Cir.
1968)("Congress may well have thought that [35 U.S.C.] 120
was necessary to eliminate the burden on the public to
engage in long and expensive search of previous applications
in order to determine the filing date of a later
patent . . . . The inventor is the person best suited to
understand the relation of his applications, and it is no
hardship to require him to disclose this information").
To reduce the delay in processing a continued prosecution
application, the Office will maintain in its records (e.g.,
in the Patent Application Locating and Monitoring (PALM)
records for an application) for identification purposes the
application number and filing date of the prior application.
Thus, in a continued prosecution application, the
application number of the continued prosecution application
will be the application number of the prior application, and
the filing date indicated on any patent issuing from a
continued prosecution application will be the filing date of
the prior application (or, in a chain of continued
prosecution applications, the filing date of the application
immediately preceding the first continued prosecution
application in the chain). In addition, as a continued
prosecution application will use the file wrapper of the
prior application, the prior application will be available
upon inspection of the continued prosecution application.
Unless excepted from § 1.78(a)(2), the first sentence of a
continued prosecution application would consist of a
reference to that application as a continuation or
divisional of an application having the identical
application number and the effective filing date of (the
filing date to be printed on any patent issuing from) the
continued prosecution application. Such a sentence would
provide no useful information to the public.
Therefore, § 1.53(d)(7) as adopted provides that a request
for an application under § 1.53(d) is a specific reference
under 35 U.S.C. 120 to every application assigned the
application number identified in such request, and
§ 1.78(a)(2) as adopted provides that the request for a
continued prosecution application under § 1.53(d) is the
specific reference under 35 U.S.C. 120 to the prior
application. That is, the continued prosecution application
includes the request for an application under § 1.53(d)
(§ 1.53(d)(2)(iv)), and the recitation of the application
number of the prior application in such request (as required
by § 1.53(d)) is the "specific reference to the earlier
filed application" required by 35 U.S.C. 120. No further
amendment to the specification is required by 35 U.S.C. 120
or § 1.78(a) for a continued prosecution application for
such continued prosecution application to contain the
required specific reference to the prior application, as
well as any other application assigned the application
number of the prior application (e.g., in instances in which
a continued prosecution application is the last in a chain
of continued prosecution applications).
Where an application claims a benefit under 35 U.S.C. 120 of
a chain of applications, the application must make a
reference to the first (earliest) application and every
intermediate application. See Sampson, 463 F.2d at 1044-45,
174 USPQ at 418-19; Sticker Indus. Supply Corp., 405 F.2d at
93, 160 USPQ at 179; Hovlid v. Asari, 305 F.2d 747, 751, 134
USPQ 162, 165 (9th Cir. 1962); see also MPEP 201.11. In
addition, every intermediate application must also make a
reference to the first (earliest) application and every
application after the first application and before such
intermediate application.
In the situation in which there is a chain of continued
prosecution applications, each continued prosecution
application in the chain will, by operation of § 1.53(d)(7),
contain the required specific reference to its immediate
prior application, as well as every other application
assigned the application number identified in such request.
Put simply, a specific reference to a continued prosecution
application by application number and filing date will
constitute a specific reference to: (1) the non-continued
prosecution application originally assigned such application
number (the prior application as to the first continued
prosecution application in the chain); and (2) every
continued prosecution application assigned the application
number of such non-continued prosecution application.
Where the non-continued prosecution application originally
assigned such application number itself claims the benefit
of a prior application or applications under 35 U.S.C. 120,
121, or 365(c), § 1.78(a)(2) continues to require that such
application contain in its first sentence a reference to any
such prior application(s). As a continued prosecution
application uses the specification of the prior application,
such a specific reference in the prior application (as to
the continued prosecution application) will constitute such
a specific reference in the continued prosecution
application, as well as every continued prosecution
application in the event that there is a chain of continued
prosecution applications.
Where an applicant in an application filed under § 1.53(b)
seeks to claim the benefit of an application filed under
§ 1.53(d) under 35 U.S.C. 120 or 121 (as a continuation,
divisional, or continuation-in-part), § 1.78(a)(2) requires
a reference to the continued prosecution application by
application number in the first sentence of such
application. Section 1.78(a)(2) has been amended to also
provide that "[t]he identification of an application by
application number under this section is the specific
reference required by 35 U.S.C. 120 to every application
assigned that application number." Thus, where a referenced
continued prosecution application is in a chain of continued
prosecution applications, this reference will constitute a
reference under 35 U.S.C. 120 and § 1.78(a)(2) to every
continued prosecution application in the chain as well as
the non-continued prosecution application originally
assigned such application number.
Therefore, regardless of whether an application is filed
under § 1.53(b) or (d), a claim under 35 U.S.C. 120 to the
benefit of a continued prosecution application is, by
operation of § 1.53(d)(7) and § 1.78(a)(2), a claim to every
application assigned the application number of such
continued prosecution application. In addition, applicants
will not be permitted to choose to delete such a claim as to
certain applications assigned that application number (e.g.,
for patent term purposes).
Finally, while it is recognized that using a common
application number (and file wrapper) for a continued
prosecution application and its prior application (which may
also be a continued prosecution application) will
necessitate docketing modifications (as well as the Office's
PALM system), the burden of such modifications is outweighed
by the benefits that will result from the elimination of the
initial processing of such applications.
Comment 24: One comment suggested that the phrase "now
refiled" be used in lieu of "now abandoned" to reflect the
status of the prior application.
Response: Under 35 U.S.C. 120, the status of an application
is one of three conditions: (1) pending; (2) patented; or
(3) abandoned. See In re Morganroth, 6 USPQ2d 1802, 1803
(Comm'r Pat. 1988). As the filing of a continued
prosecution application under § 1.53(d) operates to
expressly abandon the prior application under
§ 1.53(d)(2)(v), the status of the prior application is
appropriately designated as "abandoned."
Comment 25: Several comments suggested that the proposed
continued prosecution application practice be made
applicable in instances in which the prior application was
filed prior to June 8, 1995, to expedite the prosecution of
such applications.
Response: Permitting the continued prosecution application
practice to be applicable in instances in which the prior
application was filed prior to June 8, 1995, would result in
confusion as to whether the patent issuing from the
continued prosecution application is entitled to the
provisions of 35 U.S.C. 154(c). As the continued
prosecution application practice was not in effect prior to
June 8, 1995, no patent issuing from a continued prosecution
application is entitled to the provisions of 35 U.S.C.
154(c).
As discussed supra, the application number of a continued
prosecution application will be the application number of
the prior application, and the filing date indicated on any
patent issuing from a continued prosecution application will
be the filing date of the prior application (or, in a chain
of continued prosecution applications, the filing date of
the application immediately preceding the first continued
prosecution application in the chain). Thus, any patent
issuing from a continued prosecution application, where the
prior application was filed prior to June 8, 1995, will
indicate that the filing date of the application for that
patent was prior to June 8, 1995, which will confuse the
public (and possible the patentee) into believing that such
patent is entitled to the provisions of 35 U.S.C. 154(c).
The Office has implemented § 532(a)(2)(A) of Pub. L. 103-465
in § 1.129(a) to conclude the examination of applications
pending at least two years as of June 8, 1995, taking into
account any reference made in such application to any
earlier filed application under 35 U.S.C. 120, 121, and
365(c). Further examination of any application may be
obtained via the filing of a continuing application under
§ 1.53(b). Requiring applications filed prior to June 8,
1995, that are not eligible for the transitional procedure
set forth in § 1.129(a) to obtain further examination via
the filing of a continuing application under § 1.53(b) is a
reasonable requirement to avoid confusion as to whether a
patent issuing from a continued prosecution (§ 1.53(d))
application is entitled to the provisions of 35 U.S.C.
154(c).
Comment 26: One comment suggested that the phrase "most
immediate prior national application" rather than "prior
application" was confusing. The comment further stated that
if the prior application was one filed under § 1.62, there
is no copy in that complete application of the (oath or)
declaration filed in the application under § 1.62.
Response: The phrase "most immediate prior national
application for which priority is claimed under 35 U.S.C.
120, 121 or 365(c)" is changed to "prior application." An
application under §§ 1.53(d), 1.60, or 1.62 must ultimately
be a continuing application of an application filed under
§ 1.53(b). Where the prior application is an application
under § 1.60, the oath or declaration is the copy of the
oath or declaration from the prior application vis-à-vis the
application under § 1.60 submitted in accordance with
§ 1.60(b)(2). Where the prior application is an application
under §§ 1.62 or 1.53(d), the oath or declaration is the
oath or declaration from the prior application vis-à-vis the
application under §§ 1.62 or 1.53(d). Where there is a
chain of applications under §§ 1.62 or 1.53(d) preceding the
prior application to an application under § 1.53(d), the
oath or declaration of the prior application will be the
oath or declaration of the application under §§ 1.53 or 1.60
immediately preceding the chain of applications under
§§ 1.62 or 1.53(d), as each application in the chain of
applications under §§ 1.62 or 1.53(d) utilizes the oath or
declaration of the prior application.
Comment 27: One comment suggested that applications filed
under § 1.53(d) should be taken up as amended applications,
rather than as newly filed applications.
Response: The comment implies that taking up a continued
prosecution application as an amended application may result
in the examiner acting on the application in a more timely
manner than if the application were accounted for as a new
application. The matter is under consideration along with
other administrative issues, and a decision shall be made in
due course.
Comment 28: One comment suggested that § 1.129(a) be
amended so as not to be limited to applications under final
rejection, such that an applicant in an application in which
a notice of allowance under § 1.311 has been mailed may
obtain entry of an information disclosure statement without
regard to the requirements of § 1.97(d).
Response: The Notice of Proposed Rulemaking did not propose
to amend § 1.129(a). While the language of § 532(a)(2)(A)
of Pub. L. 103-465 does not expressly exclude the further
examination of an application that has been allowed (as
opposed to an application under a final rejection), § 102(d)
of Pub. L. 103-465 provides that "[t]he statement of
administrative action approved by the Congress under section
101(a) shall be regarded as an authoritative expression by
the United States concerning the interpretation and
application of the Uruguay Round Agreements and this Act in
any judicial proceeding in which a question arises
concerning such interpretation or application." The
statement of administrative action specifies that such
further examination is to facilitate the completion of
prosecution of applications pending before the Office, and
to permit applicants to present a submission after the
Office has issued a final rejection on an application. See
H.R. Rep. 826(i), 103rd Cong., 2nd Sess. 1005-06, reprinted
in 1984 U.S.C.C.A.N. 3773, 4298.
Upon mailing of a notice of allowance under § 1.311,
prosecution of an application before the Office is
concluded. The proposed amendment to obtain further
examination pursuant to § 1.129(a) after allowance would
nullify (rather than facilitate) the completion of
prosecution of the above-identified application, and, as
such, would be inconsistent with the purpose for the
provisions of § 532(a)(2)(A) of Pub. L. 103-465.
Comment 29: One comment questioned how the filing of a
continued prosecution application would result in less delay
than the filing of a continuing application under § 1.53(b),
as a continued prosecution application would be subject to
pre-examination processing delays.
Response: The Office will not issue a new filing receipt
for a continued prosecution application under § 1.53(d).
See § 1.54(b). By not issuing a filing receipt for a
continued prosecution application, the Office will be able
to perform the pre-examination of any continued prosecution
application in the examining group to which the prior
application was assigned. Likewise, § 1.6(d) has been
amended to permit an applicant to file a continued
prosecution application under § 1.53(d) by facsimile, and
the use of this means of filing a continued prosecution
application will avoid the delay inherent in routing an
application (or any paper) from the mailroom to the
appropriate examining group. These provisions will enable
the Office to process a continued prosecution application in
the manner that a submission under § 1.129(a) is processed.
Comment 30: One comment questioned whether the filing date
of a continued prosecution application is the filing date
for determining patent term, or is significant only in
establishing copendency. Another comment questioned what
filing date was relevant for determining patent term.
Response: Notwithstanding that a continued prosecution
application is assigned the application number of the prior
application, the filing date of the continued prosecution
application is the date on which the request for such
continued prosecution application was filed (§ 1.53(d)).
While the filing date of the continued prosecution
application is relevant to establishing the copendency
required by 35 U.S.C. 120 and § 1.78(a) between the
continued prosecution application and the prior application,
the filing date of a continued prosecution application will
never be relevant to the term under 35 U.S.C. 154(b) of any
patent issuing from the continued prosecution application.
Any continued prosecution application under § 1.53(d) will be filed on or after June 8, 1995, and will claim the benefit of an earlier application as a continuation or divisional application. Section 1.53(d)(7) specifically provides that:
A request for an application under this paragraph
is the specific reference required by 35 U.S.C.
120 to every application assigned the application
number identified in such request. No amendment
in an application under this paragraph shall
delete this specific reference to any prior
application.
Thus, an application under § 1.53(d) cannot be amended to
delete the specific reference to the prior application, as
well as the specific reference to any application to which
the prior application contains a specific reference under
35 U.S.C. 120, 121, and 365(c). As an application under
§ 1.53(d) will also contain a specific reference to at least
one other application under 35 U.S.C. 120, 121, and 365(c),
the expiration date under 35 U.S.C. 154(b)(2) of any patent
issuing from the application under § 1.53(d) will be based
upon the filing date of the prior application (or the
earliest application to which the prior application contains
a specific reference under 35 U.S.C. 120, 121, and 365(c)).
Comment 31: One comment argued that the Office should
address not only the filing requirements for continuing
applications, but also the cause of the filing of continuing
applications. The comment specifically argued that the
current second action final practice should be reevaluated
as an applicant no longer has an incentive to delay the
prosecution of an application due to Pub. L. 103-465.
Response: The suggestion is being taken under advisement as
part of a comprehensive effort by the Office to reengineer
the entire patent process. However, it should be noted that
any changes to the current second action final practice to
provide additional examination of an application prior to a
final Office action would necessitate a corresponding
increase in patent fees.
Comment 32: One comment suggested that the Office simply
eliminate the "true copy" requirement of § 1.60, rather than
add new provisions permitting the use of a copy of the oath
or declaration of a prior application. The comment also
suggested that the Office simply amend § 1.62 to eliminate
the requirement that the Office assign a new application
number to the application, rather than add a new § 1.53(d).
Response: The amendments to § 1.53 do not simply make minor
changes to §§ 1.60 and 1.62. Sections 1.60 and 1.62 are
anachronisms that have outlived their usefulness. A
significant number of applications filed under § 1.60 do not
meet the requirements of § 1.60 (and, as such are improper),
but would be proper under § 1.53 (in the absence of a
reference to § 1.60). The elimination of § 1.60 will result
in a reduction in the Office's burden in treating and the
applicant's burden in correcting these improper applications
under § 1.60, as such applications would generally have been
proper applications if filed under § 1.53 (without a
reference to § 1.60). Section 1.63(d) retains most of the
benefits of § 1.60, but eliminates the filing "traps" of
§ 1.60.
Section 1.62 practice also causes problems concerning its
prohibition against including a new or substitute
specification, and its permitting the filing of a
continuation-in-part. To avoid continued prosecution
application practice under § 1.53(d) being confused with the
former file-wrapper-continuation practice under § 1.62, the
Office has deemed it advisable to use a new § 1.53(d) rather
than § 1.62 in regard to continued prosecution application
practice.
Comment 33: One comment stated that the Office should
anticipate the filing of applications containing a reference
to § 1.60 or § 1.62 for some period.
Response: That applications containing a reference to
§§ 1.60 or 1.62 will continue to be filed has been
anticipated. The treatment of such applications is
discussed infra with respect to the elimination of §§ 1.60
and 1.62.
Comment 34: One comment stated that the safeguard in § 1.60
concerning the filing of an application lacking all of the
pages of specification or sheets of drawings of the prior
application has not been retained in § 1.53(b). The comment
suggested that § 1.53 contain a presumption that a
continuation or divisional be presumed, absent evidence to
the contrary, to be the filing of an application identical
to the prior application.
Response: The Court of Customs and Patent Appeals (CCPA) has held that a mere reference to another application, patent, or publication is not an incorporation of anything therein into the application containing such reference. See In re de Seversky, 474 F.2d 671, 177 USPQ 144 (CCPA 1973); see also Dart Industries v. Banner, 636 F.2d 684, 207 USPQ 273 (CCPA 1980)(related decision). These decisions relied upon In re Lund, 376 F.2d 982, 153 USPQ 625 (CCPA 1967), which considered the incorporation by reference issue in the context of whether a prior art patent adequately incorporated by reference a prior application. The court, in Lund, specifically stated:
There is little in the term "continuation-in-part"
which would suggest to the reader of the patent
that a disclosure of the nature of Example 2 is
present in the earlier application and should be
considered a part of the patent specification.
Thus, we cannot agree that the subject matter of
claim 3 is tacitly "described" in the Margerison
patent within the meaning of § 102(e).
Id. at 989, 153 USPQ 631-32 (footnote discussing the
definition of "continuation-in-part" as set forth in MPEP
201.08 omitted). While the holdings in Dart Industries, de
Seversky and Lund appear to be based upon the definitions of
the various categories of continuing applications set forth
in the MPEP (and thus could be changed by a revision to the
MPEP), the Office is not at this time inclined to disturb
settled law in this area.
Nevertheless, an applicant may incorporate by reference the
prior application by including, in the continuing
application-as-filed, a statement that such specifically
enumerated prior application or applications are "hereby
incorporated herein by reference." The inclusion of this
incorporation by reference of the prior application(s) will
permit an applicant to amend the continuing application to
include any subject matter in such prior application(s),
without the need for a petition.
Section 1.54: Section 1.54(b) is amended to add the phrase
"unless the application is an application filed under
§ 1.53(d)." To minimize application processing delays in
applications filed under § 1.53(d), such applications will
not be processed by the Office of Initial Patent Examination
as new applications.
No comments were received regarding the proposed change to
§ 1.54.
Section 1.55: Section 1.55(a) is amended to remove the
requirement that the statement be verified in accordance
with the change to §§ 1.4(d)(2) and 10.18.
No comments were received regarding the proposed change to
§ 1.55.
Section 1.59: Section 1.59 is amended: (1) by revising the
title to indicate that expungement of information from an
application file would come under this section; (2) by
revising the existing paragraph and designating it as
paragraph (a)(1); and (3) by adding paragraphs (a)(2), (b)
and (c). Section 1.59(a)(1) retains the general prohibition
on the return of information submitted in an application,
but no longer limits that prohibition to an application that
has been accorded a filing date under § 1.53. The portion
of the paragraph relating to the Office furnishing copies of
application papers has been shifted to new paragraph (c).
Section 1.59(a)(2) makes explicit that information, forming
part of the original disclosure (i.e., written specification
including the claims, drawings, and any preliminary
amendment specifically incorporated into an executed oath or
declaration under §§ 1.63 and 1.175) will not be expunged
from the application file.
Section 1.59(b) provides an exception to the general
prohibition of paragraph (a) on the expungement and return
of information and would allow for such when it is
established to the satisfaction of the Commissioner that the
requested expungement and return is appropriate. Section
1.59(b) covers the current practice set forth in MPEP 724.05
where information is submitted as part of an information
disclosure statement and the submitted information has
initially been identified as trade secret, proprietary,
and/or subject to a protective order and where applicant may
file a petition for its expungement and return that will be
granted upon a determination by the examiner that the
information is not material to patentability. Any such
petition should be submitted in reply to an Office action
closing prosecution so that the examiner can make a
determination of materiality based on a closed record. Any
petition submitted earlier than close of prosecution may be
dismissed as premature or returned unacted upon. In the
event pending legislation for pre-grant publication of
applications, which provides public access to the
application file, is enacted, then the timing of petition
submissions under this section will be reconsidered.
Petitions to expunge were formerly considered under § 1.182,
with the Office of Petitions consulting with the examiner on
the materiality of the information at issue prior to
rendering a decision. A possible result of the amendment to
§ 1.59 would be to have petitions under § 1.59 to expunge
simply decided by the examiner who determines the
materiality of the information.
Comment 35: One comment suggested that petitions to expunge
under § 1.59 should be decided by Group Directors or
officials in the Office of Petitions, rather than by
examiners. The comment argued that any individual examiner
would decide such a petition so rarely that it would be
difficult to produce uniform and consistent decisions.
Response: The preamble has been amended to reflect that a
possible result of the rule change is to have petitions
under § 1.59 decided by the examiners. The heart of most
petitions to expunge is a determination as to whether the
material sought to be expunged is material to examination, a
matter that is now referred to examiners prior to a decision
on the petition. Given the major role examiners now play in
expungement matters, it is not clear why examiners would be
rendering inconsistent decisions, particularly as so many
other matters are routinely assigned to examiners including
petitions under § 1.48. Nevertheless, the comment is not
germane to § 1.59 as proposed (or adopted), but concerns the
internal Office delegation of such petitions for
consideration. Moreover, a petition to expunge a part of
the original disclosure would have to be filed under § 1.183
and would continue to be decided in the Office of Petitions.
Comment 36: A comment in requesting some examples of things
that may be expunged asked whether a design code listing as
an appendix in an application may be expunged.
Response: The standard set forth in paragraph (b) of § 1.59
permits information other than what is enumerated in
paragraph (a) of the section to be expunged if it is
established to the satisfaction of the Commissioner that the
return of the information is appropriate. The types of
information and rationales why the information may be
returned are varied and will be evaluated on a case-by-case
basis with the basic inquiry being whether the information
is material to examination of the application. However, to
the extent that an appendix to a specification of an
application is considered part of the original disclosure it
cannot be expunged from the file under § 1.59(a)(2).
Section 1.59(b) also covers information that was
unintentionally submitted in an application, provided that:
(1) the Office can effect such return prior to the issuance
of any patent on the application in issue; (2) it is stated
that the information submitted was unintentionally submitted
and the failure to obtain its return would cause irreparable
harm to the party who submitted the information or to the
party in interest on whose behalf the information was
submitted; (3) the information has not otherwise been made
public; (4) there is a commitment on the part of the
petitioner to retain such information for the period of any
patent with regard to which such information is submitted;
and (5) it is established to the satisfaction of the
Commissioner that the information to be returned is not
material information under § 1.56. A request to return
information that has not been clearly identified as
information that may be later subject to such a request by
marking and placement in a separate sealed envelope or
container shall be treated on a case-by-case basis. It
should be noted that the Office intends to start electronic
scanning of all papers filed in an application, and the
practicality of expungement from the electronic file created
by a scanning procedure is not as yet determinable.
Applicants should also note that unidentified information
that is a trade secret, proprietary, or subject to a
protective order that is submitted in an Information
Disclosure Statement may inadvertently be placed in an
Office prior art search file by the examiner due to the lack
of such identification and may not be retrievable.
Section 1.59(b) also covers the situation where an
unintended heading has been placed on papers so that they
are present in an incorrect application file. In such a
situation, a petition should request return of the papers
rather than transfer of the papers to the correct
application file. The grant of such a petition will be
governed by the factors enumerated above in regard to the
unintentional submission of information. Where the Office
can determine the correct application file that the papers
were actually intended for, based on identifying information
in the heading of the papers (e.g., Application number,
filing date, title of invention and inventor(s) name(s)),
the Office will transfer the papers to the correct
application file for which they were intended without the
need of a petition.
Section 1.59(c) retains the practice that copies of
application papers will be furnished by the Office upon
request and payment of the cost for supplying such copies.
Section 1.60: Section 1.60 is removed and reserved.
Section 1.60 is now unnecessary due to the amendment to
§ 1.63(d) to expressly permit the filing in a continuation
or divisional application using a copy of the oath or
declaration filed in the prior application, and to provide
(§ 1.63(d)(2)) for the filing of a continuation or
divisional application by all or by fewer than all the
inventors named in a prior application.
See comments relating to § 1.53.
Section 1.62: Section 1.62 is removed and reserved.
Section 1.62 is unnecessary due to the addition of § 1.53(d)
to permit the filing of a continued prosecution application.
It is anticipated that applications purporting to be
applications filed under §§ 1.60 or 1.62 will be filed until
the deletion of §§ 1.60 and 1.62 become well known among
patent practitioners. An application purporting to be an
application filed under § 1.60 will simply be treated as a
new application filed under § 1.53 (i.e., the reference to
§ 1.60 will simply be ignored).
Applications purporting to be an application filed under
§ 1.62 will be treated as continued prosecution applications
under § 1.53(d), and those applications that do not meet the
requirements of § 1.53(d) (e.g., continuation-in-part
applications or continuations or divisional of applications
filed before June 8, 1995) will be treated as improper
continued prosecution applications under § 1.53(d). Such an
improper application under § 1.53(d) may be accepted and
treated as a proper application under § 1.53(b) by way of
petition under § 1.53(e) (and submission of the $130 fee
pursuant to § 1.17(i)).
A petition under § 1.53(e) to accept and treat an improper
application under § 1.53(d) as a proper application under
§ 1.53(b) must include: (1) the $130 petition fee; (2) a
true copy of the complete application designated as the
prior application in the purported § 1.62 application
papers; (3) any amendments entered in the prior application;
and (4) any amendments submitted but not entered in the
prior application and directed to be entered in the
purported § 1.62 application papers. In an application
purporting to be a continuation or divisional application
under § 1.62, the true copy of the prior application will
constitute the original disclosure of the application under
§ 1.53(b), and any amendments entered in the prior
application or not entered in the prior application but
directed to be entered in the purported § 1.62 application
papers and submitted with the § 1.53(e) petition will be
entered in the application under § 1.53(b) and considered by
the examiner for new matter under 35 U.S.C. 112, ¶1, and
132. In an application purporting to be a continuation-in-part application under § 1.62, the true copy of the prior
application, any amendments entered in the prior application
or not entered in the prior application but directed to be
entered in the purported § 1.62 application papers and
submitted with the § 1.53(e) petition, and any preliminary
amendment submitted with the purported § 1.62 application
will constitute the original disclosure of the application
under § 1.53(b).
See comments relating to § 1.53.
Section 1.63: Section 1.63(a)(3) is amended to require the
post office address to appear in the oath or declaration and
to have the requirement from § 1.41(a) for the full names of
the inventors placed therein.
Comment 37: Two comments raised the issue regarding the
continued requirement that both a post office address and a
residence be supplied and indicated that the residence is
not required by statute, the post office address is
sufficient for communication purposes, and that the burden
of submitting both far outweighs the infrequent need to
contact any particular inventor bypassing counsel so that
the residence alone should be sufficient.
Response: Under the proposed comment the applicants would
still be required to submit either the residence or post
office address. To request that they also supply the other
or state that both are the same is not seen to be a
significant burden as the information is to be supplied on
the oath or declaration form that they must sign anyway and
spaces can be provided to ensure that the information is
supplied. While neither the residence nor the post office
address are statutory requirements, the Office requires this
information for the applicant's benefit. As more than one
person may have the same name, a person's name is often not
sufficient to provide a unique identification of the
inventor. Thus, the Office also requires an inventor's
residence (which is not required to be sufficiently detailed
to suffice as a post office address) to specifically
identify the person(s) named in the oath or declaration as
the inventor(s), which is a common practice for legal
documents. The post office address is also required in the
event that the Office finds it necessary to directly contact
the inventor(s). It is not uncommon for an inventor to
revoke a power of attorney or authorization of agent in a
paper providing no address for future correspondence from
the Office. Also, the Office will need to directly contact
the inventor if the Office is notified of the death of a
sole attorney or agent of record (MPEP 406).
Section 1.63(d) is amended to: (1) relocate its current
language in a new § 1.63(e); and (2) provide that a newly
executed oath or declaration is not required under
§ 1.51(b)(2) and 1.53(f) in a continuation or divisional
application filed by all or by fewer than all of the
inventors named in a prior nonprovisional application
containing an oath or declaration as prescribed by § 1.63,
provided that a copy of the executed oath or declaration
filed in the prior application is submitted for the
continuation or divisional application and the specification
and drawings filed in the continuation or divisional
application contain no matter that would have been new
matter in the prior application. The copy of the oath or
declaration must show the signature of the inventor(s) or
contain an indication thereon that the oath or declaration
was signed (e.g., the notation "/s/" on the line provided
for the signature).
A continuation or divisional application may be filed under
35 U.S.C. 111(a) using the procedures set forth in
§ 1.53(b), by providing either: (1) a copy of the prior
application, including a copy of the oath or declaration in
such prior application, as filed; or (2) a new specification
and drawings and a copy of the oath or declaration as filed
in the prior application so long as no matter is included in
the new specification and drawings that would have been new
matter in the prior application. The specification and
drawings of a continuation or divisional application is not
limited to a reproduction or "true copy" of the prior
application, but may be revised for clarity or contextual
purposes vis-à-vis the prior application in the manner that
an applicant may file a substitute specification (§ 1.125)
or amend the drawings of an application so long as it does
not result in the introduction of new matter. Of course,
35 U.S.C. 115 requires that a supplemental oath or
declaration meeting the requirements of § 1.63 be filed in
the continuation or divisional application, if a claim is
allowed in the continuation or divisional application which
is drawn to subject matter originally shown or described in
the prior application but not substantially embraced in the
statement of the invention or claims originally presented in
the prior application as filed. See § 1.67(b).
The patent statute and rules of practice do not require that
an oath or declaration include a date of execution, and the
Examining Corps has been directed not to object to an oath
or declaration as lacking either a recent date of execution
or any date of execution. The applicant's duty of candor
and good faith including compliance with the duty of
disclosure requirements of § 1.56 is continuous and applies
to the continuing application.
A new application containing a copy of an oath or
declaration under § 1.63 referring to an attached
specification is indistinguishable from a continuation or
divisional application containing a copy of an oath or
declaration from a prior application submitted pursuant to
§ 1.63(d). Unless an application is submitted with a
statement that the application is a continuation or
divisional application (§ 1.78(a)(2)), the Office will
process such application as a new non-continuing
application. Applicants are advised to clearly designate
any continuation or divisional application as such to avoid
the issuance of a filing receipt that does not indicate that
the application is a continuation or divisional.
To continue the practice in § 1.60(b)(4) of permitting the
filing of a continuation or divisional application by all or
by fewer than all of the inventors named in a prior
application without a newly executed oath or declaration,
new § 1.63(d)(2) provides that the copy of the oath or
declaration submitted for a continuation or divisional
application under § 1.63(d) must be accompanied by a
statement from applicant, counsel for applicant or other
authorized party requesting the deletion of the names of the
person or persons who are not inventors in the continuation
or divisional application. Where the continuation or
divisional application and copy of the oath or declaration
from the prior application is filed without a statement from
an authorized party requesting deletion of the names of any
person or persons named in the prior application, the
continuation or divisional application will be treated as
naming as inventors the person or persons named in the copy
of the executed oath or declaration from the prior
application. Accordingly, if a petition under § 1.48(a) or
(c) was granted in the prior application, an oath or
declaration filed in a continuation or divisional
application pursuant to § 1.63(d) should be the oath or
declaration also executed by the added inventor(s). For
situations where an inventor or inventors are to be added in
a continuation or divisional application, see § 1.63(d)(5).
The statement requesting the deletion of the names of the
person or persons who are not inventors in the continuation
or divisional application must be signed by person(s)
authorized pursuant to § 1.33(b) to sign an amendment in the
continuation or divisional application.
Section 1.63(d)(3) provides for the situation in which the
executed oath or declaration of which a copy is submitted
for a continuation or divisional application was originally
filed in a prior application accorded status under § 1.47.
Section 1.63(d)(3)(i) requires a copy of any decision
granting a petition to accord § 1.47 status to such
application, unless each nonsigning inventor(s) or legal
representative (pursuant to §§ 1.42 or 1.43) has filed an
oath or declaration to join in an application of which the
continuation or divisional application claims a benefit
under 35 U.S.C. 120, 121 or 365(c). Where a nonsigning
inventor or legal representative (pursuant to §§ 1.42 or
1.43) subsequently joins in any application of which the
continuation or divisional application claims a benefit
under 35 U.S.C. 120, 121 or 365(c), § 1.63(d)(3)(ii) also
requires a copy of any oath or declaration filed by an
inventor or legal representative to subsequently join in
such application.
Section 1.63(d)(4) provides that where the power of attorney
(or authorization of agent) or correspondence address was
changed during the prosecution of the prior application, the
change in power of attorney (or authorization of agent) or
correspondence address must be identified in the
continuation or divisional application, or the Office may
not recognize in the continuation or divisional application
the change of power of attorney (or authorization of agent)
or correspondence address during the prosecution of the
prior application.
A newly executed oath or declaration will continue to be
required in a continuation or divisional application naming
an inventor not named in the prior application, or a
continuation-in-part application, and § 1.63(d)(5) expressly
states that a newly executed oath or declaration must be
filed in a continuation or divisional application naming an
inventor not named in the prior application.
New § 1.63(e) provides that a newly executed oath or
declaration must be filed in a continuation-in-part
application, which application may name all, more, or fewer
than all of the inventors named in the prior application,
and includes the language relocated from former § 1.63(d)
concerning an oath or declaration in a continuation-in-part
application.
Comment 38: One comment suggested that the practice of
permitting the use of an executed oath or declaration of a
prior application creates a trap for the unwary in the
situation in which an applicant believes in error that no
new matter has been added in the "continuation" application
and does not file a new declaration.
Response: The situation outlined in the comment is less of
a trap for the unwary than the situation in which an
applicant files a substitute specification and believes in
error that no new matter has been added, in that the error
in the "continuation" may be corrected by redesignation of
the application as a continuation-in-part and the filing of
a new oath or declaration. Nevertheless, it remains the
applicant's responsibility to review any substitute
specification or new specification submitted for a
continuation application to determine that it contains no
new matter. See MPEP 608.01(q). An applicant is advised to
simply file a continuing application with a newly executed
oath or declaration when it is questionable as to whether
the continuing application adds material that would have
been new matter if presented in the prior application.
Comment 39: One comment suggested that the option of
submitting "a copy of an unexecuted oath or declaration, and
a statement that the copy is a true copy of the oath or
declaration that was subsequently executed and filed to
complete . . . the most immediate prior national application
for which priority is claimed under 35 U.S.C. 120, 121 or
365(c)" was strange at best as the applicant or
representative should have a copy of the oath or declaration
that was filed to complete the prior application or could
obtain one from Office records.
Response: The suggestion is adopted. Section 1.63(d) as
adopted provides that: "[a] newly executed oath or
declaration is not required under § 1.51(b)(2) and § 1.53(f)
in a continuation or divisional application filed by all or
by fewer than all of the inventors named in a prior
nonprovisional application containing an oath or declaration
as prescribed by paragraphs (a) through (c) of this section,
provided that a copy of the executed oath or declaration
filed in the prior application is submitted for the
continuation or divisional application."
Comment 40: One comment questioned whether § 1.53 (or
§ 1.63) is consistent with § 1.48 as to whether the oath or
declaration filed in a continuing application adding an
inventor must be executed by all of the inventors, or just
the added inventor.
Response: The oath or declaration filed in a continuing
application adding an inventor or a continuation-in-part
application must name and be executed by all of the
inventors. Sections 1.48 and 1.63(e) are consistent in this
regard.
Comment 41: One comment questioned whether, in a
continuation or divisional application following a chain of
continuation or divisional applications, the copy of the
executed oath or declaration may be a copy of the oath or
declaration filed in the immediate prior application (which
may itself be a copy of an oath or declaration from a prior
application), or must be a direct copy of the originally
executed oath or declaration.
Response: Section 1.63(d) requires a copy of the oath or
declaration from the prior application. In instances in
which the oath or declaration filed in the prior application
is itself a copy of an oath or declaration from a prior
application, either a copy of the copy of the oath or
declaration in the prior application or a direct copy of the
original oath or declaration is acceptable, as both are a
copy of the oath or declaration in the prior application.
See § 1.4(d)(1)(ii).
Section 1.67: Section 1.67 paragraph (b) is amended to
change "§ 1.53(d)(1)" to "§ 1.53(f)" for consistency with
§ 1.53.
No comments were received regarding § 1.67.
Section 1.69: Section 1.69(b) is amended to remove the
requirement that the translation be verified in accordance
with the change to §§ 1.4(d)(2) and 10.18. Section 1.69(b)
is also amended to clarify the need for a statement that the
translation being offered is an accurate translation, as in
§ 1.52 paragraphs (a) and (d).
Two comments were received in regard to § 1.69 that also
raised similar issues in regard to § 1.52, which comments
are treated with § 1.52.
Section 1.78: Section 1.78(a)(1) is amended to remove the
references to §§ 1.60 and 1.62 in view of the deletion of
§§ 1.60 and 1.62, and to include a reference to an
"international application entitled to a filing date in
accordance with PCT Article 11 and designating the United
States of America." Section 1.78(a)(2) is amended for
consistency with the changes to § 1.53, and to provide that
"[t]he identification of an application by application
number under this section is the specific reference required
by 35 U.S.C. 120 to every application assigned that
application number."
No comments were received regarding the proposed change to
§ 1.78.
Section 1.84: Section 1.84(b) is amended by removing
references to the filing of black and white photographs in
design applications as unnecessary in view of the reference
in § 1.152 to § 1.84(b). Section 1.84 paragraphs (c) and
(g) are amended for consistency in regard to the English
equivalents (5/8 inch.) for 1.5 cm.
No adverse comments were received regarding the proposed
change to § 1.84.
Section 1.91: The title of § 1.91 is amended to clarify
that a certain type of material is not generally admitted in
the file record by substitution of "admitted" for
"required."
Section 1.91 is also amended to clarify the type of material
that is not generally admitted into the file record of an
application. Section 1.91(a) specifically requires a
petition (with the fee set forth in § 1.17(i)) including an
appropriate showing why entry of the model or exhibit into
the file record is necessary to demonstrate patentability,
unless the model or exhibit: (1) substantially conforms
with § 1.52 or § 1.84; or (2) was required by the Office.
Section 1.91 is also amended to state that a model, working
model or other physical exhibit, whose submission by
applicants is generally not permitted, may be required by
the Office if deemed necessary for any purpose in the
examination of the application. This language is moved from
§ 1.92.
Comment 42: Several adverse comments were received
expressing concern that the addition of the term "exhibits"
to the bar against admission of models, unless specifically
required by the Office, would prevent applicants from making
their best possible case for patentability, and that
exhibits would be interpreted by the Office as barring two-dimensional as well as three-dimensional exhibits.
Response: The preamble of the proposed rule indicated that
the change to the rule is in the nature of a clarification
and not a change in practice. Further clarification has
been added to the rule by reference to § 1.52 or § 1.84 and
to the instant discussion of the rule to indicate that the
use of the term "exhibits" is in the nature of other three-dimensional models, such as videos, and will not bar two-dimensional exhibits currently being accepted.
Additionally, a petition route has been added to the rule
that would permit entry of three-dimensional models or
exhibits where they are necessary to establish
patentability. Section 1.91 is also amended to expressly
provide for the filing of a petition thereunder (rather than
to require the filing of a petition under § 1.183) such that
an applicant may gain entry of a model or exhibit, without a
showing of an extraordinary situation where justice requires
grant of the relief sought.
The fact that a three-dimensional model or exhibit will not
generally be entered in the record absent an appropriate
showing does not prevent an applicant from showing the
exhibit to the examiner for purposes of clarifying the
examiner's understanding of the invention and reducing the
model or exhibit to two-dimensional conformance with § 1.52
or § 1.84 for entry of that reduction to the record (which
issues are separate and distinct from the questions as to
whether the later presented material was originally required
for an understanding of the invention and its subsequent
addition being subject to a new matter objection under
35 U.S.C. 132).
Due to the unusual difficulties of storage for three-dimensional materials and little demonstrated need for their
presence in the file record over what would be provided for
via petition under § 1.91, it is not seen to be appropriate
to permit unrestricted entry of three-dimensional exhibits
in the file record.
Section 1.92: Section 1.92 is removed and reserved and the
language transferred to § 1.91(b) for improved contextual
purposes.
No comments were received regarding the proposed change to
§ 1.92.
Section 1.97: Sections 1.97(c) through (e) are amended by
replacement of "certification" by "statement" (see comments
relating to § 1.4(d)), and by clarifying the current use of
"statement" by the terms "information disclosure."
Section 1.97(e)(2) is further amended to replace "or" by
"and" to require that no item of information contained in
the information disclosure statement was cited in a
communication from a foreign patent office in a counterpart
foreign application, and, to the knowledge of the person
signing the statement, after making reasonable inquiry, no
item of information contained in the information disclosure
was known to any individual designated in § 1.56(c) more
than three months prior to the filing of the information
disclosure statement. The use of "and" rather than "or" is
in keeping with the intent of the rule as expressed in the
MPEP 609(B)(2)(ii), that the conjunction be conjunctive
rather than disjunctive. The mere absence of an item of
information from a foreign patent office communication was
clearly not intended to represent an opportunity to delay
the submission of the item when known more than three months
prior to the filing of an information disclosure statement
to an individual having a duty of disclosure under § 1.56.
No comments were received regarding the proposed change to
§ 1.97.
Section 1.101: Section 1.101 is removed and reserved as
relating to internal Office instructions.
Comment 43: A number of comments opposed the deletion of
the rules that solely govern Office procedure. The reasons
given for this opposition are: (1) the Office should
subject its procedures to the notice and comment provisions
of the Administrative Procedure Act (APA); (2) the inclusion
of such procedures in the rules of practice imparts the
force and effect of law to such procedures; (3) the greater
deference given to procedures set forth in the rules of
practice, rather than the MPEP, during court action.
Response: The CCPA has held that applicants before the
Office are entitled to rely not only on the patent statute
and rules of practice, but on the provisions of the MPEP,
during the prosecution of an application for patent. See In
re Kaghan, 387 F.2d 398, 401, 156 USPQ 130, 132 (CCPA 1967).
Thus, there is in practice little, if any, benefit to
applicants before the Office in having the Office procedure
set forth in the rules of practice, rather than the MPEP.
In any event, no comment pointed to any specific decision,
and the Office is not aware of any decision, in which the
result turned on the inclusion of Office procedure in the
rules of practice (rather than simply in the MPEP).
Nevertheless, in view of the concern expressed in the
comments as to the rules of practice setting forth the
fundamentals of the examination of an application, the
Office will retain the substance of §§ 1.104 and 1.105 in
the rules of practice. See In re Phillips, 608 F.2d 879,
883 n.6, 203 USPQ 971, 974 n.6 (CCPA 1979)(although
irrelevant to the result, the Office was criticized for
piecemeal examination contrary to §§ 1.104 and 1.105). The
substance of §§ 1.104, 1.105, 1.106, 1.107, and 1.109,
however, will be combined into § 1.104 paragraphs (a)-(e).
The Office will also retain § 1.351 in the rules of
practice, as it has been relied upon as the notice that the
Office will provide concerning changes to the rules of
practice in 37 CFR Part 1. See In re Nielson, 816 F.2d
1567, 1571, 2 USPQ2d 1525, 1527 (Fed. Cir. 1987). Finally,
the Office will retain § 1.181 paragraphs (d), (e), and (g)
to avoid confusing petition practice, and § 1.325 to avoid
confusion as to the requirements for correction of a patent.
The Office, however, will delete §§ 1.101, 1.108, 1.122,
1.184, 1.318, and 1.352 from 37 CFR Part 1. The procedures
set forth in §§ 1.101, 1.122, 1.184 and 1.318 do not provide
meaningful safeguards to applicants (e.g., § 1.101 does not
ensure or give an applicant the right to examination of an
application within any reasonably specific time frame). The
proscription in § 1.108 is simply an administrative
instruction based upon the fact that, unless otherwise
publicly available, abandoned applications do not constitute
prior art under 35 U.S.C. 102 (and thus 103). Finally, as
former § 1.352 included a "whenever required by law"
prerequisite, it provided no independent requirement that
the Office publish proposed rule changes for comment.
Section 1.102: Section 1.102(a) is amended to remove the
requirement that the showing be verified in accordance with
the change to §§ 1.4(d)(2) and 10.18.
No comments were received regarding the proposed change to
§ 1.102.
Section 1.103: Section 1.103(a) is amended by replacement
of "response" with "reply" in accordance with the change to
§ 1.111.
No comments were received regarding the proposed change to
§ 1.103.
Section 1.104: Section 1.104 is amended to include
paragraphs (a) through (e) including the substance of former
§§ 1.104, 1.105, 1.106, 1.107, and 1.109. The re-writing of
§§ 1.104, 1.105, 1.106, 1.107, and 1.109 as § 1.104(a)
through (e) involves no change in substance.
See comment relating to § 1.101.
Section 1.105: Section 1.105 is removed and reserved as the
subject matter was transferred to § 1.104(b).
See comment relating to § 1.101.
Section 1.106: Section 1.106 is removed and reserved as the
subject matter was transferred to § 1.104(c).
See comment relating to § 1.101.
Section 1.107: Section 1.107 is removed and reserved as the
subject matter was transferred to § 1.104(d).
See comment relating to § 1.101.
Section 1.108: Section 1.108 is removed and reserved as
relating to internal Office instructions.
See comment relating to § 1.101.
Section 1.109: Section 1.109 is removed and reserved as the
subject matter was transferred to § 1.104(e).
See comment relating to § 1.101.
Section 1.111: Section 1.111 is amended to consistently
refer to a "reply" to an Office action. The prior section
used the term "response" and "reply" in an inconsistent
manner and created some confusion. Paragraph (b) of § 1.111
is also amended to explicitly recognize that a reply must be
reduced to a writing which must point out the specific
distinctions believed to render the claims, including any
newly presented claims, patentable. It is noted that an
examiner's amendment reducing a telephone interview to
writing would comply with § 1.2.
Comment 44: One comment asked whether pointing out one
distinction is sufficient or must applicant provide an
exhaustive list of all distinctions. Additionally, inquiry
is made as to whether it is sufficient to point out the
impropriety of a rejection under 35 U.S.C. 102 that should
have been a rejection under 35 U.S.C. 103, or must a
rejection under 35 U.S.C. 103 be anticipated and answered.
Response: A distinction should be kept in mind between what
is necessary for a reply to be considered sufficient to
continue prosecution of the application and what will
advance the application to issuance in the most efficient
manner. While pointing out only one distinction, such as
why a rejection under 35 U.S.C. 102 is inappropriate, would
comply with the requirements of § 1.111, advancement of the
prosecution of the application would best be served by
pointing out all possible distinctions, so that if the
argument for one distinction is not persuasive, another may
be. Similarly, anticipation of and argument against a
rejection under 35 U.S.C. 103 where a rejection under
35 U.S.C. 102 should have been made under 35 U.S.C. 103
could possibly prevent making of the rejection under
35 U.S.C. 103 by the examiner and an earlier issuance of the
application thereby preserving patent term under 35 U.S.C.
154 as amended by Pub. L. 103-465.
Comment 45: Three comments pointed to instances where a
reply would not necessarily require that distinctions be
pointed out, such as: (1) where context and arguments
presented make the distinctions clear beyond doubt;
(2) where a prima facie case has not been established or
motivation for modification of a reference is lacking; (3) a
secondary reference is from a nonanalogous art improperly
combined; or (4) no reference has been applied.
Response: The comment has been adopted to the extent that
the paragraph (b) of the rule has been amended to refer to
"any" rather than "the" applied references. Any argument
that would make the distinctions clear beyond doubt would
seem to require identification of the distinctions therein.
Where a reply contains an argument that motivation for a
modification of a reference made by an examiner does not
exist, or that a nonanalogous secondary reference has been
improperly combined, the identification of the claim element
involved and the particular factual basis that makes the
modification or combination relating to that claim element
inappropriate are necessary elements of a reply. That an
applicant considers a rejection, objection, or other
requirement in an Office action to be inappropriate does not
relieve the applicant of the burden under 35 U.S.C. 133 of
prosecuting the application to avoid abandonment.
Comment 46: A comment suggested that the requirement for
supplying claim distinctions for a newly presented claim is
at odds with the Office's burden in the first instance of
explaining any objection or rejection of an applicant's
claim, and that the existing requirement that an applicant
distinctly and specifically point out the errors in the
examiner's action and reply to every ground of objection and
rejection are sufficient without the added language.
Another comment noted that it is believed that the rule
already requires that specific distinctions be supplied and
questions what new requirements are being added by that
additional language.
Response: To the extent that the already existing language
would require that claim distinctions be presented, the
added language is seen to clarify what is required of an
applicant in replying to an Office action and is not seen to
be at odds with the Office's burden in first going forward
with a rejection of the claims. Once a claim is rejected,
there is a duty on applicants under § 1.111 to provide an
appropriate reply as defined therein for applicant to be
entitled to reconsideration or further examination.
Section 1.112: Section 1.112 is amended to remove as
unnecessary the statement that "any amendments after a
second Office action must ordinarily be restricted to the
rejection, objections or requirements made in the office
action" to reflect actual practice, in which amendments
after the second action need not be restricted to the
rejection or the objections or requirements set forth in an
Office action. The heading of § 1.112 is also amended to
add "before final action" to clarify that such
reconsideration does not apply after a final Office action.
No comments were received regarding the proposed change to
§ 1.112.
Section 1.113: Section 1.113(a) is amended to add "by the
examiner" after "examination or consideration," change
"objections to form" to "objections as to form" for clarity,
and replace "response" with "reply" in accordance with the
change to § 1.111.
Section 1.113(b) is amended to change "clearly stating the
reasons therefor" to "clearly stating the reasons in support
thereof" for clarity.
Comment 47: A number of comments argued that first action
final practice should be eliminated without regard to an
amendment to § 1.116 as: (1) 35 U.S.C. 132 does not
authorize first action final practice; and (2) the filing
fee paid in a continuing application should entitle an
applicant to an examination and reexamination in the
continuing application.
Response: The argument that 35 U.S.C. 132 does not
authorize first action final practice has been considered by
the Office and rejected in In re Bogese, 22 USPQ2d 1821
(Comm'r Pat. 1992). Specifically, continuing applications
have historically been considered part of a continuous
proceeding in regard to the prior application. Id. at 1827.
First action final practice denies an applicant the delay
inherent in an additional Office action in a continuation
application, thus compelling the applicant to draft claims
in a continuation application in view of the prosecution
history of the parent application (i.e., the rejections and
prior art of record in the parent application), and thus
make a bona fide effort to define the issues for appeal or
allowance. Id. at 1824-25.
In addition, under the current patent fee structure, a
significant portion of the Office's costs of examining
patent applications is recovered through issue and
maintenance fees. That is, the filing fees required by
35 U.S.C. 41(a)(1)-(4) and § 1.16 for an application do not
cover the Office's full costs of examining that application
pursuant to 35 U.S.C. 131 and 132. Therefore, the argument
that first action final practice is inherently unfair in
view of the filing fees paid by the applicant fails to
appreciate the current patent fee structure.
Due to the overwhelming opposition to the proposed changes
to § 1.116 to simplify after final practice, the proposed
change to § 1.113 to eliminate first action final practice
and the proposed changes to § 1.116 to simplify after final
practice are not adopted in this Final Rule. The Office
will give further consideration to the elimination of first
action final practice.
Comment 48: One comment suggested that § 1.113 should be
clarified to reflect the intent of the rule change that a
first action final rejection not issue in a continuation
application.
Response: The proposed change to § 1.113 to prohibit a
first action final rejection is not being adopted.
Section 1.115: Section 1.115 has been removed and reserved,
rather than amended to contain the material of former
§§ 1.117 through 1.118, 1.123 and 1.124. The subject matter
proposed to be included in § 1.115 has been transferred to
§ 1.121. The change does not constitute a change in
substance; the material of the deleted sections has simply
been rearranged and edited for clarity and contextual
purposes in § 1.121. The reference in § 1.115(b)(2)
relating to the rejection of claims containing new matter
has not been retained in § 1.121 as unnecessary.
Comment 49: One comment recognizing that the subject matter
of § 1.118 is transferred to § 1.115 (now § 1.121) noted
that the particular material of the second and third
sentences of paragraph (a) of § 1.118(a) was not so
transferred and should be.
Response: While the exact language of the second and third
sentences of paragraph (a) of § 1.118 was not transferred to
1.121 (§ 1.115 as originally proposed), the concept is
retained in § 1.121, paragraphs (a)(6), (b)(5), and (c)(1),
in condensed form.
Comment 50: One comment objected to the requirement of
paragraph (d) of § 1.115 (now § 1.121) where a disclosure
must be amended to secure correspondence between the claims,
the specification and the drawings. Forcing the
specification to parrot the language of new claims, where
only new claims originally use a term not found in the
original disclosure and in the original claims, is said to
impose an undue burden on applicant and jeopardize the
validity of all the claims if the new term is found to be
new matter.
Response: The comment does not explain why a specification
containing a later added expression subsequently found to
contain new matter will adversely affect claims that do not
contain that expression, particularly if a portion of the
specification is retained that provides support for claims
not containing that expression. Additionally, the
requirement being criticized is not a new requirement but
was material transferred from § 1.117. However, the comment
was adopted in-part in that § 1.121, paragraphs (a)(5) and
(b)(4), require only "substantial correspondence" between
the claims, the remainder of the specification, and the
drawings.
Comment 51: One comment suggested that the term "sketch" in
paragraph (e) of § 1.115 (now § 1.121) be broadened to
"drawing."
Response: Sections 1.121(a)(3)(ii) and 1.121(b)(3)(ii)
recite sketch, which has been interpreted by the Office to
include a copy. The use of sketch is seen to be the broader
term in allowing a handwritten alteration of a copy of the
previously submitted drawing to be done without the need for
a color copy being obtained.
Comment 52: One comment suggested that paragraph (f) of
§ 1.115 (now § 1.121), requiring no interlineations to
appear in a clause as finally presented, is inconsistent
with the requirements of § 1.121 requiring brackets and
underlining of the subject matter deleted and added.
Response: The comment was adopted by clarifying
§ 1.121(a)(iii) as adopted by reciting that the
interlineation prohibition relates to previous amendments
being depicted in a subsequent amendment, and to limit its
applicability to applications other than reissue
applications (thereby also excluding reexamination
proceedings) in that all changes from the patent are
required to be shown in reissue applications and
reexamination proceedings.
Section 1.116: Section 1.116 is amended by adding the
phrase "or appeal" to its heading. This change clarifies
the current practice that paragraphs (b) and (c) apply to
amendments filed after an appeal, regardless of whether the
application was subject to a final rejection prior to the
appeal.
Section 1.116(a) is also amended for clarity to limit
amendments after a final rejection or other final action
(§ 1.113) to those amendments cancelling claims or complying
with any requirement of form set forth in a previous Office
action, and replaces the phrase "any proceedings relative
thereto" with "any related proceedings" for clarity. The
amendment does not represent a change in practice under
§ 1.116(a) as was originally proposed, but merely a
clarification of when an applicant is entitled to entry of
an amendment under § 1.116(a).
Comment 53: Almost every comment relating to the proposed
change to § 1.116 to limit entry of amendments after a final
Office action based on simplification of issues for appeal
opposed the change. The various rationales included: (1) a
liberal practice by examiners in entering amendments after
final rejection based on a willingness to engage in
significant negotiations after final rejection; (2) an
increased burden on the Board of Patent Appeals and
Interferences (Board); (3) a loss of potential patent term
under 35 U.S.C. 154 if refiling an application was routinely
required; (4) a loss of clarity by applicant and the
examiner of the issues involved, in that it is frequently
only after the second action that the issues become
clarified, particularly as counsel are not aware of the art
that may actually be applied against the claims and
therefore do not submit claims that can read over such art;
(5) to the extent the need to enter amendments causes
refiling of an application, greater resources from the
Office are required as opposed to simply entering the
amendment in the prior application; (6) there will be an
increase in the requests for interviews after first action;
(7) the change represents encouragement for examiners to cut
down on papers entered particularly in view of the crediting
system; and (8) the proposal is not helpful to applicant and
is only a revenue generator.
Several alternative suggestions were made including: (1) a
fee to have amendments after final entered as a matter of
right; (2) discretion for examiners to enter any amendment
should be explicitly stated in the rule; (3) consider
substantive amendments if submitted at least one month in
advance of the end of the reply period; (4) eliminate
applicant's concern for expedited handling of § 1.116
amendments by having a new period for appealing or refiling;
(5) entry of amendment to solely correct rejections under
35 U.S.C. 112, ¶2, should be permitted; (6) first after
final submission permitted entry under simplification of
issues standard and any subsequent submission would only be
permitted under standard as proposed without simplification
of issues available; (7) merging of a dependent claim into
an independent claim ought to be explicitly permitted as a
matter of right; (8) provide a standard of entry dependent
upon good and sufficient reason as to why the amendment
after final was not made earlier; (9) permit consideration
of the amendment for allowable subject matter to save
applicant cost of refiling for such determination; and
(10) change should be linked with a prohibition on applying
a new reference in a final rejection.
Response: In view of the issues raised and the alternative
suggestions presented, it has been determined that further
study is required. The comments have been adopted solely to
the extent that the proposed change to delete simplification
of issues for purpose of appeal, as a basis for entry of an
amendment after final rejection, will not be implemented at
this time.
Section 1.117: Section 1.117 is removed and reserved as the
subject matter was transferred to § 1.121.
No comments were received regarding the proposed change to
§ 1.117.
Section 1.118: Section 1.118 is removed and reserved and
its subject matter transferred to § 1.121.
See first comment related to § 1.115.
Section 1.119: Section 1.119 is removed and reserved as
duplicative of the provisions of §§ 1.111 and 1.121.
No comments were received regarding the proposed change to
§ 1.119.
Section 1.121: Section 1.121, paragraphs (a) through (f),
are replaced with paragraphs (a) through (c), which
separately treat amendments in non-reissue nonprovisional
applications (paragraph (a)), amendments in reissue
applications (paragraph (b)), and amendments in
reexamination proceedings (paragraph (c)). The intent of
the changes is to retain amendment practice in regard to
non-reissue applications prior to the changes proposed in
the Notice of Proposed Rulemaking and to make final the
changes in amendment practice in regard to reissue
applications proposed in the Notice of Proposed Rulemaking,
except for requiring copies of all claims as of the date of
submission of an amendment and a constructive cancellation
in their absence. Additionally, while retaining the
previous amendment practice in non-reissue applications, the
regulations have been clarified by deletion of §§ 1.115,
1.117 through 1.118, 1.123, and 1.124 and placement of
subject matter thereof in § 1.121.
Comment 54: Most comments received on the proposed change
in amendment practice as it relates to non-reissue
applications to bring it into line with reissue and
reexamination amendment practices were very negative. In
particular, the proposed changes to present a complete copy
of the claims when any amendment to the claims is made, and
to hold a constructive cancellation for any claim copy not
presented were alarming. However, similar comments were not
received in regard to the proposed changes to bring reissue
and reexamination practice closer together.
Response: The comments were adopted in that the proposed
changes, other than clarifications of current practice, will
not be implemented now and further study will be undertaken
to include suggestions presented in regard to this rule.
Comment 55: Several comments offered suggestions and
requested clarifications: (1) whether this was an attempt
to push the practice closer to PCT where substitute pages
are used; (2) use of different markings such as strikeouts
of word processors; (3) only require complete copy of claims
at issue; (4) only have a status listing of all claims not
complete copy with each response; (5) continuations or
divisions should be filed showing markups; (6) require only
that new claims pages be substituted; (7) objection to the
submission of a separate complete set of claims in addition
to the amendments being made; (8) some instances separate
set may be appropriate and not too much of a burden; and
(9) there should be exception, liberal reinstatement, or
rebuttable presumption for constructive cancellation if
clerical omission.
Response: Paragraphs (a) and (b) of § 1.121 each separately
treat amendment of the specification (paragraphs (a)(1) and
(b)(1)), and of the claims (paragraphs (a)(2) and (b)(2)).
In comparing amendment practice to the specification for
non-reissue and reissue applications, all amendments in the
reissue application are to be made relative to (i.e., vis-à-vis) the specification (including the claims) and drawings
of the original patent as of the date of the filing of the
reissue application. Changes are shown using underlining
and bracketing relative to the patent specification. In
addition, the entire paragraph of disclosure with the
changes and the entire claim with the changes must be
presented, in making the amendment. On the other hand,
amendments in a non-reissue application are to be made
relative to prior amendments (with underlining and
bracketing in a reproduced claim reflecting changes made
relative to the prior amendment), and insertions and
deletions can be made without reproducing the entire
paragraph of disclosure or the entire claim. Further (for a
non-reissue application), in amending the text of the
disclosure other than the claims, changes are not shown by
underlining and bracketing, even where a paragraph of
disclosure is reproduced.
Paragraph (a) of § 1.121 relates to amendments in non-provisional applications, other than reissue applications,
and retains a reference to § 1.52. Paragraph (a)(1) relates
to the manner of making amendments in the specification,
other than in the claims. Paragraph (a)(1)(i) requires the
precise point in the specification to be indicated where an
addition is to be inserted. Paragraph (a)(1)(ii) requires
the precise point in the specification to be indicated where
a deletion is to be made. This should be compared to
addition or cancellation of material from the patent
specification in a reissue application (paragraph
(b)(1)(ii)) or in a reexamination proceeding
(§ 1.530(d)(1)(ii), e.g., by way of a copy of the rewritten
material). An amendment containing deletions mixed with
additions will be treated according to both paragraphs
(a)(1)(i) and (a)(1)(ii). Amendments to the specification,
additions or deletions, do not require markings, only
identification of an insertion point. However, where the
changes made are not readily apparent the applicant may be
requested by the examiner to provide an explanation of the
changes or a marked up copy showing the changes made.
Paragraph (a)(1)(iii) provides that to reinstate matter
previously deleted it must be reinstated by a new amendment
inserting the matter.
Paragraph (a)(2) of § 1.121 relates to the manner of making amendments in the claims of a non-reissue application.
Paragraph (a)(2)(i) permits amendment by instructions to the
Office for a deletion, paragraph (a)(2)(i)(A), or for an
addition limited to five words in any one claim, paragraph
(a)(2)(i)(B). The ability to provide directions to the
Office for the handwritten deletion of five words or less
for each claim does not encompass deletion of equations,
charts or other non-word material. Paragraph (a)(2)(ii)
sets forth that a claim may be amended by a direction to
cancel the claim, or by rewriting the claim with markings
showing material to be added and deleted. Additionally,
previously rewritten claims are required to be so marked and
not to have interlineations showing amendment(s) previous to
the one currently being submitted.
Paragraph (a)(3) of § 1.121 clarifies that amendments to the
original application drawings for non-reissue applications
are not permitted and are to be made by way of a substitute
sheet for each original drawing sheet that is to be amended.
The paragraph contains material from cancelled § 1.115.
Paragraph (a)(4) of § 1.121 requires that any amendment
presented in a substitute specification must be presented
under the provision of this section either prior to or
concurrent with the submission of the substitute
specification. The paragraph contains material from
cancelled § 1.115.
Paragraph (a)(5) of § 1.121 requires amendment of the
disclosure in certain situations (i.e., to correct
inaccuracies of description and definition) and to secure
substantial correspondence. The paragraph contains material
from cancelled § 1.117. The previous requirement for
"correspondence" has been modified by use of "substantial
correspondence." See comments to § 1.115.
Paragraph (a)(6) prohibits the introduction of new matter
into the disclosure of a non-reissue, non-provisional
application.
Paragraph (b) of § 1.121 applies to amendments in reissue
applications. Paragraph (b)(1) of § 1.121 relates to the
manner of making amendments to the specification, other than
in the claims, in reissue applications. Paragraph (b)(1)(i)
requires that amendments including deletions be made by
submission of a copy of one or more newly added or rewritten
paragraphs with markings, except that an entire paragraph
may be deleted by a statement deleting the paragraph without
presentation of the text of the paragraph. Paragraph
(b)(1)(ii) requires indication of the precise point in the
specification where the paragraph which is being amended is
located. When a change in one sentence, paragraph or page
results in only format changes to other pages (e.g.,
shifting of non-amended text to subsequent pages) not
otherwise being amended, such format changes are not to be
submitted. Compare to amendments to the specification,
other than in the claims, of non-reissue applications
wherein deletions are permitted, paragraph (a)(1)(ii) of
this section. Paragraph (b)(1)(iii) defines the marking set
forth in paragraph (b)(1)(ii) of this section. Proposed
paragraph (b)(1)(iii), relating to a requirement for
submission of all amendments be presented when any amendment
to the specification is made, was not implemented.
Paragraph (b)(2) of § 1.121 relates to the manner of making
amendments to the claims in reissue applications. Paragraph
(b)(2)(i)(A) of § 1.121 requires the entire text of each
patent claim that is being amended by the current amendment
and of each claim being added by the current amendment.
Requests that the Office hand-enter changes of five or less
words, former § 1.121(c)(2), will no longer be permitted.
Pending claims, whether previously amended or not, that are
not being amended by the current amendment are not to be
resubmitted. This procedure is different from
§ 1.121(a)(2)(i)(B), which permits requests that the Office
hand-enter changes of five or less words in a non-reissue
application. Additionally, provision is made for the
cancellation of a patent claim by a direction to cancel
without the need for marking by brackets. Paragraph
(b)(2)(i)(B) requires that patent claims not be renumbered.
Paragraph (b)(2)(i)(C) identifies the type of marking
required by paragraph (b)(2)(i)(A), single underlining for
added material and single brackets for material deleted.
Paragraph (b)(2)(ii) of § 1.121 requires that each amendment
submission set forth the status (i.e., pending or cancelled)
of all patent claims and all added claims as of the date of
the submission, as not all claims (non-amended claims) are
to be presented with each submission, paragraph (b)(2)(iv).
The absence of submission of the claim status would result
in an incomplete reply (§ 1.135(c)).
Paragraph (b)(2)(iii) of § 1.121 requires that each claim
amendment be accompanied by an explanation of the support in
the disclosure of the patent for the amendment. The absence
of an explanation would result in an incomplete reply
(§ 1.135(c)).
Comment 56: One comment requested that the Office clarify
how an applicant would satisfy this requirement when the
amendment involves a simple editorial change, or when the
amendment uses terms that find no explicit support in the
patent.
Response: When it is clear that the amendment simply
involves an editorial change and does not add material for
which support in the disclosure is required, the reply may
simply explain that the amendment is merely making an
editorial change. When the amendment uses terms that find
no explicit support in the specification, the reply must set
forth where the specification provides, at least implicitly,
support for the amendment as required by 35 U.S.C. 112, ¶1.
In addition, an amendment to the specification to secure
correspondence between the specification and the claims will
also be required. See § 1.75(d)(1) and MPEP 608.01(o).
Obviously, an amendment that does not find either explicit
or at least implicit support in the specification as
required by 35 U.S.C. 112, ¶1, is not permitted.
See 35 U.S.C. 251, ¶1, (last sentence).
Proposed paragraphs (b)(2)(iv) and (v) of this section,
relating to a requirement for presentation of all amendments
as of the date any amendment to the claims is made, and to
the treatment of the failure to submit a copy of any added
claim as a direction to cancel that claim, were not
implemented.
Paragraph (b)(3) of § 1.121 clarifies that amendments to the
patent drawings are not permitted and that any change must
be by way of a new sheet of drawings with the amended
figures being identified as "amended" and with added figures
identified as "new" for each sheet that has changed. The
paragraph contains material from cancelled § 1.115.
Paragraph (b)(4) of § 1.121, added in view of the deletion
of § 1.115 paragraph (d), requires amendment of the
disclosure in certain situations (i.e., to correct
inaccuracies of description and definition) and to secure
substantial correspondence between the claims, the remainder
of the specification, and the drawings. The previous
requirement for "correspondence" has been modified by use of
"substantial correspondence." See comments to § 1.115.
Paragraph (b)(5) of § 1.121, containing material transferred
from proposed paragraph (b)(2)(vi) (now deleted), clarifies
that: (1) No reissue patent will be granted enlarging the
scope of the claims unless applied for within two years from
the grant of the original patent (additional broadening
outside the two-year limit is appropriate as long as some
broadening occurred within the two-year period, In re Doll,
419 F.2d 925, 164 USPQ 218 (CCPA 1970)); and (2) no
amendment may introduce new matter or be made in an expired
patent.
Paragraph (b)(6) of § 1.121 has been added to clarify that
all amendments must be made relative to (i.e., vis-à-vis)
the specification (including the claims) and drawings of the
original patent as of the date of the filing of the reissue
application. If there was a prior change to the patent
(made via a prior reexamination certificate, reissue of the
patent, certificate of correction, etc.), the first
amendment must be made relative to the patent specification
as changed by the prior proceeding or other mechanism for
changing the patent. In addition, all amendments subsequent
to the first amendment must be made relative to the patent
specification in effect as of the date of the filing of the
reissue application, and not relative to the prior
amendment.
Paragraph (c) of § 1.121 clarifies that amendments in
reexamination proceedings are to be made in accordance with
§ 1.530(d).
Section 1.121 as applied to reissue applications does not
provide for replacement pages whereby a new page would be
physically substituted for a currently existing page.
However, an applicant can direct that a page or pages
("Page(s) ______") be cancelled and that updated materials
be inserted in its place.
The wide availability of word processing should enable
applicants to more easily submit updated material providing
greater accuracy and thereby eliminating the need for the
Office to hand-enter amendments. To that end, § 1.125 is
amended to reflect current practice that a substitute
specification may be submitted in an application, other than
a reissue application, at any point up to payment of the
issue fee as a matter of right, provided that such
substitute specification is submitted in compliance with the
requirements set forth in § 1.125.
Section 1.122: Section 1.122 is removed and reserved as
representing internal Office instruction.
See comments related to § 1.101.
Section 1.123: Section 1.123 is removed and reserved and
its subject matter transferred to § 1.121 for better
context.
No comments were received regarding the proposed change to
§ 1.123.
Section 1.124: Section 1.124 is removed and reserved and
its subject matter transferred to § 1.121 for better
context.
No comments were received regarding the proposed change to
§ 1.124.
Section 1.125: Section 1.125 is amended by addition of
paragraphs (a) through (d). Section 1.125(a) retains the
current practice that a substitute specification may be
required by the examiner and has been clarified to note that
if the legibility of the application papers shall render it
difficult to consider the application, the Office may
require a substitute specification.
Section 1.125 is amended in view of the continued
prosecution application under § 1.53(d), to reflect the
current liberalized practice as set forth in MPEP 608.01(q),
and to delete the verification requirement for the no new
matter statement. See comments to § 1.4(d).
Section 1.125(b) specifically provides for the filing of a
substitute specification, excluding the claims, at any point
up to payment of the issue fee, if it is accompanied by:
(1) a statement that the substitute specification includes
no new matter; and (2) a marked-up copy of the substitute
specification showing the matter being added to and the
matter being deleted from the specification of record (i.e.,
the specification to be replaced by the substitute
specification). While § 1.125(b)(2) requires the marked-up
copy show the additions and deletions, it does not require
that such additions and deletions be shown by underlining
and bracketing. Rather, it permits the use of other indicia
(e.g., redlining and strikeouts) to show additions and
deletions so that the document-compare feature of
conventional word-processing programs can be used to produce
the marked-up substitute specification.
Section 1.125(b), as proposed, would have required that a
substitute specification contain only changes that were
previously or concurrently submitted by an amendment under
§ 1.121. The Office, however, is not adopting this
proposal. Creating a copy of the substitute specification
showing the additions and deletions is relatively easy using
the document-compare feature of a conventional word-processing program, when compared to the burden of preparing
an amendment under § 1.121(a)(1) showing numerous changes to
a specification. Thus, the Office is adopting the
requirement currently set forth in MPEP 608.01(q) for a
marked-up copy of the substitute specification showing the
additions and deletions.
Comment 57: One comment stated that it is not clear exactly
what is to be submitted with the substitute specification
under paragraph (b)(2) of this section even though paragraph
(c) requires it to be in clean form without markings.
Response: Section 1.125 requires an applicant filing a
substitute specification to submit: (1) the substitute
specification in clean form without markings (§ 1.125(c));
(2) a marked-up copy showing the additions and deletions
relative to the specification it is replacing
(§ 1.125(b)(2)); and (3) a statement that the substitute
specification includes no new matter (§ 1.125(b)(1)).
Section 1.125(c) is amended to clarify that a substitute
specification is to be submitted without markings as to
amended material.
Section 1.125(d) does not permit a substitute specification
in reissue or reexamination proceedings as markings for
changes from the patent are required therein.
Section 1.126: Section 1.126 is amended to delete the
phrase ", except when presented in accordance with
§ 1.121(b)" for consistency with the change to § 1.121.
No comments were received regarding § 1.126.
Section 1.133: Section 1.133(b) is amended by replacement
of "response" with "reply" in accordance with the change to
§ 1.111.
No comments were received regarding the proposed change to
§ 1.133.
Section 1.134: Section 1.134 is amended by replacement of
"response" with "reply" in accordance with the change to § 1.111.
No comments were received regarding the proposed change to
§ 1.134.
Section 1.135: Section 1.135 paragraphs (a) and (c) are
amended by replacement of "response" with "reply" in
accordance with the change to § 1.111. Section 1.135(b) is
amended to clarify that the admission of or refusal to admit
any amendment after final rejection, and not just an
amendment not responsive to the last Office action, shall
not operate to save the application from abandonment.
Section 1.135(c) is amended to provide that a new "time
period" under § 1.134 may be given if a reply to a non-final
Office action is substantially complete but consideration of
some matter or compliance with some requirement has been
inadvertently omitted. This replaces the practice in which
an applicant may be given an opportunity to supply the
omission through the setting of a "time limit" of one month
that is not extendable. Under § 1.135(c) as adopted, a one-month shortened statutory time period will generally be set
enabling an applicant to petition for extensions of time
under § 1.136(a). Where 35 U.S.C. 133 requires a period
longer than one month (i.e., actions mailed in the month of
February), a shortened statutory period of 30 days will be
set.
The setting of a time period for reply under § 1.134 (rather
than a time limit) results in the date of abandonment (when
no further reply is filed) being the expiration of the new
time period rather than the date of expiration of the period
of reply set in the original Office action for which an
incomplete reply was filed. Thus, the amendment to
§ 1.135(c) permits the filing of a continuing application as
an alternative to completing the reply, whereas the previous
practice required an applicant to complete the reply that
was held to be incomplete or else the application was held
to be abandoned (retroactively) as of the expiration of the
original period for reply. Thus, applicants had to file an
unnecessary reply to preserve pendency where their only
intent was to file a continuing application. Section
1.135(c), as amended, sets forth a new period within which a
continuing application can be filed, without the applicant
having to supply the omission in the prior application to
preserve pendency. In addition, applicant may file any
other reply as may be appropriate under § 1.111, regardless
of whether a continuing application is filed.
Comment 58: Two comments objected to the change on the
basis that it is subject to intentional misuse. It is
argued that it encourages an applicant to send in piecemeal
replies and permits use of the time period as a subterfuge
for extending prosecution as § 1.135(c) does not specify how
many times an incomplete reply can be given.
Response: 35 U.S.C. 154 as amended by Pub. L. 103-465
should provide the necessary incentive for applicants to
prosecute an application without undue delay. Additionally,
the examiner can determine that the failure to provide a
complete reply was not "inadvertent" (especially where an
applicant was previously notified of the deficiencies in the
reply), and not set a period under § 1.135(c).
Comment 59: One comment suggested amending § 1.135(c) from
"may" to "shall" so that an examiner must provide an
opportunity to an applicant to complete a reply, and that
§ 1.135(c) should not be limited to replies to non-final
Office actions so that if an application is in condition for
allowance except for an inadvertent omission it would be
beneficial for all parties to provide the same benefit as
for non-final actions.
Response: The term "may" is used rather than "shall" to
encourage applicants to provide a complete reply, in that an
applicant providing an incomplete reply cannot be certain of
being provided with an additional time period to prosecute
the application.
Section 1.113(a) provides that the only reply to a final
Office action effective to avoid abandonment of an
application is: (1) an amendment under § 1.116 that prima
facie places the application in condition for allowance; or
(2) a notice of appeal (and appeal fee) under § 1.191.
Thus, the only reply under § 1.113(a) that will ensure that
abandonment of the application will be avoided is: (1) an
amendment under § 1.116 that cancels all of the rejected
claims; or (2) a notice of appeal (and appeal fee) under
§ 1.191 (§ 1.113(a)). That is, an applicant filing a
proposed amendment under § 1.116 or arguments in reply to a
final Office action has no assurance that such reply will
necessarily result in allowance of the application. Given
the limited nature of the replies under § 1.113 to a final
Office action, it is not appropriate to provide a time
period under § 1.135(c) to complete a reply to a final
Office action.
Section 1.135(c) is also amended to remove an unnecessary
reference to consideration of the question of abandonment
and to clarify that the reply for which applicant may be
given a new time period to reply to must be a "non-final"
Office action.
Section 1.136: Section 1.136(a)(1) is amended to recite the
availability of a maximum of five rather than four months as
an extension of time, subject to any maximum period for
reply set by statute. For example, when a one-month or 30-day period is set for reply to a restriction requirement or
for completing a reply under §1.135(c), that period may be
extended up to the six-month statutory (35 U.S.C. 133)
maximum. In addition, as the two-month period set in
§ 1.192(a) for filing an appeal brief is not subject to the
six-month maximum period specified in 35 U.S.C. 133, the
period for filing an appeal brief may be extended up to
seven months.
Comment 60: At least one comment noted that there is no
statutory authority under 35 U.S.C. 41(a)(8)(C) for the
$2,010 amount set for the fifth month extension of time.
Response: See the response to comment 5.
Section 1.136(a)(1) is also amended by replacement of
"respond" with "reply" in accordance with the change to
§ 1.111 and for clarification.
Section 1.136(a)(2) is amended by replacement of "respond"
with "reply" in accordance with the change to § 1.111 and
other clarification changes.
Comment 61: One comment questioned whether the addition in
paragraph (a)(2) of § 1.136 that requires a reply to be
filed prior to the expiration of the period of extension to
avoid abandonment of the application will affect the timely
filing of a reply under §§ 1.8 or 1.10 where the mail date
rather than the receipt date is the end of the period for
reply.
Response: The referred to addition has been noted to be a
clarification and not a change in practice. The added
language does not change current practice under §§ 1.8 and
1.10.
Section 1.136 is amended by addition of paragraph (a)(3)
that provides for the filing in an application a general
authorization to treat any reply requiring a petition for an
extension of time for its timely submission as containing a
request therefor for the appropriate length of time. The
authorization may be filed at any time prior to or with the
submission of a reply that would require an extension of
time for its timely submission, including submission with
the application papers. Previously, the mere presence of a
general authorization, submitted prior to or with a reply
requiring an extension of time, to charge all required fees
does not amount to a petition for an extension of time for
that reply (MPEP 201.06 and 714.17) and under the proposed
amended rule the submission of a reply requiring an
extension of time for its timely submission would not be
treated as an inherent petition for an extension of time
absent an authorization for all necessary extensions of
time. The Office will continue to treat all petitions for
an extension of time as requesting the appropriate extension
period notwithstanding an inadvertent reference to a shorter
period for extension and will liberally interpret comparable
papers as petitions for an extension of time. Applicants
are advised to file general authorizations for payment of
fees and petitions for extensions of time as separate papers
rather than as sentences buried in papers directed to other
matters (such as an application transmittal letter). The
use of individual papers directed only to an extension of
time or to a general authorization for payment of fees would
permit the Office to more readily identify the presence of
such items and list them individually on the application
file jacket, thus facilitating future identification of
these authorizations.
Comment 62: Two comments requested that it be clarified
whether the reference to submission of a paper with an
authorization is to be construed as allowing for submission
of a standard sentence in a general reply to an Office
action that includes a check box on an application
transmittal form.
Response: The comments have been adopted and the proposed
language of paragraph (a)(3) of § 1.136 modified to replace
the reference to "paper" with "written request."
Section 1.136(a)(3) is additionally amended to provide that
general authorizations to charge fees are effective to meet
not only the requirement for the extension of time fee for
replies filed concurrent or subsequent to the authorization
but also represent a constructive petition for an extension
of time, which is a change from current practice wherein a
general authorization to charge additional fees does not
represent a petition for an extension of time, which
petition must be separately requested.
Section 1.136(a)(3) also includes the sentence "[s]ubmission
of the fee set forth in § 1.17(a) will also be treated as a
constructive petition for an extension of time in any
concurrent reply requiring a petition for an extension of
time under this paragraph for its timely submission." This
provides for those instances in which an applicant files a
reply with a check (or other means of payment under § 1.23)
for the requisite fee under § 1.17(a)(1) through (5) for the
petition under § 1.136(a) required to render such reply
timely, but omits a request (i.e., a petition) for an
extension of time under § 1.136(a). In such instances, the
mere submission of the appropriate fee will be treated as a
constructive petition for the extension of time to render
the reply timely.
Section 1.136(b) is amended for clarity and to replace the
phrase "response" with the phrase "reply" for consistency
with § 1.111.
Section 1.137: Section 1.137 is amended to, inter alia,
incorporate revival of abandoned applications and lapsed
patents for the failure: (1) to timely reply to an Office
requirement in a provisional application (§ 1.139); (2) to
timely pay the issue fee for a design application (§ 1.155);
(3) to timely pay the issue fee for a utility or plant
application (§ 1.316); or (4) to timely pay any outstanding
balance of the issue fee (§ 1.317) (lapsed patents).
Section 1.137(a) is amended to provide: (1) that it is the
paragraph that applies to petitions under the "unavoidable"
standard; (2) that "where the delay in reply was
unavoidable, a petition may be filed to revive an abandoned
application or a lapsed patent pursuant to [§ 1.137(a)]";
and (3) the requirements for a grantable petition pursuant
to § 1.137(a) in paragraphs (a)(1) through (a)(4).
Section 1.137(a)(1) (and § 1.137(b)(1)) are amended to
provide that a grantable petition pursuant to § 1.137(a)
must be accompanied by "[t]he required reply, unless
previously filed." Section 1.137(a)(1) (and § 1.137(b)(1))
is amended to further provide that "[i]n a nonprovisional
application abandoned for failure to prosecute, the required
reply may be met by the filing of a continuing application"
and that "[i]n an application or patent, abandoned or lapsed
for failure to pay the issue fee or any portion thereof, the
required reply must be the payment of the issue fee or any
outstanding balance thereof."
Under § 1.137(a)(1) (and § 1.137(b)(1)), a continuing
application is a permissive (i.e., "may be met") reply in a
nonprovisional application abandoned for failure to
prosecute, in that an applicant in a nonprovisional
application abandoned for failure to prosecute may file a
reply under § 1.111 to a non-final Office action or a reply
under § 1.113 (e.g., notice of appeal) to a final Office
action, or may simply file a continuing application as the
required reply. The Office, however, may require a
continuing application (or request for further examination
pursuant to § 1.129(a)) to meet the reply requirement of
§ 1.137(a)(1) (or § 1.137(b)(1)) where, under the
circumstances of the application, treating a reply under
§§ 1.111 or 1.113 would place an inordinate burden on the
Office. Exemplary circumstances of when treating a reply
under §§ 1.111 or 1.113 may place an inordinate burden on
the Office are: (1) an application abandoned for an
inordinate period of time; (2) the application file
containing multiple or conflicting replies to the last
Office action; and (3) the submission of a reply or replies
under § 1.137(a)(1) (or § 1.137(b)(1)) that are questionable
as to compliance with §§ 1.111 or 1.113.
While the revival of applications abandoned for failure to
timely prosecute and for failure to timely pay the issue fee
are incorporated together in § 1.137, the statutory
provisions for the revival of an application abandoned for
failure to timely prosecute and for failure to timely submit
the issue fee are mutually exclusive. See Brenner v.
Ebbert, 398 F.2d 762, 157 USPQ 609 (D.C. Cir.), cert. denied
393 U.S. 926, 159 USPQ 799 (1968). 35 U.S.C. 151 authorizes
the acceptance of a delayed payment of the issue fee, if the
issue fee "is submitted ... and the delay in payment is
shown to have been unavoidable." 35 U.S.C. 41(a)(7)
likewise authorizes the acceptance of an "unintentionally
delayed payment of the fee for issuing each patent." Thus,
35 U.S.C. 41(a)(7) and 151 each require payment of the issue
fee as a condition of reviving an application abandoned or
patent lapsed for failure to pay the issue fee. Therefore,
the filing of a continuing application without payment of
the issue fee or any outstanding balance thereof is not an
acceptable proposed reply in an application abandoned or
patent lapsed for failure to pay the issue fee or any
portion thereof.
The Notice of Allowance requires the timely payment of the
issue fee in effect on the date of its mailing to avoid
abandonment of the application. In instances in which there
is an increase in the issue fee by the time of payment of
the issue fee required in the Notice of Allowance, the
Office will mail a notice requiring payment of the balance
of the issue fee then in effect. See In re Mills, 12 USPQ2d
1847 (Comm'r Pat. 1989). The phrase "for failure to pay the
issue fee or any portion thereof" applies to those instances
in which the applicant fails to pay either the issue fee
required in the Notice of Allowance or the balance of the
issue fee required in a subsequent notice. In such
instances, the proposed reply must be the issue fee then in
effect, if no portion of the issue fee was previously
submitted, or any outstanding balance of the issue fee then
in effect, if a portion of the issue fee was previously
submitted.
These changes to § 1.137(a)(1) (and § 1.137(b)(1)) are
necessary to incorporate into § 1.137 the revival of
abandoned applications and lapsed patents for the failure
to: (1) timely reply to an Office requirement in a
provisional application (§ 1.139), (2) timely pay the issue
fee (§§ 1.155 and 1.316), or (3) timely pay any outstanding
balance of the issue fee (§ 1.317).
Section 1.137(a)(3) is amended to provide that a grantable
petition pursuant to § 1.137(a) must be accompanied by "[a]
showing to the satisfaction of the Commissioner that the
entire delay in filing the required reply from the due date
for the reply until the filing of a grantable petition
pursuant to this paragraph was unavoidable."
Section 1.137(a) deletes the requirement that a petition thereunder be "promptly filed after the applicant is notified of, or otherwise becomes aware of, the abandonment." The genesis of the "promptly filed" requirement in § 1.137(a) is the legislative history of Pub. L. 97-247, § 3, 96 Stat. 317 (1982) (which provides for the revival of an "unintentionally" abandoned application), which provides, inter alia, that:
In order to prevent abuse and injury to the
public the Commissioner could require a terminal
disclaimer equivalent to the period of abandonment
and could require applicants to act promptly after
becoming aware of the abandonment.
See H.R. Rep. No. 542, 97th Cong., 2d Sess. 7 (1982),
reprinted in 1982 U.S.C.C.A.N. 771 (emphasis added).
Nevertheless, 35 U.S.C. 133 and 151 each require a showing
that the "delay" was "unavoidable," which requires not only
a showing that the delay which resulted in the abandonment
of the application was unavoidable, but also a showing of
unavoidable delay until the filing of a petition to revive.
See In re Application of Takao, 17 USPQ2d 1155 (Comm'r Pat.
1990). The burden of continuing the process of presenting a
grantable petition in a timely manner likewise remains with
the applicant until the applicant is informed that the
petition is granted. Id. Thus, an applicant seeking to
revive an "unavoidably" abandoned application must cause a
petition under § 1.137(a) to be filed without delay (i.e.,
promptly upon becoming notified, or otherwise becoming
aware, of the abandonment of the application).
An applicant who fails to file a petition under § 1.137(a)
"promptly" upon becoming notified, or otherwise becoming
aware, of the abandonment of the application will not be
able to show that "the entire delay in filing the required
reply from the due date for the reply until the filing of a
grantable petition pursuant to [§ 1.137(a)] was
unavoidable." The removal of the language in § 1.137(a)
requiring that any petition thereunder be "promptly filed
after the applicant is notified of, or otherwise becomes
aware of, the abandonment" should not be viewed as:
(1) permitting an applicant, upon becoming notified, or
otherwise becoming aware, of the abandonment of the
application, to delay the filing of a petition under
§ 1.137(a); or (2) changing (or modifying) the result in In
re Application of S, 8 USPQ2d 1630 (Comm'r Pat. 1988), in
which a petition under § 1.137(a) was denied due to the
applicant's deliberate deferral in filing a petition under
§ 1.137. An applicant who deliberately chooses to delay the
filing of a petition under § 1.137 (as in Application of S)
will not be able to show that "the entire delay in filing
the required reply from the due date for the reply until the
filing of a grantable petition pursuant to [§ 1.137(a)] was
unavoidable" or even make an appropriate statement that "the
entire delay in filing the required reply from the due date
for the reply until the filing of a grantable petition
pursuant to [§ 1.137(b)] was unintentional."
Therefore, the requirement in § 1.137(a) that a petition
thereunder be "promptly filed after the applicant is
notified of, or otherwise becomes aware of, the abandonment"
is deleted solely because it is considered redundant in
light of the requirement for a showing that the entire delay
in filing the required reply from the due date for the reply
until the filing of a grantable petition pursuant to
§ 1.137(a) was unavoidable.
Section 1.137(a)(3) (and § 1.137(b)(3)) is further amended
to delete the requirement that the showing (statement) must
be a verified showing or statement if made by a person not
registered to practice before the Patent and Trademark
Office. Section 1.56 currently provides that each
individual associated with the filing and prosecution of a
patent application has a duty of candor and good faith.
Sections 1.4(d) and 10.18 are amended to provide that a
signature on a paper submitted to the Office constitutes an
acknowledgment that willful false statements are punishable
under 18 U.S.C. 1001, and may jeopardize the validity of the
application or any patent issuing thereon. Therefore,
requiring additional verification of a showing or statement
under § 1.137 would be redundant. In addition, this
requirement results in delays in the treatment of the merits
of petitions that include unverified statements.
Section 1.137(a)(4) (and § 1.137(b)(4)) are added to provide
that a grantable petition under § 1.137 must be accompanied
by "[a]ny terminal disclaimer (and fee as set forth in
§ 1.20(d)) required pursuant to [§ 1.137(c)]."
Section 1.137(b) is amended to provide: (1) that it is the
paragraph that applies to petitions under the
"unintentional" standard; (2) that "where the delay in reply
was unintentional, a petition may be filed to revive an
abandoned application or a lapsed patent pursuant to
[§ 1.137(b)]"; and (3) the requirements for a grantable
petition pursuant to § 1.137(b) in paragraphs (b)(1) through
(b)(4).
Section 1.137(b)(1) is amended (as discussed supra) to
provide that a grantable petition under § 1.137(b) must be
accompanied by "[t]he required reply, unless previously
filed." Section 1.137(b)(1) is amended to further provide
that "[i]n a nonprovisional application abandoned for
failure to prosecute, the required reply may be met by the
filing of a continuing application" and that "[i]n an
application or patent, abandoned or lapsed for failure to
pay the issue fee or any portion thereof, the required reply
must be the payment of the issue fee or any outstanding
balance thereof."
Section 1.137(b)(3) is amended to provide that a grantable
petition under § 1.137(b) must be accompanied by "[a]
statement that the entire delay in providing the required
reply from the due date for the reply until the filing of a
grantable petition pursuant to this paragraph was
unintentional" and that "[t]he Commissioner may require
additional information where there is a question whether the
delay was unintentional." While the Office will generally
require only the statement that the entire delay in
providing the required reply from the due date for the reply
until the filing of a grantable petition pursuant to
§ 1.137(b) was unintentional, the Office may require an
applicant to carry the burden of proof to establish that the
delay from the due date for the reply until the filing of a
grantable petition was unintentional within the meaning of
35 U.S.C. 41(a)(7) and § 1.137(b) where there is a question
whether the entire delay was unintentional. See In re
Application of G, 11 USPQ2d 1378, 1380 (Comm'r Pat. 1989).
Section 1.137(b)(4) is amended to delete the one-year filing
period requirement. Section 1.137(b)(4) is amended to
provide that a grantable petition under § 1.137 must be
accompanied by "[a]ny terminal disclaimer (and fee as set
forth in § 1.20(d)) required pursuant to [§ 1.137(c)]."
Requirement that the entire delay until the filing of a grantable petition was unavoidable (§ 1.137(a)) or unintentional (§ 1.137(b)):
There are three periods to be considered during the
evaluation of a petition under § 1.137: (1) the delay in
reply that originally resulted in the abandonment; (2) the
delay in filing an initial petition pursuant to § 1.137 to
revive the application; and (3) the delay in filing a
grantable petition pursuant to § 1.137 to revive the
application.
Where the applicant deliberately permits an application to
become abandoned (e.g., due to a conclusion that the claims
are unpatentable, that a rejection in an Office action
cannot be overcome, or that the invention lacks sufficient
commercial value to justify continued prosecution), the
abandonment of such application is considered to be a
deliberately chosen course of action, and the resulting
delay cannot be considered as "unintentional" within the
meaning of § 1.137(b). See Application of G, 11 USPQ2d at
1380. Likewise, where the applicant deliberately chooses
not to seek or persist in seeking the revival of an
abandoned application, or where the applicant deliberately
chooses to delay seeking the revival of an abandoned
application, the resulting delay in seeking revival of the
abandoned application cannot be considered as
"unintentional" within the meaning of § 1.137(b). An
intentional delay resulting from a deliberate course of
action chosen by the applicant is not affected by: (1) the
correctness of the applicant's (or applicant's
representative's) decision to abandon the application or not
to seek or persist in seeking revival of the application;
(2) the correctness or propriety of a rejection, or other
objection, requirement, or decision by the Office; or
(3) the discovery of new information or evidence, or other
change in circumstances subsequent to the abandonment or
decision not to seek or persist in seeking revival.
Obviously, delaying the revival of an abandoned application,
by a deliberately chosen course of action, until the
industry or a competitor shows an interest in the invention
(a submarine application) is the antithesis of an
"unavoidable" or "unintentional" delay. An intentional
abandonment of an application, or an intentional delay in
seeking either the withdrawal of a holding of abandonment in
or the revival of an abandoned application, precludes a
finding of unavoidable or unintentional delay pursuant to
§ 1.137. See In re Maldague, 10 USPQ2d 1477, 1478 (Comm'r
Pat. 1988).
The Office does not generally question whether there has
been an intentional or otherwise impermissible delay in
filing an initial petition pursuant to § 1.137(a) or (b),
when such petition is filed: (1) within three months of the
date the applicant is first notified that the application is
abandoned; and (2) within one year of the date of
abandonment of the application. Thus, an applicant seeking
revival of an abandoned application is advised to file a
petition pursuant to § 1.137 within three months of the
first notification that the application is abandoned to
avoid the question of intentional delay being raised by the
Office (or by third parties seeking to challenge any patent
issuing from the application).
Where a petition pursuant to § 1.137(a) or (b) is not
filed within three months of the date the applicant is first
notified that the application is abandoned, the Office may
consider there to be a question as to whether the delay was
unavoidable or even unintentional. In such instances, the
Office may require: (1) a showing as to how the delay
between the date the applicant was first notified that the
application was abandoned and the date a § 1.137(a) petition
was filed was "unavoidable"; or (2) further information as
to the cause of the delay between the date the applicant was
first notified that the application was abandoned and the
date a § 1.137(b) petition was filed, and how such delay was
"unintentional." To avoid delay in the consideration of a
petition under § 1.137(a) or (b) in instances in which such
petition was not filed within three months of the date the
applicant was first notified that the application was
abandoned, applicants should include a showing as to how the
delay between the date the applicant is first notified by
the Office that the application is abandoned and filing of a
petition under § 1.137 was: (1) "unavoidable" in a petition
under § 1.137(a); or (2) "unintentional" in a petition under
§ 1.137(b).
Where a petition pursuant to § 1.137(a) or (b) is not filed
within one year of the date of abandonment of the
application (note that abandonment takes place by operation
of law, rather than the mailing of a Notice of Abandonment),
the Office may require: (1) further information as to when
the applicant (or the applicant's representative) first
became aware of the abandonment of the application; and
(2) a showing as to how the delay in discovering the
abandoned status of the application occurred despite the
exercise of due care or diligence on the part of the
applicant (or the applicant's representative) (see Ex parte
Pratt, 1887 Dec. Comm'r Pat. 31 (1887)). To avoid delay in
the consideration of a petition under § 1.137(a) or (b) in
instances in which such petition was not filed within one
year of the date of abandonment of the application,
applicants should include: (1) the date that the applicant
first became aware of the abandonment of the application;
and (2) a showing as to how the delay in discovering the
abandoned status of the application occurred despite the
exercise of due care or diligence on the part of the
applicant.
In either instance, applicant's failure to carry the burden
of proof to establish that the "entire" delay was
"unavoidable" or "unintentional" may lead to the denial of a
petition under § 1.137(a) or § 1.137(b), regardless of the
circumstances that originally resulted in the abandonment of
the application.
Section 1.137(d) specifies a time period within which a
renewed petition pursuant to § 1.137 must be filed to be
considered timely. So long as a renewed petition is timely
filed under § 1.137(d) (including any properly obtained
extensions of time), the Office will consider the delay in
filing a renewed petition under § 1.137(a) "unavoidable"
under § 1.137(a)(3), and will consider the delay in filing a
renewed petition under § 1.137(b) "unintentional" under
§ 1.137(b)(3). Where an applicant files a renewed petition,
request for reconsideration, or other petition seeking
review of a prior decision on a petition pursuant to § 1.137
outside the time period specified in § 1.137(d), the Office
may require, inter alia, a specific showing as to how the
entire delay was "unavoidable" (§ 1.137(a)) or
"unintentional" (§ 1.137(b)). As discussed supra, a delay
resulting from the applicant deliberately choosing not to
persist in seeking the revival of an abandoned application
cannot be considered "unavoidable" or "unintentional" within
the meaning of § 1.137, and the correctness or propriety of
the decision on the prior petition pursuant to § 1.137, the
correctness of the applicant's (or the applicant's
representative's) decision not to persist in seeking
revival, the discovery of new information or evidence, or
other change in circumstances subsequent to the abandonment
or decision to not persist in seeking revival are immaterial
to such intentional delay caused by the deliberate course of
action chosen by the applicant.
Retroactive application of § 1.137(b):
There was no prohibition in former § 1.137(b) against
requests for waiver of its one-year filing period
requirement; however, waiver of the one-year filing period
requirement of former § 1.137(b) was subject to strictly
limited conditions (§ 1.183). See Final Rule entitled
"Changes in Procedures for Revival of Patent Applications
and Reinstatement of Patents," published in the Federal
Register at 58 FR 44277 (August 20, 1993), and in the
Official Gazette at 1154 Off. Gaz. Pat. Office 35
(September 14, 1993). Thus, under the terms of former
§ 1.137, an applicant in an application abandoned for more
than one year could file either a petition under § 1.137(a)
to revive the application on the basis of "unavoidable"
delay, or a petition under §§ 1.183 and 1.137(b) to revive
the application on the basis of "unintentional" delay. That
is, where an application was abandoned for more than one
year, and the delay was "unintentional" but not
"unavoidable," it was incumbent upon an applicant desiring
revival of the application to promptly file a petition under
§§ 1.183 and 1.137(b) to revive the application.
While § 1.137(b), as amended, is, by its terms, applicable
to applications abandoned prior to its effective date,
§ 1.137(b) requires, by its terms, "[a] statement that the
entire delay in providing the required reply from the due
date for the reply until the filing of a grantable petition
pursuant to this paragraph was unintentional." Thus, where
an applicant (or the applicant's representative) previously
chose not to seek revival of an application (e.g., due to
the opinion that the former provisions of § 1.137(a) or (b)
did not permit revival thereunder), the resulting delay in
seeking revival of the application cannot be considered
"unintentional" within the meaning of § 1.137(b). Likewise,
where an applicant (or the applicant's representative)
previously requested revival of an application, received an
adverse decision (e.g., a dismissal or denial), and chose
not to persist in seeking revival of the application (e.g.,
by request for reconsideration or review), the resulting
delay in seeking revival of the application likewise cannot
be considered "unintentional" within the meaning of
§ 1.137(b). The elimination of the one-year filing period
requirement in § 1.137(b) does not create a new right to
overcome any prior intentional delay caused by a deliberate
course of action (or inaction) chosen by the applicant.
Thus, any applicant filing a petition under § 1.137 after
the effective date of this Final Rule, but outside the
period set in § 1.137(d) for seeking reconsideration of a
prior adverse decision on a request to revive an application
will be considered to have acquiesced in the abandonment of
the application or lapse of the patent.
Section 1.137(c) is amended to change the introductory
phrase "[i]n all applications filed before June 8, 1995, and
in all design applications filed on or after June 8, 1995"
to "[i]n a design application, a utility application filed
before June 8, 1995, or a plant application filed before
June 8, 1995" for clarity. Section 1.137(c) is further
amended to change the phrase "any petition to revive
pursuant to paragraph (a) of this section" to "any petition
to revive pursuant to this section," and the phrase "not
filed within six months of the date of abandonment of the
applications" is deleted. Section 1.137(c) is further
amended to change the phrase "must also apply to any patent
granted on any continuing application entitled under
35 U.S.C. 120 to the benefit of the filing date of the
application for which revival is sought" to "must also apply
to any patent granted on any continuing application that
contains a specific reference under 35 U.S.C. 120, 121, or
365(c) to the application for which revival is sought,"
since it is the claim for, and not the entitlement to, the
benefit of the filing date of the application for which
revival is sought that triggers the requirement for the
filing of a terminal disclaimer in the continuing
application.
Section 1.137(d) is amended to change "application" to
"abandoned application or lapsed patent" to incorporate into
§ 1.137 the revival of lapsed patents. In view of the
elimination of a time period from § 1.137(b), the provisions
of former § 1.137(e) are incorporated into § 1.137(d) as
"[u]nless a decision indicates otherwise, this time period
may be extended under the provisions of § 1.136."
Section 1.137(e) is amended to expressly provide that a
provisional application, abandoned for failure to timely
reply to an Office requirement, may be revived pursuant to
§ 1.137(a) or (b) so as to be pending for a period of no
longer than twelve months from its filing date. In
accordance with 35 U.S.C. 111(b)(5), § 1.137(e) clearly
indicates that "[u]nder no circumstances will a provisional
application be regarded as pending after twelve months from
its filing date." Prior § 1.139(a) and (b) each provided
that a provisional application may be revived so as to be
pending for a period of no longer than twelve months from
its filing date, and that under no circumstances will a
provisional application be regarded as pending after twelve
months from its filing date.
Comment 63: The majority of comments opposed amending
§ 1.137(a) and (b) to include time limits based upon the
mail date of a notification of abandonment, as well as the
retroactive application of such a change to the rules of
practice. While these comments recognized that any filing
period requirement § 1.137 is better based upon the date of
notification, rather than the date of abandonment, they
argued that there will inevitably be instances in which a
blameless applicant will not be able to meet the filing
period requirement due to extenuating circumstances. The
majority of comments supported amending § 1.137(a) and (b)
to remove the filing period requirement, as well as the
retroactive application of such a change to the rules of
practice.
Response: The Office will adopt a § 1.137 that does not
include filing period requirements, and will not limit the
retroactive application of § 1.137(b) as adopted, other than
by the terms of the rule (as discussed supra).
Comment 64: One comment generally supported the change to
§ 1.137(b) to remove the filing period requirement, but
expressed concerns as to the routine revival of abandoned
applications. The comment specifically suggested that the
Office continue to require a high showing to justify the
revival of an abandoned application, especially where the
petition was filed substantially after abandonment or
applicant's receipt of the notice of abandonment.
Response: The Office does not consider the revival of an
abandoned application to be a "routine" matter. The Office
will require, inter alia, a "showing to the satisfaction of
the Commissioner that the entire delay in filing the
required reply from the due date for the reply until the
filing of a grantable petition pursuant to [§ 1.137(a)] was
unavoidable" as a prerequisite to the grant of any petition
based upon unavoidable delay (§ 1.137(a)). The Office will
require, inter alia, a "statement that the entire delay in
filing the required reply from the due date for the reply
until the filing of a grantable petition pursuant to
[§ 1.137(b)] was unintentional" by a registered practitioner
or other party in interest having firsthand knowledge of the
circumstances surrounding the delay as a prerequisite to the
grant of any petition based upon unintentional delay
(§ 1.137(b)). The Office expects that such statement made
by a registered practitioner not having firsthand knowledge
of the circumstances surrounding the delay be based upon a
reasonable investigation of the circumstances surrounding
the abandonment of the application (§ 10.18), and that such
statement by any person be consistent with the duty of
candor and good faith and the duty to disclose material
information to the Office (§ 1.56).
Regardless of the length of the delay, § 1.137(a) requires
that the entire delay in filing the required reply from the
due date for the reply until the filing of a grantable
petition pursuant to § 1.137(a) was unavoidable. Likewise,
regardless of the length of the delay, § 1.137(b) requires
that the entire delay in filing the required reply from the
due date for the reply until the filing of a grantable
petition pursuant to § 1.137(b) was unintentional. As
"unintentional" delay does not require that the delay have
occurred despite the exercise of due care and diligence (as
does "unavoidable" delay), the Office does not routinely
require a "showing" of unintentional delay for a petition
under § 1.137(b). However, where there may be a question
whether the delay was unintentional, the Office may require
a showing of unintentional delay for a petition under
§ 1.137(b). Such question may arise from papers submitted
to the Office prior to the petition under § 1.137(b) (e.g.,
a letter of express abandonment, or other communication
evidencing a desire to discontinue prosecution) or from
facts set forth in the petition itself. Such question may
also arise simply from the length of the delay between the
date the applicant was notified of the abandoned status of
the application and the date action was taken to revive the
abandoned application, or the length of the period of
abandonment. Specifically, where there is a delay of three
months between the date the applicant was notified of the
abandoned status of the application (i.e., the mail date of
the notice of abandonment) and the date a petition under
§ 1.137(b) was filed, or where the application was abandoned
for more than one year prior to the date a petition under
§ 1.137(b) was filed, the Office may require further
information and a showing that the delay was unintentional.
Finally, it should be stressed that the mere fact that a
petition under § 1.137(b) was filed within three months of
the date the applicant was notified of the abandoned status
of the application (i.e., the mail date of the notice of
abandonment) or within one year of the date of abandonment
does not imply that the delay was "unintentional." That is,
an applicant who deliberately delays the filing of a
petition under § 1.137 until three months from the mail date
of the notice of abandonment (or based upon the one-year
anniversary of the date of abandonment) cannot appropriately
make the statement that "the delay was unintentional." This
time frame is provided simply as an indication as to when an
applicant should expect the Office to inquire further into
the circumstances of the abandonment of an application for
which a petition under § 1.137(b) is filed, and in which
case the applicant may expedite consideration of such
petition by providing information as to when applicant was
notified of the abandoned status of the application, and the
cause of the delay between the date of notification and the
date a petition under § 1.137 was filed.
Comment 65: One comment suggested that the Office include
in § 1.137 all of the basic interpretations and guidelines
by which the Office applies § 1.137. The comment
specifically suggested that § 1.137 include the time periods
(e.g., three months) by which the Office measures the
applicant's diligence in taking action to revive the
application and the differences between post-abandonment
delay in taking action to revive the application and any
pre-abandonment delay which may have resulted in the
abandonment.
Response: The Office will adopt a § 1.137 that does not
include filing period requirements, but requires that the
"entire" delay was "unavoidable" (§ 1.137(a)) or
"unintentional" (§ 1.137(b)). The requirements for a
petition to revive an abandoned application or lapsed patent
are set forth in § 1.137; additionally, the Office will set
forth its basic interpretations and guidelines for
application of § 1.137 (instructional information) in the
MPEP.
Section 1.181 provides the basis for generic requests for
relief by petition, and sets forth a two-month time period
therein for the timely filing of a petition (§ 1.181(f)).
While the three-month time frame employed by the Office
during the consideration petitions under § 1.137 exceeds the
two-month period in § 1.181(f) for the timely filing of a
petition, this three-month period is the most frequently set
period for reply by an applicant (see MPEP 710.02(b)).
While the Office considers the two-month period in
§ 1.181(f) to be the appropriate period by which the
timeliness of a petition should be determined, it is
certainly reasonable to expect that any applicant desiring
to restore an abandoned application to pending status will
file a petition under § 1.137 to revive such abandoned
application no later than three months after notification of
abandonment of the application. See In re Kokaji, 1 USPQ2d
2005, 2006 (Comm'r Pat. 1986).
The "three-month" time frame set forth in this Final Rule is
a guideline as to when an applicant can expect further
inquiry by the Office (and, as such, should attempt to
provide the relevant information in the initial petition to
avoid delay), in that: (1) it is possible that an applicant
is incapable of filing a petition under § 1.137 within three
months of the date of notification of abandonment (e.g.,
pro se applicant incapacitated from date of notification of
abandonment until action taken to revive the application)
rendering the entire delay in filing the required reply from
the due date for the reply until the filing of a grantable
petition unavoidable; and (2) it is also possible that an
applicant, by a deliberately chosen course of action, delays
the filing of a petition under § 1.137 until exactly three
months after the date of notification of abandonment to use
this period as an extension of time, in which case a
statement that "the entire delay in filing the required
reply from the due date for the reply until the filing of a
grantable petition pursuant to this paragraph was
unintentional" is not appropriate. To avoid substitution of
the three-month time frame for review by the Office for the
requirement for unavoidable or unintentional delay, the
Office will not amend § 1.137 to include this time frame.
Comment 66: One comment indicated that the phrase "the
delay was unintentional" is unclear. The comment recited a
specific example in which an applicant, under final
rejection, submits an amendment or other correspondence
which is believed by the applicant to place the application
in condition for allowance (and thus constitute a reply
within the meaning of § 1.113), and, as such, the applicant,
in a deliberate course of action/inaction, takes no further
steps to ensure the filing a reply within the meaning of
§ 1.113 (e.g., a notice of appeal) to the final rejection.
The comment suggested that § 1.137 is unclear as to whether
the delay in this situation, which may be deliberate or
intentional in the literal sense, would constitute an
"unintentional" delay within the meaning of § 1.137(b).
Response: The Office has amended § 1.137 to require that
"the entire delay in filing the required reply from the due
date for the reply until the filing of a grantable petition"
was "unavoidable" (§ 1.137(a)) or "unintentional"
(§ 1.137(b)). Thus, intentional delays occurring prior to
the due date for reply to avoid abandonment do not preclude
relief pursuant to § 1.137. Should the delay in the example
given extend past the extendable due date for reply (under
§ 1.113) to the final rejection, an appropriate statement of
unintentional delay could be made as the applicant did not
intend to have the deadline for reply under § 1.113 to the
final rejection expire.
In addition, there is a distinction between: (1) a delay
resulting from an error in judgment as to whether to permit
an application to become abandoned (whether to prosecute the
application) or whether to seek or persist in seeking the
revival of the abandoned application; and (2) a delay
resulting from an error in judgment as to the steps
necessary to continue the prosecution delay in seeking
revival of the application. Where the abandonment and
ensuing delay results from an error in judgment as to
whether to permit an application to become abandoned
(whether to prosecute the application) or whether to seek or
persist in seeking the revival of the abandoned application,
the abandonment of such application is considered a
deliberately chosen course of action, and the resulting
delay cannot be considered "unintentional" within the
meaning of § 1.137(b). Where, however, an error in judgment
as to the steps necessary to continue prosecution results in
abandonment of the application, the abandonment of such
application is not necessarily considered a deliberately
chosen course of action, and the resulting delay may be
considered "unintentional" within the meaning of § 1.137(b).
However, §§ 1.116 and 1.135(b) are manifest that proceedings
concerning an amendment after final rejection will not
operate to avoid abandonment of the application in the
absence of a timely and proper appeal. Unless the applicant
is informed in writing that the application is allowed prior
to the expiration of the period for reply to the final
Office action, it is the applicant's responsibility to
timely file a notice of appeal (and fee) to avoid the
abandonment of the application. The abandonment of an
application subject to a final Office action is not
"unavoidable" within the meaning of 35 U.S.C. 133 and
§ 1.137(a) in the situation in which the applicant simply
permits the maximum extendable statutory period for reply to
a final Office action to expire while awaiting a notice of
allowance or other action.
Comment 67: One comment opposed the changes to § 1.137 on
the bases that: (1) it permits submarine patents, in that
an applicant may permit an application to become abandoned
and wait to see whether the invention was developed by other
entities; and (2) the revival of a long-abandoned
application will have an adverse impact on the examiner, in
that the examiner who originally examined that application
may no longer be at the Office, or will have to reacquaint
himself or herself with the application.
Response: The change to § 1.137(b) does not permit an
applicant to obtain revival where either: (1) the applicant
deliberately permitted the application to become abandoned;
or (2) the applicant deliberately delayed seeking revival to
see whether the invention was developed by other entities.
It is well established that where applicant deliberately
permits an application to become abandoned, the abandonment
of such application is considered a deliberately chosen
course of action, and the resulting delay cannot be
considered "unintentional" within the meaning of § 1.137(b).
See Application of G, 11 USPQ2d at 1380. Likewise, where
the applicant deliberately chooses not to either seek or
persist in seeking the revival of an abandoned application,
the resulting delay in seeking revival of the application
cannot be considered "unintentional" within the meaning of
§ 1.137(b). The intentional abandonment of an application,
or an intentional delay in seeking either the withdrawal of
a holding of abandonment in or the revival of an abandoned
application, precludes a finding of unavoidable or
unintentional delay pursuant to § 1.137. See Maldague, 10
USPQ2d at 1478.
While it is possible for an applicant to make a misleading
statement that the delay was unintentional to obtain revival
of an abandoned application, the Office simply must rely
upon the candor and good faith of those prosecuting patent
applications (e.g., it is equally possible for a party to
fabricate evidence and obtain the revival of a long-abandoned application on the basis of unavoidable delay).
Any applicant obtaining revival based upon a misleading
statement that the delay was unintentional may find the
achievement short-lived as a result of the question of
intentional delay being raised by third parties challenging
any patent issuing from the application.
The revival of any long-abandoned application will have an
adverse impact on the examiner; however, long-abandoned
applications have been previously revived pursuant to
§ 1.137(a) on the basis of unavoidable delay. See In re
Lonardo, 17 USPQ2d 1455 (Comm'r Pat. 1990)(application
revived after being abandoned for more than sixteen years).
Thus, this change to § 1.137(b) will not create a burden on
examiners that did not exist before, and could in fact
reduce the burden as a result of the requirement that in
applications abandoned for excessive periods of time would
have to show that the entire delay was "unavoidable" or
"unintentional."
Comment 68: One comment suggested that the two-year
limitation in 35 U.S.C. 41(c) is a "good compromise" in
regard to a filing period for filing petitions to revive
based upon unintentional delay.
Response: The suggestion is not adopted. Changing the one-year filing period requirement in § 1.137(b) to a two-year
filing period requirement would not substantially change the
problem caused by a filing period requirement, namely, that
it causes inequitable results in certain instances. In
addition, the inclusion of any filing period requirement in
§ 1.137(a) or (b) will likely induce applicants, or their
representatives, to delay the filing of a petition under
§ 1.137 until the end of such filing period. See
Application of S, 8 USPQ2d at 1632. The Office has no
discretion in regard to the twenty-four month filing period
requirement in 35 U.S.C. 41(c), but the presence of a
twenty-four month filing period requirement in 35 U.S.C.
41(c) does not imply that the Office must place a twenty-four month filing period requirement into the rules
implementing 35 U.S.C. 41(a)(7), which contains no filing
period requirement.
Comment 69: One comment opposed the changes to § 1.137 on
the basis that the right to revive an abandoned application
should be limited due to the public's right to practice a
technology "that an applicant has abandoned."
Response: 35 U.S.C. 41(a)(7) authorizes the Office to
revive an abandoned application where the abandonment was
unintentional (or unavoidable, the epitome of
unintentional), but not where the abandonment was
intentional. Section 1.137 does not authorize the revival
of an abandoned application where the applicant, by
deliberate course of action, has abandoned an application or
delayed seeking its revival. Additionally, in many
instances the disclosure in a patent maturing from a revived
application would not have been disclosed and the technology
therein would not be public knowledge, but for the revival
of the application.
Comment 70: One comment suggested the need for an
intervening rights provision to protect innocent infringers.
Response: The issue of intervening rights relates to the
enforcement of patent rights, which does not directly
concern the conduct of proceedings in the Office. Thus, it
is unclear whether the Office is authorized under 35 U.S.C.
6 to promulgate regulations including an intervening rights
provision.
Comment 71: Several comments suggested that § 1.137(b) be
amended to include the "promptly filed" requirement of
§ 1.137(a).
Response: The suggestion is effectively adopted, although
via a different mechanism as explained below. While there
is considerable merit to the suggestion for the inclusion of
a "promptly filed" requirement in both § 1.137(a) and (b),
the Office has eliminated the "promptly filed" requirement
from § 1.137(a) to avoid confusion between "promptly filed"
and "unavoidable delay." The phrase "promptly filed" has
been associated with § 1.137(a) and its requirement for
"unavoidable" delay, and, as such, the inclusion of a
"promptly filed" requirement in § 1.137(b) might cause
confusion in regard to the distinction between the
circumstances that constitute unavoidable delay and the
circumstances that constitute unintentional delay.
Section 1.137(a)(3) and (b)(3) as adopted requires that "the
entire delay in filing the required reply from the due date
for the reply until the filing of a grantable petition" has
been "unavoidable" (§ 1.137(a)) or "unintentional"
(§ 1.137(b)) to clarify the requirements for a petition
under § 1.137(a) and (b). As discussed supra, an applicant
who fails to file a petition under § 1.137(a) or (b)
"promptly" upon becoming notified, or otherwise becoming
aware, of the abandonment of the application will not be
able to show that "the entire delay in filing the required
reply from the due date for the reply until the filing of a
grantable petition pursuant to [§ 1.137(a)] was
unavoidable," and will probably not even be able to make an
appropriate statement that "the entire delay in filing the
required reply from the due date for the reply until the
filing of a grantable petition pursuant to [§ 1.137(b)] was
unintentional." Obviously, any petition under § 1.137(a) or
(b) should be "promptly filed" upon discovery of abandonment
to avoid a question as to whether the filing of such a
petition was intentionally delayed.
Comment 72: One comment questioned how a patent could lapse
for failure to pay the issue fee, as a patent does not issue
unless the issue fee is paid.
Response: 35 U.S.C. 151 provides that where an applicant
timely submits the sum specified in the Notice of Allowance
as the issue fee, but a balance of the issue fee remains
outstanding (due to a fee increase), the patent will lapse
unless the balance of the issue fee is timely paid. See
Mills, 12 USPQ2d at 1848; see also Ex parte Crissy, 201 USPQ
689 (Bd. Pat. App. 1976).
Comment 73: One comment suggested that § 1.137(a)(1) and
(b)(1) not require a continuing application if the
application became abandoned for failure to reply to a non-final Office action.
Response: Section 1.137(a)(1) and (b)(1) each provide that a petition thereunder include:
The required reply, unless previously filed. In
a nonprovisional application abandoned for failure
to prosecute, the required reply may be met by the
filing of a continuing application. In an
application or patent, abandoned or lapsed for
failure to pay the issue fee or any portion
thereof, the required reply must be the payment of
the issue fee or any outstanding balance thereof.
As discussed supra, there may be circumstances under which
the Office may require a continuing application to meet this
reply requirement. Nevertheless, in a nonprovisional
application abandoned for failure to prosecute, a continuing
application is generally a permissive (i.e., "may be met")
reply, in that an applicant in a nonprovisional application
abandoned for failure to prosecute may file a reply under
§ 1.111 to a non-final Office action or a reply under
§ 1.113 (e.g., notice of appeal) to a final Office action,
or may simply file a continuing application as the required
reply. In an application or patent, abandoned or lapsed for
failure to pay any portion of the required issue fee, the
issue fee or any outstanding balance thereof is the
mandatory (i.e., "must be") reply. As the "continuing
application" option is limited to an abandoned
nonprovisional application, the reply in an abandoned
provisional application must be any outstanding reply to an
Office requirement.
Comment 74: One comment suggested that § 1.137(c) be
amended to take into account the provision in 35 U.S.C.
154(c) that an application (other than a design application)
is entitled to a patent term of not less than twenty years
from its filing date, or if the application contains a
specific reference to an earlier filed application(s) under
35 U.S.C. 120, 121, or 365(c), the date twenty years from
the filing date of the earliest such application(s).
Response: The suggestion is not adopted. The Office
considers this situation to be applicable to a relatively
small class of applications, and, as such, does not deem it
prudent to introduce into § 1.137(c) the complexity
necessary to account for this situation. Applicants in this
situation (e.g., instances in which an application filed
prior to June 8, 1995, is to be revived solely for purposes
of copendency with an application filed on or after June 8,
1995) may file a petition pursuant to § 1.183 requesting
that the Office waive the provisions of § 1.137(c) to the
extent that § 1.137(c) requires a disclaimer of the period
in excess of the date twenty years from the filing date of
the application, or if the application contains a specific
reference to an earlier filed application(s) under 35 U.S.C.
120, 121, or 365(c), the date twenty years from the filing
date of the earliest such application(s). The Office will
refund the § 1.17(h) petition fee if the § 1.183 petition is
granted.
Comment 75: One comment suggested that the last paragraph of § 1.137 read:
Under no circumstance may a petition to revive a
provisional application be filed more than twelve
months after the filing date of the provisional
application. No application filed more than
twelve months after the filing date of a
provisional application is entitled to a claim of
priority from the provisional [application],
notwithstanding the copendency of any petition to
revive the provisional application.
Response: The suggestion is not adopted. 35 U.S.C.
111(b)(3)(C) authorizes the revival of an abandoned
application on the basis of unavoidable or unintentional
delay. 35 U.S.C. 111(b)(5) provides that a "provisional
application shall be regarded as abandoned 12 months after
the filing date of such application and shall not be subject
to revival thereafter." 35 U.S.C. 111(b) does not contain
any limitation on the filing date of a petition to revive an
abandoned provisional application (or the date by which such
a petition must be granted), but only a limitation as to the
period of pendency of the provisional application. Thus,
§ 1.137(e) as adopted provides that "[a] provisional
application . . . may be revived . . . so as to be pending
for a period of no longer than twelve months from its filing
date. Under no circumstances will a provisional application
be regarded as pending after twelve months from its filing
date."
Section 1.139: Section 1.139 is removed and reserved and
its subject matter added to § 1.137.
No comments were received regarding the proposed change to
§ 1.139.
Section 1.142: Section 1.142 is amended by replacement of
"response" with "reply" in accordance with the change to
§ 1.111.
No comments were received regarding the proposed change to
§ 1.142.
Section 1.144: Section 1.144 is amended for clarification
purposes.
No comments were received regarding the proposed change to
§ 1.144.
Section 1.146: Section 1.146 is amended for clarification
purposes.
No comments were received regarding the proposed change to
§ 1.146.
Section 1.152: Section 1.152 is amended to place its former
provisions into paragraphs (a), (a)(1), and (a)(2) for
clarification.
Section 1.152 is also amended to remove the prohibition
against color drawings and color photographs in design
applications. Section 1.152 is amended to permit the use of
color photographs and color drawings in design applications
subject to the petition requirements of § 1.84(a)(2)
inasmuch as color may be an integral element of the
ornamental design. While pen and ink drawings may be lined
for color, a clear showing of the configuration of the
design may be obscured by this drafting method. New
technologies, such as holographic designs, fireworks and
laser light displays may not be accurately disclosed without
the use of color.
The term "article" of § 1.152(a) is replaced by the term
"design" as 35 U.S.C. 171 requires that the claim be
directed to the "design for an article" not the article,
per se. Therefore, to comply with the requirements of
35 U.S.C. 112, ¶1, it is only necessary that the design as
embodied in the article be fully disclosed and not the
article itself. The term "must" has been replaced by the
term "should" to allow for latitude in the illustration of
articles whose configuration may be understood without
surface shading. Clarification language has been added to
note that the use of solid black surfaces is permitted for
representation of the color black as well as color contrast
and that photographs and ink drawings must not be combined
as formal drawings in one application.
A new § 1.152(b) is added to clarify Office practice
concerning details disclosed in the ink drawings, color
drawings, or photographs deposited with the original
application papers. Specifically, § 1.152(b) provides that
any details disclosed in the ink or color drawings, or
photographs deposited with the original application papers
constitutes an integral part of the disclosed and claimed
design, except as otherwise provided in § 1.152(b). Section
1.152(b) further specifies that this detail may include
color or contrast, graphic or written indicia, including
identifying indicia of a proprietary nature (e.g., a company
logo), surface ornamentation on an article, or any
combination thereof. The "but not limited to" phrase in
§ 1.152(b) clarifies that this list is exemplary, not
exhaustive.
Section 1.152(b)(1) provides that when any detail shown in
informal drawings or photographs does not constitute an
integral part of the disclosed and claimed design, a
specific disclaimer must appear in the original application
papers either in the specification or directly on the
drawings or photographs. This specific disclaimer in the
original application papers will provide antecedent basis
for the omission of the disclaimed detail(s) in later-filed
drawings or photographs. That is, in the absence of such a
disclaimer, later-filed formal or informal drawings not
including any detail disclosed in the original drawings will
be considered to contain new matter, and will be treated
accordingly. See 35 U.S.C. 112, ¶1; § 1.121(a)(6).
Comment 76: One comment stated that applicant may
misunderstand the implications of submitting a design
drawing in color and suggested that § 1.152 should explain
and give notice of the consequences of submitting an initial
color drawing in design applications.
Response: The comment has been adopted.
Section 1.152(b)(2) provides that when informal color
drawings or photographs are deposited with the original
application papers without a disclaimer pursuant to
§ 1.152(b)(1), formal color drawings or photographs, or a
black and white drawing lined to represent color, will be
required.
Section 1.154: The heading of § 1.154 is amended to read
"[a]rrangement of application elements" for consistency with
§§ 1.77 and 1.163. Section 1.154 paragraph (a) is amended
to clarify that a voluntary submission (see comments under
§ 1.152 relating to substitution of "design" for "article")
may and should be made of "a brief description of the nature
and intended use of the article in which the design is
embodied." It is current practice for design examiners, in
appropriate cases, to inquire as to the nature and intended
use of the article in which a claimed design is embodied.
The submission of such description will allow for a more
accurate initial classification, and aid in providing a
proper and complete search at the time of the first action
on the merits. In those instances where this feature
description is necessary to establish a clear understanding
of the article in which the design is embodied, provision of
the feature description would help in reducing pendency by
eliminating the necessity for time-consuming correspondence.
Specifically, requests for information prior to first action
would be avoided. Absent an amendment requesting deletion
of the description it would be printed on any patent that
would issue.
No comments were received regarding the proposed change to
§ 1.154.
Section 1.155: Section 1.155 is amended to include only the
language of former § 1.155(a). The subject matter of former
paragraphs (b) through (f) of § 1.155 were added to § 1.137.
No comments were received regarding the proposed change to
§ 1.155.
Section 1.163: The heading of § 1.163 is amended to read
"[s]pecification and arrangement of application elements"
for consistency with §§ 1.77 and 1.154. Section 1.163(b) is
amended to remove an unnecessary and outmoded reference to a
"legible carbon copy of the original" specification for
plant applications.
No comments were received regarding the proposed change to
§ 1.163.
Section 1.165: The proposed amendment to § 1.165 to remove
the reference to the artistic and competent execution of
plant patent drawings is withdrawn.
Comment 77: One comment argued that the language proposed
to be deleted was actually relied upon by examiners to
obtain new and better illustrations.
Response: The comment was adopted to the extent that the
proposed change is withdrawn to allow for further study of
what language related to the type of plant drawings should
appear in § 1.165.
Section 1.167: Section 1.167 is amended to include only the
language of former § 1.167(a), in that paragraph (b) is
removed as unnecessary in view of § 1.132.
Comment 78: One comment questioned whether § 1.132 covers
paragraph (b) of § 1.167, which paragraph has been deleted.
Response: Paragraph (b) of § 1.167 provided for the
submission of affidavits by qualified agricultural or
horticultural experts regarding the novelty and
distinctiveness of the variety of plant. Section 1.132
relates to affidavits traversing grounds of rejection, and
is recognized as the appropriate rule under which an
affidavit may be submitted which does not fall within or
under other specific rules. See MPEP 716.
Section 1.171: Section 1.171 is amended to no longer
require an order for a title report in reissue applications
as the requirement for a certification on behalf of all the
assignees under concomitantly amended § 1.172(a) obviates
the need for a title report and fee therefor. Section 1.171
is also amended by deletion of the requirement for an offer
to surrender the patent, which offer is seen to be redundant
in view of § 1.178.
No adverse comments were received regarding the proposed
change to § 1.171.
Section 1.172: Section 1.172 is amended to require that all
assignees establish their ownership interest in compliance
with § 3.73(b). The amendment as originally proposed
repeated requirements found in § 3.73(b) rather than
incorporating § 3.73(b), as assignees of a part interest are
frequently involved in reissue applications.
Comment 79: One comment noted that the proposed amendment
repeated requirements already found in § 3.73(b) and was
unnecessary.
Response: The comment was adopted, in that § 1.172 is
amended to simply reference § 3.73(b). Section 3.73(b) is
amended to replace a reference to an assignee of the entire
right, title and interest with a reference to an assignee,
so as to include assignees of a part interest.
Section 1.175: Section 1.175 relating to the content of the
reissue oath or declaration (MPEP 1414), as well as §§ 1.48
and 1.324 relating to correction of inventorship in an
application and in a patent, respectively, are amended to
remove the requirement for a factual showing relating to a
matter in which a lack of deceptive intent must be
established. A statement as to a lack of deceptive intent
is sufficient to meet the statutory requirement under
35 U.S.C. 251 of a lack of deceptive intent relating to the
error(s) to be corrected by reissue, and a factual showing
of how the error(s) to be corrected by reissue arose or
occurred is not required. As the Office no longer
investigates fraud and inequitable conduct issues and a
reissue applicant's statement of a lack of deceptive intent
is normally accepted on its face (See MPEP 1448), the
requirement in former § 1.175(a)(5) that it be shown how the
error(s) being relied upon arose or occurred without
deceptive intent on the part of the applicant appears to be
unduly burdensome upon applicants and the Office, and is
deleted. This applies to the initially identified error(s),
under paragraph (a), and any subsequently identified
error(s) under paragraph (b).
Comment 80: Although the elimination of the requirement for
a factual showing relating to how the errors arose or
occurred enjoyed overwhelming support, three comments cited
the need for continued investigation by the Office. One
comment, while agreeing that some relaxation of reissue oath
or declaration requirements are in order, stated that the
Office should not decline to investigate entirely or adopt a
pro forma requirement that can merely be incanted. Two
comments stated that it is hard to get the courts to review
this issue and that the courts and the public are at a
disadvantage absent an explanation of how the error
occurred.
Response: Current Office practice is to reject reissue
applications only where there is "smoking gun" evidence of
deceptive intent, which will not be demonstrated by the type
of inquiry limited to a showing of how the error arose or
occurred without the ability to subpoena witnesses or
evidence. Accordingly, the burden presented on all reissue
applicants based on the mere collection of such information
for every error is not seen to be warranted.
Comment 81: One comment suggested that a final declaration
is not needed, and that, as an alternative, counsel should
be allowed to submit a statement based on information and
belief counsel is not aware of deceptive intent.
Response: 35 U.S.C. 251 requires that an error have been
made without deceptive intention to be corrected via
reissue. Accordingly, all errors being corrected by reissue
must have been made without deceptive intention, in that an
error made with deceptive intention cannot be bootstrapped
onto an error made without deceptive intention and corrected
via reissue. The parties with the best knowledge of the
lack of deceptive intention are the patentees and owners of
the patent, not counsel for the reissue application.
An initial reissue oath or declaration filed pursuant to
§ 1.175(a) is limited to identification of the cause(s) of
the reissue, and stating generally that all errors being
corrected in the reissue application at the time of filing
of the oath or declaration arose without deceptive intent.
Paragraph (a)(1) requires the identification of at least one
error and only one error may be identified as the basis for
reissue. The current practice under § 1.175(a)(3) and
(a)(5) of specifically identifying all errors being
corrected at the time of filing the initial oath or
declaration is not retained. Although only one error need
be identified to provide a basis for reissue, where only one
error among more than one is so identified, applicant should
carefully monitor that the error is retained or submit a
supplemental oath or declaration identifying another error
or errors.
Comment 82: One comment suggested that since a reissued
patent and a reexamined patent may also be reissued,
paragraph (a)(1) of § 1.175 may be clarified to substitute
for "original patent" "reissued," or "existing patent" as
what is wholly or partly inoperative or invalid.
Response: The effect of a reissue or reexamination
proceedings is to cause a substitution for the original
patent so that the reissued or reexamined patent becomes the
original patent.
Paragraph (b)(1) of § 1.175 requires a supplemental reissue
oath or declaration for errors corrected that were not
covered by an earlier presented reissue oath or declaration,
such as the initial oath or declaration pursuant to
paragraph (a) of this section or one submitted subsequent
thereto (a supplemental oath or declaration under this
paragraph), stating generally that all errors being
corrected, which are not covered by an earlier presented
oath or declaration pursuant to § 1.175(a) and (b), arose
without any deceptive intention on the part of the
applicant. A supplemental oath or declaration that refers
to all errors that are being corrected, including errors
covered by a reissue oath or declaration submitted pursuant
to paragraph (a) of this section, would be acceptable. The
specific requirement for a supplemental reissue oath or
declaration to cover errors sought to be corrected
subsequent to the filing of an initial reissue oath or
declaration is not a new practice, but merely recognition of
a current requirement for a supplemental reissue oath or
declaration when additional errors are to be corrected.
However, the current practice of specifically identifying
all supplemental errors being corrected in a supplemental
reissue oath or declaration is not retained.
A supplemental oath or declaration under paragraph (b)(1)
must be submitted prior to allowance. The supplemental oath
or declaration may be submitted with any amendment prior to
allowance, paragraph (b)(1)(i), or in order to overcome a
rejection under 35 U.S.C. 251 made by the examiner where
there are errors sought to be corrected that are not covered
by a previously filed reissue oath or declaration, paragraph
(b)(1)(ii). Any such rejection by the examiner will include
a statement that the rejection may be overcome by submission
of a supplemental oath or declaration, which oath or
declaration states that the errors in issue arose without
any deceptive intent on the part of the applicant. An
examiner ordinarily will be introducing a rejection under
35 U.S.C. 251 based on the lack of a supplemental
declaration for the first time in the prosecution once the
claims are determined to be otherwise allowable. The
introduction of a new ground of rejection under 35 U.S.C.
251 will not prevent an action from being made final, except
first actions pursuant to § 1.113(c), because of the
combination of the following factors: (1) the finding of
the case in condition for allowance is the first opportunity
that the examiner has to make the rejection; (2) the
rejection is being made in response to an amendment of the
application (to deal with the errors in the patent); (3) all
applicants are on notice that this rejection will be made
upon finding of the case otherwise in condition for
allowance where errors have been corrected subsequent to the
last oath or declaration filed in the case, therefore, the
rejection should have been expected by applicant; and
(4) the rejection will not prevent applicant from exercising
any rights as to curing the rejection, since applicant need
only submit the supplemental oath or declaration with the
above-described language, and it will be entered to cure the
rejection provided it raises no additional issue, such as an
informality or substantive reissue question (e.g., a
previously omitted claim for priority under 35 U.S.C. 119).
A supplemental oath or declaration under paragraph (b) of
this section would only be required for errors sought to be
corrected during prosecution of the reissue application.
Where an Office action contains only a rejection under
35 U.S.C. 251 and indicates that a supplemental oath or
declaration under this paragraph would overcome the
rejection, applicants are encouraged to authorize the
payment of the issue fee at the time the supplemental
reissue oath or declaration is submitted in view of the
clear likelihood that the reissue application will be
allowed on the next Office action. Such authorization will
reduce the delays in the Office awaiting receipt of the
issue fee. Where there are no errors to be corrected over
those already covered by an oath or declaration submitted
under paragraphs (a) and (b)(1) of this section (e.g., the
application is allowed on first action), or where a
supplemental oath or declaration has been submitted prior to
allowance and no further errors have been corrected, a
supplemental oath or declaration under this paragraph, or
additional supplemental oath or declaration under paragraph
(b)(1), would not be required.
Paragraph (b)(2) provides that for any error sought to be
corrected after allowance (e.g., under § 1.312), a
supplemental oath or declaration must accompany the
requested correction stating that the error(s) to be
corrected arose without any deceptive intent on the part of
the applicant.
The quotes around lack of deceptive intent, currently found
in § 1.175(a)(6), are removed as the exact language is not
required. The reference to § 1.56, currently found in
§ 1.175(a)(7), is removed as unnecessary in view of the
reference to § 1.56 in § 1.63 that is also referred to by
§ 1.175(a). The stated ability of applicant to file
affidavits or declarations of others and the ability of the
examiner to require additional information, currently found
in § 1.175(b), is deleted as unnecessary in view of
35 U.S.C. 131 and 35 U.S.C 132.
New paragraph (c) of § 1.175 has been rewritten to clarify
its intent that a subsequently submitted oath or declaration
under this section need not identify any errors other than
what was identified in the original oath or declaration
provided at least one of the originally identified errors to
be corrected is retained to provide a basis for the reissue.
In new paragraph (d) of § 1.175 a reference to § 1.53(f) is
inserted to clarify that the initial oath or declaration
under § 1.175(a) including those requirements under § 1.63
need not be submitted (with the specification, drawing and
claims) in order to obtain a filing date.
Section 1.176: The adoption of a final change to § 1.176 is
held in abeyance pending further consideration by the Office
of the decision by the Federal Circuit in In re Graff, 111
F.3d 874, 42 USPQ2d 1471 (Fed. Cir. 1997). Graff involved
two issues: (1) whether it is permissible to have a
continuation of a reissue application when the reissue
application has issued as a reissue patent; and (2) whether
broadened claims can be presented more than two years after
the original patent date in a reissue application which was
filed within two years but did not include any broadened
claims. While Graff is more directly related to § 1.177
than § 1.176, §§ 1.176 and 1.177 are sufficiently
interrelated that the Office considers it appropriate to
hold the final changes to both § 1.176 and § 1.177 in
abeyance pending further consideration by the Office of the
decision in Graff.
Comment 83: A comment requested clarification regarding how
restriction, between claims added in a reissue application
and the original patent claims, by the examiner would be
permitted in § 1.176 while § 1.177 would prohibit multiple
reissue patents except among the distinct and separate parts
of the thing patented.
Response: The comment will receive further consideration
when a final change to § 1.176 is adopted.
Section 1.177: Section 1.177 was proposed to be amended to
discontinue the current practice that copending reissue
applications must be issued simultaneously unless ordered
otherwise by the Commissioner pursuant to petition. As
discussed supra, the adoption of a final change to § 1.177
is held in abeyance pending further consideration by the
Office of the decision in Graff.
Comment 84: One comment would limit the granting of
multiple reissue patents on different dates to where a
petition for the grant of multiple reissue patents has been
approved prior to the issuance of any reissue patent.
Another comment thought that only one petition fee should be
charged notwithstanding whether a petition in more than one
reissue application is required.
Response: The comments will receive further consideration
when a final change to § 1.177 is adopted.
Section 1.181: The proposed change to § 1.181 will not be
made, see comments relating to § 1.101.
Comment 85: One comment requested that the material to be
deleted from § 1.181, paragraphs (d), (e), and (g) should be
retained as they give fair warning to all and the
consequences of failure to pay a petition fee.
Response: The comment has been adopted.
Section 1.182: Section 1.182 is amended by providing that a
petition under the section may be granted "subject to such
other requirements as may be imposed" by the Commissioner,
language similar to that appearing for petitions under
§ 1.183. The proposal to remove the statement that a
decision on a petition thereunder will be communicated to
interested parties in writing is withdrawn.
Comment 86: One comment opposed the proposal to remove the
statement that a decision on a petition under § 1.182 will
be communicated to interested parties in writing, arguing
that it would not be appropriate for the Office to decide a
petition under § 1.182 without communicating the decision to
the interested parties in writing.
Response: The suggestion is adopted. The Office did not
propose to remove the statement that a decision on a
petition under § 1.182 will be communicated to interested
parties in writing because the Office intended to
discontinue providing written decisions on petitions under
§ 1.182 (or any other petition), but because it was
considered unnecessary to state as much in the rule itself.
While the Office will communicate the decision on any
petition under § 1.182 to the interested parties in writing,
such decision may not always take the form of a traditional
decision on petition. For example, the grant of a petition
under § 1.182 to accept the omitted page(s) or drawing(s) in
a nonprovisional application and accord the date of such
submission as the application filing date will be indicated
by the issuance of a new filing receipt stating the filing
date accorded the application. See Notice entitled "Change
in Procedure Relating to an Application Filing Date"
published in the Federal Register at 61 FR 30041, 30043
(June 13, 1996), and in the Official Gazette at 1188 Off.
Gaz. Pat. Office 48, 50-51 (July 9, 1996).
Section 1.184: Section 1.184 is removed and reserved as
representing internal instructions.
Comment 87: Comments suggested that § 1.184 not be deleted
notwithstanding its internal directions. See response to
comment relating to § 1.101.
Section 1.184 relates to the refusal of a subsequent
Commissioner to reconsider a case once decided by a previous
Commissioner, except in accordance with principles which
govern the granting of new trials. As the Commissioner is
free to waive any requirement of the rules not required by
statute, the prohibition against reconsideration is
ineffective. Additionally, the deletion of the material
does not necessarily represent an intent to engage in
reconsideration of matters previously decided.
Section 1.191: Section 1.191(a) is amended to permit every
applicant, and every owner of a patent under reexamination,
any of whose claims have been twice or finally (§ 1.113)
rejected (rather than "any of the claims of which have been
twice rejected or given a final rejection (§ 1.113)"), to
file an appeal to the Board of Patent Appeals and
Interferences (Board) to better track the language of
35 U.S.C. 134. Section 1.191(a) is also amended to:
(1) explicitly refer to a "notice of appeal" to provide
antecedent for such term in § 1.192; (2) replace "response"
with "reply" in accordance with the change to § 1.111; and
(3) refer to § 1.17(b) for consistency with the change to § 1.17.
Comment 88: One comment argued that the proposed change to
§ 1.191, limiting the "twice rejected" requirement for
appeal to a particular application, was inconsistent with
35 U.S.C. 134, as indicated by the Board in the unpublished
decision Ex parte Lemoine, Appeal No. 94-0216 (Bd. Pat. App.
& Inter., December 27, 1994). A second comment argued that
§ 1.191 should permit an appeal based on one rejection in a
prior application and one rejection in a continuing
application to avoid requiring an applicant to file a
pro forma reply to meet the requirement that the particular
application be twice rejected.
Response: The comments have been adopted by elimination of
the limitation to twice rejected being related to a
particular application. To avoid inconsistency between
§ 1.191 and 35 U.S.C. 134, § 1.191 as adopted tracks the
language of 35 U.S.C. 134, except that § 1.191 states "twice
or finally (§ 1.113) rejected" rather than "twice rejected."
The patent statute and rules of practice do not permit an
application to be finally rejected (even under first action
final practice) under 35 U.S.C. 132, unless the applicant is
one "whose claims have been twice rejected" within the
meaning of 35 U.S.C. 134. Thus, the phrase "or finally
(§ 1.113)" may be viewed as redundant. Nevertheless, as
applicants generally delay appeal until final action
(although Pub. L. 103-465 may change this practice), and
there has been some confusion as to when 35 U.S.C. 134 and
§ 1.191 permit an applicant to appeal a rejection,
§ 1.191(a) as adopted states "twice or finally (§ 1.113)
rejected."
Section 1.191(b) is amended to eliminate the requirement for
a notice of appeal to: (1) be signed; or (2) identify the
appealed claims. These two requirements have been deleted
as being redundant of the requirements of § 1.192 for an
appeal brief, which is necessary to avoid dismissal of the
appeal. Section 1.33 requires that an appeal brief filed in
either an application (§ 1.33(b)) or a reexamination
proceeding (§ 1.33(c)) be signed. Thus, a signed appeal
brief under § 1.192 (which must be filed to avoid dismissal
of the appeal) will serve to, in effect, ratify any unsigned
notice of appeal under § 1.191. Likewise, the former
requirement of § 1.191(b) for an identification of the
appealed claims is unnecessary as § 1.192(c)(3) requires
that the appeal brief, inter alia, identify the "claims
appealed." While it is no longer specifically required by
§ 1.191(b), an applicant or patent owner should continue to
sign notice of appeals under § 1.191(b) (like other papers)
and to also identify the claims appealed. The change to
§ 1.191(b), in effect, permits an appeal brief to constitute
an automatic "correction" of a notice of appeal that is not
signed or does not identify the appealed claims.
The failure to timely file an appeal brief will result in
dismissal of an appeal (§ 1.192(b)). Thus, the failure to
timely file an appeal brief (signed in compliance with
§ 1.33(b) or (c)) after the filing of an unsigned notice of
appeal will result in dismissal of the appeal as of the
expiration date (including any extensions of time actually
obtained) for filing such appeal brief. It will not result
in treatment of the application or patent under
reexamination as if the notice of appeal had never been
filed. This distinction is significant in an application
containing allowed claims, in that dismissal of an appeal
results in cancellation of the rejected claims and allowance
of the application, not abandonment of the application
(which would have occurred if the notice of appeal had never
been filed).
The Office has eliminated the requirements for a notice of
appeal to be signed and to identify the appealed claims to
avoid the delay and expense to the applicant and the Office
that is involved in treating a defective notice of appeal.
These changes were not made to encourage the filing of
unsigned notices of appeal or notices of appeal that do not
identify the claims being appealed; rather, a notice of
appeal should be signed and identify the claims appealed.
As the change to § 1.191(b) does not affect other papers
submitted with a notice of appeal (e.g., an amendment under
§ 1.116) or other actions contained within the notice of
appeal (e.g., an authorization to charge fees to a deposit
account), the failure to sign a notice of appeal (or
accompanying papers) may have adverse effects
notwithstanding the change to § 1.191(b). For example, an
unsigned notice of appeal filed with an authorization
(unsigned) to charge the appeal fee to a deposit account as
payment of the notice of appeal fee (§ 1.17(b)) will be
unacceptable as lacking the appeal fee, as § 1.191(b)
applies to the notice of appeal, but not to an authorization
to charge a deposit account that happens to be included in
the notice of appeal.
Section 1.192: Section 1.192(a) is amended by replacement
of "response" with "reply" in accordance with the change to
§ 1.111, and to refer to § 1.17(c) for consistency with the
change to § 1.17.
Comment 89: One comment suggested that the appeal process
could be improved by the imposition of a reasonable page
limit on briefs.
Response: The suggestion will be reviewed for further
consideration.
Section 1.193: Section 1.193, as well as §§ 1.194, 1.196,
and 1.197, are amended to change "the appellant" to
"appellant" for consistency. Section 1.193 is also amended
by revision of paragraph (a) into paragraphs (a)(1) and
(a)(2) and revision of paragraph (b) into paragraphs (b)(1)
and (b)(2). Paragraph (a)(1) retains the subject matter of
current paragraph (a), except that the phrase "and a
petition from such decision may be taken to the Commissioner
as provided in § 1.181" is deleted as superfluous. Section
1.181(a), by its terms, authorizes a petition from any
action or requirement of an examiner in the ex parte
prosecution of an application which is not subject to
appeal.
Section 1.193(a)(2) specifically prohibits the inclusion of
a new ground of rejection in an examiner's answer, but also
expressly provides that when (1) an amendment under § 1.116
proposes to add or amend one or more claims, (2) appellant
was advised (in an advisory action) that the amendment under
§ 1.116 would be entered for purposes of appeal, and (3) the
advisory action indicates which individual rejection(s) set
forth in the action from which the appeal was taken (e.g.,
the final rejection) would be used to reject the added or
amended claim(s), then (1) the appeal brief must address the
rejection(s) of the claim(s) added or amended by the
amendment under § 1.116 as indicated in the advisory action,
and (2) the examiner's answer may include the rejection(s)
of the claim(s) added or amended by the amendment under
§ 1.116 as indicated in the advisory action. This provision
of § 1.193(a)(2) is intended for those situations in which a
rejection is stated (i.e., applied to some claim) in the
final Office action, but due to an amendment under § 1.116
(after final) such rejection is now applicable to a claim
that was added or amended under § 1.116. For example, when
an amendment under § 1.116 cancels a claim (the "canceled
claim") and incorporates its limitations into the claim upon
which it depends or rewrites the claim as a new independent
claim (the "appealed claim"), the appealed claim has become
the canceled claim since it now contains the limitations of
the canceled claim (i.e., the only difference between the
appealed claim and the canceled claim is the claim number).
In such situations, the appellant has been given a fair
opportunity to react to the ground of rejection (albeit to a
claim having a different claim number). Thus, the Office
does not consider such a rejection to constitute a "new
ground of rejection" within the meaning of § 1.193(b).
Nevertheless, § 1.193(b)(2) expressly permits such a
rejection on appeal and further provides that "[t]he filing
of an amendment under § 1.116 which is entered for purposes
of appeal represents appellant's consent that when so
advised any appeal proceed on those claim(s) added or
amended by the amendment under § 1.116 subject to any
rejection set forth in the action from which the appeal was
taken" to eliminate controversy as to the rejection(s) to
which claim(s) added or amended under § 1.116 may be subject
on appeal.
The phrase "individual rejections" in § 1.193(a)(2)
addresses the situation in which claim 2 (which depends upon
claim 1) was rejected under 35 U.S.C. 103 on the basis of A
in view of B and claim 3 (which depends upon claim 1) was
rejected under 35 U.S.C. 103 on the basis of A in view of C,
but no claim was rejected under 35 U.S.C. 103 on the basis
of A in view of B and C, and an amendment under § 1.116
proposes to combine the limitations of claims 2 and 3
together into new claim 4. In this situation, the action
from which the appeal is taken sets forth no rejection on
the basis of A in view of B and C, and, as such,
§ 1.193(a)(2) does not authorize the inclusion of rejection
of newly proposed claim 4 under 35 U.S.C. 103 on the basis
of A in view of B and C in the examiner's answer. Of
course, as a claim including the limitations of both claim 2
and claim 3 is a newly proposed claim in the application,
such an amendment under § 1.116 may properly be refused
entry as raising new issues. Conversely, that § 1.193(a)(2)
would authorize the rejection in an examiner's answer of a
claim sought to be added or amended in an amendment under
§ 1.116 has no effect on whether the amendment under § 1.116
is entitled to entry. The provisions of § 1.116 control
whether an amendment under § 1.116 is entitled to entry; the
provisions of § 1.193(a)(2) control the rejections to which
a claim added or amended in an amendment under § 1.116 may
be subject in an examiner's answer.
While § 1.193(a) generally prohibits a new ground of
rejection in an examiner's answer, it does not prohibit the
examiner from expanding upon or varying the rationale for a
ground of rejection set forth in the action being appealed.
That is, the parenthetical definition of "new ground of
rejection" in MPEP 1208.01 as including an "other reason for
rejection" of the appealed claims means another basis for
rejection of the appealed claims, and not simply another
argument, rationale, or reason submitted in support of a
rejection previously of record.
There is no new ground of rejection when the basic thrust of the rejection remains the same such that an appellant has been given a fair opportunity to react to the rejection. See In re Kronig, 539 F.2d 1300, 1302-03, 190 USPQ 425,
426-27 (CCPA 1976). Where the statutory basis for the
rejection remains the same, and the evidence relied upon in
support of the rejection remains the same, a change in the
discussion of or rationale for supporting the rejection does
not constitute a new ground of rejection. Id. at 1303, 190
USPQ at 427 (reliance upon fewer references in affirming a
rejection under 35 U.S.C. 103 does not constitute a new
ground of rejection). Where the examiner simply changes (or
adds) a rationale for supporting a rejection, but relies
upon the same statutory basis and evidence in support of the
rejection, there is no new ground of rejection.
In any event, an allegation that an examiner's answer
contains an impermissible new ground of rejection is waived
if not timely (§ 1.181(f)) raised by way of a petition under
§ 1.181(a).
Section 1.193(b)(1) provides appellant with a right to file
a reply brief in reply to an examiner's answer which is not
dependent upon a new point of argument being present in the
examiner's answer. The former practice of permitting reply
briefs based solely on a finding of a new point of argument,
as set forth in former paragraph (b), is eliminated thereby
preventing present controversies as to whether a new point
of argument has been made by the primary examiner.
Appellant would be assured of having the last submission
prior to review by the Board. Upon receipt of a reply
brief, the examiner would either acknowledge its receipt and
entry or reopen prosecution to respond to any new issues
raised in the reply brief. Should the Board desire to
remand the appeal to the primary examiner for comment on the
latest submission by appellant or to clarify an examiner's
answer (MPEP 1211, 1211.01, and 1212), appellant would be
entitled to submit a reply brief in reply to the answer by
the examiner to the Board's inquiry, which answer would be
by way of a supplemental examiner's answer.
Thus, § 1.193(a)(2) does not permit a new ground of
rejection in an examiner's answer, and § 1.193(b)(1) does
not, in the absence of a remand by the Board, permit an
answer (other than a mere acknowledgment) to a timely filed
reply brief. Section 1.193 requires the examiner to reopen
prosecution to either: (1) enter a new ground of rejection;
or (2) provide a substantive answer to a reply brief.
Section 1.193(b)(2) provides that if appellant desires that
the appeal process be reinstated in reply to the examiner's
reopening of prosecution under § 1.193(b)(1), appellant
would be able to file a request to reinstate the appeal and
a supplemental appeal brief as an alternative to filing a
reply (under §§ 1.111 or 1.113, as appropriate) to the
Office action. Amendments, affidavits or other new
evidence, however, would not be entered if submitted with a
request to reinstate the appeal. Like a reply brief, a
supplemental appeal brief submitted pursuant to
§ 1.193(b)(2)(ii) need not reiterate the contentions set
forth in a previously filed appeal brief (or reply brief),
but need only set forth appellant's contention with regard
to the new ground of rejection(s) raised in the Office
action that reopened prosecution. The supplemental appeal
brief will automatically incorporate all issues and
arguments raised in the previously filed appeal brief (or
reply brief), unless appellant indicates otherwise.
The intent of the change to § 1.193(b) is to give appellant
(rather than the examiner) the option to continue the appeal
if desired (particularly under Pub. L. 103-465), or to
continue prosecution before the examiner in the face of a
new ground of rejection. Should a supplemental appeal brief
be elected as the reply to the examiner reopening
prosecution based on a new ground of rejection under
§ 1.193(b)(1), the examiner may under § 1.193(a)(1) issue an
examiner's answer. Where an appeal is reinstated pursuant
to § 1.193(b)(2)(ii), no additional appeal fee is currently
required.
Comment 90: A number of comments favored permitting
appellants to file a reply brief as a matter of right. One
comment argued that the Board, rather than the examiner,
should determine whether the appellant should be permitted
to file a reply brief.
Response: Section 1.193 as adopted permits an appellant to
file a reply brief as a matter of right. This change
eliminates the authority of an examiner to refuse entry of a
timely filed reply brief.
Comment 91: One comment suggested that a reasonable page
limit could be placed on reply briefs.
Response: The comment will be studied.
Comment 92: A number of comments opposed the proposed
change to require a substitute appeal brief, rather than a
reply brief. These comments argued that requiring an
entirely new brief reiterating previously submitted
arguments, rather than a mere reply to the examiner's
answer, would result in a less readable and coherent record.
Response: Section 1.193 as adopted permits a reply brief
(rather than a substitute appeal brief) where the appellant
desires to reply to an examiner's answer or and a
supplemental appeal brief where the appellant requests
reinstatement of an appeal. Contentions (or information)
set forth in a previously filed appeal (or reply brief) need
not be reiterated in a reply brief or supplemental appeal
brief.
Comment 93: A number of comments favored prohibiting a new
ground of rejection in an examiner's answer.
Response: Section 1.193 as adopted prohibits a new ground
of rejection in an examiner's answer, except under the
limited circumstance specifically provided for in
§ 1.193(a)(2).
Comment 94: Two comments suggested that if the examiner
reopens prosecution after an appeal brief has been filed,
§§ 1.193 or 1.113 should be amended to state that the action
issued by the examiner cannot be made final.
Response: The finality of an Office action is determined
under MPEP 706.07(a), which states that "any second or
subsequent actions on the merits shall be final, except
where the examiner introduces a new ground of rejection not
necessitated by amendment of the application by applicant."
Whether the action subsequent to the reopening of
prosecution may be made final will be determined solely by
whether such action includes a new ground of rejection not
necessitated by amendment of the application by the
applicant. Thus, where an amendment under § 1.116 entered
as a result of reopening of prosecution necessitates a new
ground of rejection, the action immediately subsequent to
the reopening of prosecution may be made final. See MPEP
706.07(a) and 1208.01.
Comment 95: One comment would go further in permitting
applicant to reinstate an appeal as a reply to the examiner
reopening prosecution by permitting amendments, affidavits
and other evidence to address the new ground of rejection.
Another comment desired the ability to reply directly to the
Board for any new ground of rejection raised by the Board.
Response: The comments amount to having the Board conduct
the prosecution of the application and not act as an
appellate review. Amended claims, affidavits and other
evidence should be seen by the examiner first for a
determination as to whether a new search is required, to
conduct any newly required search, and also to evaluate the
newly submitted and any newly discovered material at the
examination level. See comments to § 1.196(d).
Comment 96: One comment would further amend § 1.193 to
waive any subsequent appeal notice fee and appeal brief fee,
and start the time period for extension of patent from the
time of first appeal in that if the examiner did his or her
duty properly there would be no need to reopen prosecution.
Response: Under current practice, a new fee is due for each
notice of appeal, each brief, and each request for an oral
hearing, so long as a decision on the merits by the Board
resulted from the prior notice of appeal, brief, and request
for an oral hearing. Thus, when an examiner reopens
prosecution after appeal but prior to a decision by the
Board on the appeal, the fee for the notice of appeal,
brief, and request for an oral hearing will apply to a later
appeal. The change to § 1.193 in this Final Rule is not
germane to patent term extension under 35 U.S.C. 154(b) and
§ 1.701.
In any event, that prosecution is reopened subsequent to the
filing of an appeal brief is not necessarily a concession
that the rejection of the appealed claims was in error. It
is often the case that prosecution is reopened subsequent to
the filing of an appeal brief in the situation in which the
examiner considers the rejection of the appealed claims to
be appropriate (and thus the appeal to be without merit),
but discovers a better basis for rejecting the claims at
issue (e.g., even better prior art references). To
characterize an examiner, who decides to reopen prosecution
to avoid wasting the Board's resources (and the appellant's
time) with a rejection that is not the best possible
rejection of the appealed claims, as an examiner who is not
properly performing his or her duties, would be non-sensical.
Comment 97: One comment opposed prohibiting a new ground of
rejection in an examiner's answer. The comment argued that
this change will result in unnecessary delays in
prosecution.
Response: The proposal to prohibit a new ground of
rejection in an examiner's answer otherwise received
overwhelming support. Under Pub. L. 103-465, any delay in
prosecution resulting from the reopening of prosecution is
to the detriment of the applicant. Thus, it is considered
appropriate to give the applicant the choice of whether to
prosecute the application before the examiner or reinstate
the appeal.
Section 1.194: Section 1.194(b) is amended to provide that
a request for an oral hearing must be filed in a separate
paper, and to refer to § 1.17(d) for consistency with the
change to § 1.17.
Section 1.194(c) is amended to provide that appellant will
be notified when a requested oral hearing is unnecessary
(e.g., a remand is required).
Comment 98: One comment argued that § 1.194 leaves an open
statement as to when the Board may decide that an oral
hearing is not necessary, in that this section does not
limit considering an oral hearing not necessary to when the
application has been remanded to the examiner.
Response: The situation in which an application has been
remanded to the examiner was simply an exemplary situation
of special circumstances in which the Board may determine
that an oral hearing is not necessary. Section 1.194 was
not meant to limit the discretion of the Board to determine
that an oral hearing is not necessary to those situations
when the application has been remanded to the examiner.
Section 1.196: Section 1.196 paragraphs (b) and (d) are
combined by amending paragraph § 1.196(b) to specifically
provide therein for a new ground of rejection for both
appealed claims and for allowed claims present in an
application containing claims that have been appealed rather
than the current practice under § 1.196(d) of recommending a
rejection of allowed claims that is binding on the examiner.
The effect of an explicit rejection of an allowed claim by
the Board is not seen to differ from a recommendation of a
rejection and would serve to advance the prosecution of the
application by having the rejection made at an earlier date
by the Board rather than waiting for the application to be
forwarded and acted upon by the examiner. The former
practice that the examiner is not bound by the rejection
should appellant elect to proceed under § 1.196(b)(1) and an
amendment or showing of facts not previously of record in
the opinion of the examiner overcomes the new ground of
rejection, is not changed. A period of two months is now
explicitly set forth for a reply to a decision by the Board
containing a new ground of rejection pursuant to § 1.196(b),
which would alter the one month previously set forth for
replies to recommended rejections of previously allowed
claims. See MPEP 1214.01. Extensions of time continue to
be governed by § 1.196(f) and § 1.136(b) (and not by
§ 1.136(a)).
The last sentence of § 1.196(b)(2) is amended to clarify
that appellants do not have to both appeal and file a
request for rehearing where only a rehearing of a portion of
the decision is sought. A decision on a request for
rehearing will incorporate the earlier decision for purposes
of appeal of the earlier decision in situations in which
only a partial request for rehearing has been filed.
Additionally, it is clarified that decisions on rehearing
are final unless noted otherwise in the decision in that
under some circumstances it may not be appropriate to make a
decision on rehearing final as is currently automatically
provided for. Section 1.196(b) is also amended to clarify
that the appellant must exercise one of the two options with
respect to the new ground of rejection under § 1.196(b) to
avoid termination of proceedings (§ 1.197(c)) as to the
rejected claims.
Section 1.196(b)(2) (and §§ 1.197(b) and 1.304(a)(1)) are
amended to change the phrase "request for reconsideration"
to "request for rehearing" for consistency with 35 U.S.C.
7(b). See In re Alappat, 33 F.3d 1526, 1533, 31 USPQ2d
1545, 1548 (Fed. Cir. 1994)(en banc)(noting "imprecise
regulation drafting" in regard to the phrase "request for
reconsideration" in § 1.197).
Section 1.196(d) is amended to provide the Board with
explicit authority to have an appellant clarify the record
in addition to what is already provided by way of remand to
the examiner (MPEP 1211), and appellant's compliance with
the requirements of an appeal brief (§ 1.192(d)). Section
1.196(d) specifically provides that an appellant may be
required to address any matter that is deemed appropriate
for a reasoned decision on the pending appeal, which may
include: (1) the applicability of particular case law that
has not been previously identified as relevant to an issue
in the appeal; (2) the applicability of prior art that has
not been made of record; or (3) the availability of
particular test data that would be persuasive in rebutting a
ground of rejection. Section 1.196(d) also provides that
appellant would be given a non-extendable time period (not a
time limit) within which to reply to any requirement under
§ 1.196(d).
Comment 99: One comment suggested that § 1.196(b) would
appear to authorize the Board to reverse a restriction
requirement, as § 1.196(b) authorizes the Board to reject
any pending claim. The comment suggested that § 1.196(b)
authorize the Board to reject any examined (rather than
pending) claim.
Response: Section 1.196(b) authorizes, but does not
require, the Board to reject claims not involved in the
appeal. The Board has held that a restriction requirement
is not an adverse decision within the meaning of 35 U.S.C. 7
and 134 subject to appeal, and the CCPA and Federal Circuit
have supported this position. See In re Hengehold, 440 F.2d
1395, 169 USPQ 473 (CCPA 1971); see also In re Watkinson,
900 F.2d 230, 14 USPQ2d 1407 (Fed. Cir. 1990). Thus,
concerns that the Board will use the provisions of
§ 1.196(b) to review restriction requirements are misguided.
Comment 100: Several comments opposed the change to
§ 1.196(d) on the basis that it places the Board in the
position of acting as an examiner in the first instance.
Response: Section 1.196(d) authorizes, but does not
require, the Board to require an appellant to clarify the
record without remanding the application to the examiner.
This change will authorize the Board to obtain clarification
directly from the appellant in those situations in which the
Board considers a remand to or further action by the
examiner unnecessary. Where the Board considers action by
an examiner in the first instance to be necessary or
desirable, the Board retains the authority to remand the
application to the examiner for such action. Additionally,
after reply to an inquiry under § 1.196(d) (e.g., does there
exist test data that would be persuasive in rebutting a
particular ground of rejection), a remand to the examiner
may be deemed to be appropriate (e.g., to evaluate test data
received in reply to an inquiry).
Section 1.197: Section 1.197(b) is amended to eliminate its
use of the passive voice. Section 1.197(b) is also amended
to change "reconsideration or modification" to "rehearing"
for consistency with 35 U.S.C. 7(b). For consistency with
the two-month period set forth in § 1.196(b), § 1.197(b) is
also amended to provide a two-month period (rather than a
one-month period) within which an appellant may file the
single request for rehearing permitted by § 1.197(b).
No comments were received regarding the proposed change to
§ 1.197.
Section 1.291: Section 1.291(c) is amended by removing the
blanket limitation of one protest per protestor and would
provide for a second or subsequent submission in the form of
additional prior art. Mere argument that is later submitted
by an initial protestor would continue not to be entered and
would be returned unless it is shown that the argument
relates to a new issue that could not have been earlier
raised. See MPEP 1901.07(b). Although later submitted
prior art would be made of record by a previous protestor
without a showing that it relates to a new issue, it should
be noted that entry of later submitted prior art in the file
record does not assure its consideration by the examiner if
submitted late in the examination process. Accordingly,
initial protests should be as complete as possible when
first filed.
In view of the amendment to § 1.291(a) in the "Miscellaneous
Changes in Patent Practice" Final Rule (discussed supra) to
require that a protest be filed prior to the mailing of a
notice of allowance under § 1.311 to be considered timely
(§ 1.291(a)(1)), the restriction of protests by number is
deemed unnecessary and is recognized as ineffective, in that
a party may effectively file multiple protests by submitting
each protest through a third party agent acting on behalf of
such party.
Comment 101: One comment suggested that permitting more
than one submission by a particular party relating to prior
art poses a risk that a third party may sequentially submit
individual pieces of prior art as a delaying factor.
Response: Any delay in submission of a piece of prior art
by a third party poses the risk that the later submitted
prior art will not be considered, particularly if it is seen
as part of a pattern. The review of any piece of prior art,
assuming it is not part of a large package, to determine its
value is not seen to result in any delay in issuing an
Office action. It is recognized that some delay may result
where a piece of prior art in a second submission by a third
party is utilized in a rejection that could have been made
sooner if that art had been submitted earlier; however, on
balance the Office would prefer to delay prosecution of an
application and consider and apply a newly submitted
reference not found by the examiner rather than issue an
invalid claim.
Section 1.291(c) is also amended to: (1) delete the
sentence "[t]he Office may communicate with the applicant
regarding any protest and may require the applicant to reply
to specific questions raised by the protest" as superfluous
as the Office may communicate with an applicant regarding
any matter, and require the applicant to reply to specific
questions, concerning the application; (2) replace "respond"
with "reply" in accordance with the change to § 1.111.
Section 1.293: Section 1.293 paragraph (c) is amended to
replace the reference to § 1.106(e) with a reference to
§ 1.104(c)(5), to reflect a transfer of material.
Section 1.294: Section 1.294 paragraph (b) is amended by
replacement of "response" with "reply" in accordance with
the change to § 1.111.
No comments were received regarding the proposed change to
§ 1.294.
Section 1.304: Section 1.304(a)(1) is amended to replace
"consideration" by "reconsideration" to correct a
typographical error.
No comments were received regarding the proposed change to
§ 1.304.
Section 1.312: Section 1.312(b) is amended to have a
reference to § 1.175(b) added in view of the change in
§ 1.175(b) referencing § 1.312(b).
No comments were received regarding the proposed change to
§ 1.312.
Section 1.313: Section 1.313 will not be amended with the
addition of paragraph (c) informing applicants that unless
written notification is received that the application has
been withdrawn from issue at least two weeks prior to the
projected date of issue, applicants should expect that the
application will issue as a patent. The matter will be
further studied. It should be noted, however, that once an
application has issued, the Office is without authority to
grant a request under § 1.313 notwithstanding submission of
the request prior to issuance of the patent.
Section 1.316: Section 1.316 is amended to include only the
language of former § 1.316(a). The subject matter of former
paragraphs (b) through (f) of § 1.316 were added to § 1.137.
No comments were received regarding the proposed change to
§ 1.316.
Section 1.317: Section 1.317 is amended to include only the
language of former § 1.317(a). The subject matter of former
paragraphs (b), (c), (e) and (f) of § 1.317 were added to
§ 1.137.
No comments were received regarding the proposed change to
§ 1.317.
Section 1.318: Section 1.318 is removed and reserved as
being an internal Office instruction.
See comments relating to § 1.101.
Section 1.324: Section 1.324 is amended by creating
paragraphs (a) and (b). The requirement for factual
showings to establish a lack of deceptive intent is deleted,
with a statement to that effect being sufficient, paragraph
(a).
Office practice is to require the same type and character of proof of facts as in petitions under § 1.48(a). See MPEP 1481. Unlike former § 1.48, former § 1.324 contained no diligence requirement. See Stark v. Advanced Magnetics, Inc., 29 F.3d 1570, 1574, 31 USPQ2d 1290, 1293 (Fed. Cir. 1994). Section 1.324 (and § 1.48) as adopted contain no diligence requirement, for the reasons set forth in the discussion of § 1.48.
Section 1.324(b)(1) is amended to explicitly require a
statement relating to the lack of deceptive intent only from
each person who is being added or deleted as an inventor, as
opposed to the current practice of requiring a statement
from each original named inventor and any inventor to be
added.
The current requirements for an oath or declaration under
§ 1.63 by each actual inventor is replaced, paragraph (b)(2)
of § 1.324, by a statement from the current named inventors
who have not submitted a statement under paragraph (b)(1) of
§ 1.324 either agreeing to the change of inventorship or
stating that they have no disagreement in regard to the
requested change. Not every original named inventor would
necessarily have knowledge of each of the contributions of
the other inventors and/or how the inventorship error
occurred, in which case their lack of disagreement to the
requested change would be sufficient.
Paragraph (b)(3) of § 1.324 requires the written consent of
the assignees of all parties who submitted a statement under
paragraph (b)(1) and (b)(2) of this section similar to the
current practice of consents by the assignees of all the
existing patentees. A clarification reference to § 3.73(b)
is added.
Paragraph (b)(4) of § 1.324 states the requirement for a
petition fee as set forth in § 1.20(b).
No adverse comments were received regarding the proposed
change to § 1.324.
Section 1.325: The proposed removal of § 1.325 is
withdrawn. See comments relating to § 1.101.
Section 1.351: The proposed removal of § 1.351 is
withdrawn. See comments relating to § 1.101.
Section 1.352: Section 1.352 is removed and reserved as
unnecessary as an internal instruction.
See comments relating to § 1.101.
Section 1.366: Section 1.366(b) is amended to remove the
term "certificate" as unnecessary. Section 1.366(c) is
amended for clarity by changing "serial number" to
"application number," which consists of the serial number
and the series code (e.g., "08/").
Paragraph (d) removes the request for the information
concerning the issue date of the original patent and filing
date of the application for the original patent as
unnecessary. The term "serial" is also removed from
paragraph (d).
No comments were received regarding the proposed change to
§ 1.366.
Section 1.377: Section 1.377(c) is amended to remove the
requirement that the petition be verified in accordance with
the change to §§ 1.4(d)(2) and 10.18.
No comments were received regarding the proposed change to
§ 1.377.
Section 1.378: Section 1.378(d) is amended to remove the
requirement that the statement be verified in accordance
with the change to §§ 1.4(d)(2) and 10.18.
No comments were received regarding the proposed change to
§ 1.378.
Section 1.425: Section 1.425 is amended by removing
paragraph (a) and its requirement for proof of the pertinent
facts relating to the lack of cooperation or unavailability
of the inventor for which status is sought. In addition,
§ 1.425 is further amended by deleting paragraph (b) and its
requirements for proof of the pertinent facts, presence of a
sufficient proprietary interest, and a showing that such
action is necessary to preserve the rights of the parties or
to prevent irreparable damage. Additionally, the
requirement that the last known address of the non-signing
inventor be stated has been removed. The current
requirements are thought to be unnecessary in view of the
need for submission of the same information in a petition
under § 1.47 during the national stage. The paragraph added
parallels the requirement in PCT Rule 4.15 for a statement
explaining to the satisfaction of the Commissioner the lack
of the signature concerned for submission of the
international application.
No comments were received regarding the proposed change to
§ 1.425.
Section 1.484: Section 1.484 paragraphs (d) through (f) are
amended by replacement of "response" and "respond" with
"reply" in accordance with the change to § 1.111.
No comments were received regarding the proposed change to
§ 1.484.
Section 1.485: Section 1.485(a) is amended by replacement
of "response" with "reply" in accordance with the change to
§ 1.111.
No comments were received regarding the proposed change to
§ 1.485.
Section 1.488: Section 1.488(b)(3) is amended by
replacement of "response" with "reply" in accordance with
the change to § 1.111.
No comments were received regarding the proposed change to
§ 1.488.
Section 1.492: Section 1.492 is amended to add new
paragraph (g). See the amendment to § 1.16 adding a new
paragraph (m).
No comments were received regarding the proposed change to
§ 1.492.
Section 1.494: Section 1.494(c) is amended by replacement
of "response" with "reply" in accordance with the change to
§ 1.111.
No comments were received regarding the proposed change to
§ 1.494.
Section 1.495: Section 1.495(c) is amended by replacement
of "response" with "reply" in accordance with the change to
§ 1.111.
No comments were received regarding the proposed change to
§ 1.495.
Section 1.510: Section 1.510(e) is amended to replace a
reference to § 1.121(f) with a reference to § 1.530(d),
which sets forth the requirements for an amendment in a
reexamination proceeding.
No comments were received regarding the proposed change to
§ 1.510.
Section 1.530: The title has been changed by the addition
of a semicolon to clarify that the section is intended to
cover not only amendments submitted with the statement, but
also amendments submitted at any other stage of the
reexamination proceedings.
Section 1.530(d) is replaced by paragraphs (d)(1) through
(d)(7) removing the reference to § 1.121(f) in accordance
with the deletion of § 1.121(f). The manner of proposing
amendments in reexamination proceedings is governed by
§ 1.530(d)(1) through (d)(6). Paragraph (d)(1) is directed
to the manner of proposing amendments in the specification,
other than in the claims. Paragraph (d)(1)(i) requires that
amendments including deletions be made by submission of a
copy of one or more newly added or rewritten paragraphs with
markings, except that an entire paragraph may be deleted by
a statement deleting the paragraph without presentation of
the text of the paragraph. Paragraph (d)(1)(ii) requires
indication of the precise point in the specification where
the paragraph which is being amended is located. When a
change in one sentence, paragraph, or page results in only
format changes to other pages (e.g., shifting of non-amended
text to subsequent pages) not otherwise being amended, such
format changes are not to be submitted. Paragraph
(d)(1)(iii) defines the markings set forth in paragraph
(d)(1)(ii). Proposed paragraph (d)(1)(iii), relating to a
requirement for submission of all amendments be presented
when any amendment to the specification is made, was not
implemented.
Paragraph (d)(2) of § 1.530 relates to the manner of
proposing amendments to the claims in reexamination
proceedings. Paragraph (d)(2)(i)(A) of § 1.530 requires
that a proposed amendment include the entire text of each
patent claim which is proposed to be amended by the current
amendment and each proposed new claim being added by the
current amendment. Additionally, provision has been made
for the cancellation of a patent claim or of a previously
proposed new claim by a direction to cancel without the need
for marking by brackets. Paragraph (d)(2)(i)(B) prohibits
the renumbering of the patent claims and requires that any
proposed new claims follow the number of the highest
numbered patent claim. Paragraph (d)(2)(i)(C) identifies
the type of markings required by paragraph (d)(2)(i)(A),
single underlining for added material and single brackets
for material deleted.
Paragraph (d)(2)(ii) requires the patent owner to set forth
the status (i.e., pending or cancelled) of all patent
claims, and of all currently proposed new claims, as of the
date of the submission of each proposed amendment. The
absence of claim status would result in a notice of informal
response.
Paragraph (d)(2)(iii) of § 1.530 requires an explanation of
the support in the disclosure for any amendments to the
claims presented for the first time on pages separate from
the amendments along with any additional comments. The
absence of an explanation would result in a notice of
informal response.
Proposed paragraphs (d)(2)(iv) and (v), relating to a
requirement for presentation of all amendments as of the
date any amendment to the claims is made, and to the
treatment of the failure to submit a copy of any added claim
as a direction to cancel that claim, were not implemented.
Paragraph (d)(3) of § 1.530 provides that: (1) an amendment
may not enlarge the scope of the claims of the patent,
(2) no amendment may be proposed for entry in an expired
patent, and (3) no amendment will be incorporated into the
patent by certificate issued after the expiration of the
patent.
Paragraph (d)(4) of § 1.530 provides that amendments
proposed to a patent during reexamination proceedings will
not be effective until a reexamination certificate is
issued. This replaces paragraph (e) of § 1.530, which has
been removed and reserved.
Paragraph (d)(5) of § 1.530 provides the criteria for the
form of amendments in reexamination proceedings (i.e., paper
size must be either letter size or A4 size, and not legal
size).
Paragraph (d)(6) of § 1.530 clarifies that proposed
amendments to the patent drawing sheets are not permitted
and that any change must be by way of a new sheet of
drawings with the proposed amended figures being identified
as "amended" and with proposed added figures identified as
"new" for each sheet that has changed. Material in
paragraph (d)(6) has been transferred from cancelled
§ 1.115.
Paragraph (d)(7) of § 1.530, has been added in view of the
deletion of § 1.115 paragraph (d), requires amendment of the
disclosure in certain situations (i.e., to correct
inaccuracies of description and definition) and to secure
substantial correspondence between the claims, the remainder
of the specification, and the drawings. The previous
requirement for "correspondence" has been modified by use of
"substantial correspondence." See comments to § 1.115.
Paragraph (d)(8) of § 1.530 has been added to clarify that
all amendments to the patent being reexamined must be made
relative to (i.e., vis-à-vis) the patent specification in
effect as of the date of the filing of the request for
reexamination (the patent specification includes the
claims). If there was a prior change to the patent (made
via a prior reexamination certificate, reissue of the
patent, certificate of correction, etc.), the first
amendment must be made relative to the patent specification
as changed by the prior proceeding or other mechanism for
changing the patent. In addition, all amendments subsequent
to the first amendment must be made relative to the patent
specification in effect as of the date of the filing of the
request for reexamination, and not relative to the prior
amendment.
Paragraph (e) of § 1.530 has been removed with the material
formerly contained therein transferred to new paragraph
(d)(4) of § 1.530.
The proposed change in §§ 1.530, 1.550, and 1.560 to replace
"response," "responses" and "respond" with "reply" in
accordance with the change to § 1.111 is not being adopted
at this time. As the term "reply" in a reexamination
proceeding refers to the "reply" of a third party requester
(§ 1.535), the Office is withdrawing for further
consideration what term should consistently be used for the
"reply" or "response" by the patent owner and what term
should consistently be used for the "reply" by a third party
requester.
Section 1.550: Paragraph (a) of § 1.550 is amended to
conform the citation to §§ 1.104 through 1.119 to the
changes to §§ 1.104 through 1.119. Paragraphs (b) and (e)
of § 1.550 are amended for clarification purposes.
Paragraph (e) of § 1.550 clarifies present Office practice
of requiring, after filing of a request for reexamination by
a third party requester, the service of any document filed
by either the patent owner or the third party on the other
party in the reexamination proceeding in the manner provided
in § 1.248.
No comments were received regarding the proposed change to
§ 1.550.
Section 1.770: Section 1.770 is amended by replacement of
"response" with "reply" in accordance with the change to
§ 1.111.
No comments were received regarding the proposed change to
§ 1.770.
Section 1.785: Section 1.785 is amended by replacement of
"response" with "reply" in accordance with the change to
§ 1.111.
No comments were received regarding the proposed change to
§ 1.785.
Section 1.804: Section 1.804(b) is clarified grammatically
by changing "shall state" to "stating" and is amended to
delete the requirement that the statement be verified in
accordance with the change to §§ 1.4(d)(2) and 10.18.
No comments were received regarding the proposed change to
§ 1.804.
Section 1.805: Section 1.805(c) is amended by deleting
"verified" in accordance with the change to §§ 1.4(d) and
10.18 and removing unnecessary language noting that an
attorney or agent registered to practice need not verify
their statements.
No comments were received regarding the proposed change to
§ 1.805.
Part 3: Portions of Part 3 are amended to incorporate Part
7, which part is removed and reserved.
No comments were received regarding the proposed change to
Part 3.
Section 3.11: Section 3.11(a) is created for the current
subject matter and a new paragraph (b) is added citing
Executive Order 9424 of February 18, 1944 (9 FR 1959, 3 CFR
1943-1949 Comp., p. 303) and its requirements that several
departments and other executive agencies of the Government
forward items for recording.
Section 3.21: Section 3.21 is amended to replace the
reference to "§ 1.53(b)(1)" with a reference to "§ 1.53(b)"
and to delete the reference to "§ 1.62" for consistency with
the amendment to § 1.53 and the deletion of § 1.62.
Section 3.26: Section 3.26 is amended to remove the
requirement that an English language translation be verified
in accordance with the change to §§ 1.4(d)(2) and 10.18.
Section 3.27: The current subject matter of § 3.27 is
designated as paragraph (a), and a paragraph (b) is added to
cite Executive Order 9424 and a mailing address therefor.
Section 3.31: Section 3.31(c) is added to require that:
(1) the cover sheet must indicate that the document is to be
recorded on the Governmental Register; (2) the document is
to be recorded on the Secret Register (if applicable); and
(3) the document does not affect title (if applicable).
Section 3.41: The current subject matter of § 3.41 is
designated as paragraph (a), and a paragraph (b) is added to
specify when no recording fee is required for documents
required to be filed pursuant to Executive Order 9424.
Section 3.51: Section 3.51 is amended by removing the term
"certification" as unnecessary in accordance with the change
to §§ 1.4(d)(2) and 10.18.
Section 3.58: Section 3.58 is added to provide for the
maintaining of a Department Register to record Government
interests required by Executive Order 9424 in § 3.58(a).
New § 3.58(b) provides that the Office maintain a Secret
Register to record Government interests also required by the
Executive Order.
Section 3.73: Section 3.73(b) is amended to remove the
sentence requiring an assignee to specifically state that
the evidentiary documents have been reviewed and to certify
that title is in the assignee seeking to take action. The
sentence is deemed to be unnecessary in view of the
amendment to §§ 1.4(d) and 10.18.
Section 3.73 paragraph (b) has also been amended to replace
the language "assignee of the entire right, title and
interest" with "assignee." This change provides for the
applicability of the paragraph to assignees with a partial
interest, such as is often encountered in reissue
applications.
Section 3.73(b) is clarified by addition of a reference to
an example of documentary evidence that can be submitted.
Part 5:
No comments were received regarding the proposed change to
Part 5.
Section 5.1: Section 5.1 is amended by removing the current
subject matter as being duplicative of material in the other
sections of this part and is replaced by subject matter
deleted from § 5.33.
Section 5.2: Section 5.2(b) is amended by removing the
subject matter as being duplicative of material in the other
sections of this part and is replaced with subject matter of
the first sentence from § 5.7. Section 5.2 paragraphs (c)
and (d) are removed as repetitive of material in the other
sections of this part.
Section 5.3: Section 5.3 is amended by replacement of
"response" with "reply" in accordance with the change to
§ 1.111.
Section 5.4: Section 5.4 is amended by removing unnecessary
subject matter from paragraph (a), eliminating, in paragraph
(d), the requirement that the petition be verified in
accordance with the amendment to §§ 1.4(d)(2) and 10.18, and
by adding the first and second sentences of § 5.8 to
§ 5.4(d).
Section 5.5: Section 5.5 is amended by removing unnecessary
subject matter from paragraph (b) and by replacing current
§ 5.5(e) with subject matter removed from § 5.6(a).
Section 5.6: Section 5.6 is removed and reserved with the
subject matter of § 5.6(a) being placed in § 5.5(e).
Section 5.7: Section 5.7 is removed and reserved with the
first sentence thereof being placed in § 5.2(b).
Section 5.8: Section 5.8 is removed and reserved with the
subject matter from the first and second sentences thereof
being placed in § 5.4(d).
Sections 5.11: Section 5.11, paragraphs (b), (c) and (e),
are amended to update the references to other parts of the
Code of Federal Regulations.
Section 5.12: Section 5.12(b) is amended to clarify that
the petition fee (§ 1.17(h)) is required only when expedited
handling is sought for the petition.
Section 5.13: Section 5.13 is amended by removing the last
two sentences which are considered to be unnecessary.
Section 5.13 is also amended to remove the language
concerning the requirement for the petition fee (§ 1.17(h))
for expedited handling of a petition under § 5.12(b), which
is duplicative of the provisions of § 5.12(b). This
amendment does not change current practice.
Section 5.14: Section 5.14(a) is amended by removing
unnecessary subject matter and replacing "serial number"
with the more appropriate designation "application number."
Section 5.14(a) is also amended to remove the language
concerning the requirement for the petition fee (§ 1.17(h))
for expedited handling of a petition under § 5.12(b), which
is duplicative of the provisions of § 5.12(b). This
amendment does not change current practice.
Section 5.15: Section 5.15, paragraphs (a), (b), (c), and
(e), are amended by removing unnecessary subject matter and
to update the references to other parts of the Code of
Federal Regulations.
Section 5.16: Section 5.16 is removed and reserved as
unnecessary.
Section 5.17: Section 5.17 is removed and reserved as
unnecessary.
Section 5.18: Section 5.18 is amended to update the
references to other parts of the Code of Federal
Regulations.
Sections 5.19: Sections 5.19(a) and (b) are amended to
update the references to other parts of the Code of Federal
Regulations. Section 5.19(c) is removed as unnecessary.
Section 5.20: Section 5.20 is amended to include only the
language of former § 5.20(a).
Section 5.25: Section 5.25(c) is removed as unnecessary.
Section 5.31: Section 5.31 is removed and reserved as
unnecessary.
Section 5.32: Section 5.32 is removed and reserved as
unnecessary.
Section 5.33: Section 5.33 is removed and reserved and its
subject matter added to § 5.1.
Part 7: Part 7 is removed and reserved as the substance
thereof is incorporated into part 3.
No comments were received regarding the proposed change to
Part 7.
Part 10:
Section 10.18: The heading of § 10.18 is amended to read
"[s]ignature and certificate for correspondence filed in the
Patent and Trademark Office" to reflect that it, as amended,
applies to correspondence filed by non-practitioners as well
as practitioners.
Section 10.18(a) is amended to provide that for all
documents filed in the Office in patent, trademark, and
other non-patent matters, except for correspondence that is
required to be signed by the applicant or party, each piece
of correspondence filed by a practitioner in the Patent and
Trademark Office must bear a signature, personally signed by
such practitioner, in compliance with § 1.4(d)(1). This
amendment is simply a clarification of the requirements of
former § 10.18(a).
Section 10.18 is further amended (in § 10.18 paragraphs (b)
and (c)) to include the changes proposed to § 1.4 paragraphs
(d)(2) and (d)(3). These changes to 37 CFR Part 10 are to
avoid a dual standard between 37 CFR Parts 1 and 10 as to
practitioners. In addition, by operation of § 1.4(d)(2),
the provisions of § 10.18 paragraphs (b) and (c) are
applicable to any party (whether a practitioner or non-practitioner) presenting any paper to the Office. As any
party (whether a practitioner or non-practitioner)
presenting any paper to the Office is subject to the
provisions of § 10.18 paragraphs (b) and (c), this change
also avoids a dual standard between practitioners and non-practitioners as to the certification provisions of
§ 10.18(b) and the sanctions provisions of § 10.18(c). The
only difference between a practitioner and a non-practitioner as to § 10.18 paragraphs (b) and (c) is that a
practitioner may also be subject to disciplinary action for
violations of § 10.18(b) in addition to or in lieu of
sanctions under § 10.18(c).
Section 10.18(b)(1) is specifically amended to provide that,
by presenting to the Office (whether by signing, filing,
submitting, or later advocating) any paper, the party
presenting such paper (whether a practitioner or non-practitioner) is certifying that all statements made therein
of the party's own knowledge are true, all statements made
therein on information and belief are believed to be true,
and all statements made therein are made with the knowledge
that whoever, in any matter within the jurisdiction of the
Patent and Trademark Office, knowingly and willfully
falsifies, conceals, or covers up by any trick, scheme, or
device a material fact, or makes any false, fictitious or
fraudulent statements or representations, or makes or uses
any false writing or document knowing the same to contain
any false, fictitious or fraudulent statement or entry,
shall be subject to the penalties set forth under 18 U.S.C.
1001, and that violations of this paragraph may jeopardize
the validity of the application or document, or the validity
or enforceability of any patent, trademark registration, or
certificate resulting therefrom.
Section 10.18(b)(2) is specifically amended to provide that,
by presenting to the Office any paper, the party presenting
such paper (whether a practitioner or non-practitioner) is
certifying that to the best of the party's knowledge,
information and belief, formed after an inquiry reasonable
under the circumstances, that: (1) the paper is not being
presented for any improper purpose, such as to harass
someone or to cause unnecessary delay or needless increase
in the cost of prosecution before the Office; (2) the claims
and other legal contentions therein are warranted by
existing law or by a nonfrivolous argument for the
extension, modification, or reversal of existing law or the
establishment of new law; (3) the allegations and other
factual contentions have evidentiary support or, if
specifically so identified, are likely to have evidentiary
support after a reasonable opportunity for further
investigation or discovery; and (4) the denials of factual
contentions are warranted on the evidence, or if
specifically so identified, are reasonably based on a lack
of information or belief.
As discussed supra, the amendments to § 10.18, in
combination with the amendment to § 1.4(d), will permit the
Office to eliminate the verification requirement for a
number of the rules of practice.
Section 10.18(c) specifically provides that violations of
§ 10.18(b)(1) may jeopardize the validity of the application
or document, or the validity or enforceability of any
patent, trademark registration, or certificate resulting
therefrom, and that violations of any of § 10.18 paragraphs
(b)(2)(i) through (iv) are, after notice and reasonable
opportunity to respond, subject to such sanctions as deemed
appropriate by the Commissioner, or the Commissioner's
designee, which may include, but are not limited to, any
combination of: (1) holding certain facts to have been
established; (2) returning papers; (3) precluding a party
from filing a paper, or presenting or contesting an issue;
(4) imposing a monetary sanction; (5) requiring a terminal
disclaimer for the period of the delay; or (6) terminating
the proceedings in the Patent and Trademark Office.
With regard to the sanctions enumerated in § 10.18(c),
35 U.S.C. 6(a) provides that "[t]he Commissioner . . . may,
subject to the approval of the Secretary of Commerce,
establish regulations, not inconsistent with law, for the
conduct of proceedings in the Patent and Trademark Office."
The issue of whether the Office is authorized to impose
monetary sanctions was addressed in the rulemaking entitled
"Patent Appeal and Interference Practice," published in the
Federal Register at 60 FR 14488 (March 17, 1995), and in the
Official Gazette at 1173 Off. Gaz. Pat. Office 36 (April 11,
1995).
The Commissioner's authority under 35 U.S.C. 6(a) to impose
monetary sanctions is limited to sanctions which are
remedial, and does not extend to sanctions that are
punitive. Id. at 14494-96, 1173 Off. Gaz. Pat. Office at
41-43. An enabling statute (35 U.S.C. 6(a)) alone is not
the express statutory authorization required for an agency
to impose penal monetary sanctions. See, e.g., Commissioner
v. Acker, 361 U.S. 87, 91 (1959); Gold Kist, Inc. v.
Department of Agriculture, 741 F.2d 344, 348 (11th Cir.
1984). Thus, the line of demarcation between permissible
and impermissible monetary sanctions under 35 U.S.C. 6(a) is
that: (1) the imposition of a monetary sanction to cover
the costs incurred by the Office due to the violation of
§ 10.18(b)(2) is a remedial (and thus permissible) sanction;
and (2) the imposition of a monetary sanction that has no
relationship to the costs incurred by the Office due to the
violation of § 10.18(b)(2) (e.g., a pre-established or
arbitrary fine or penalty) is a punitive (and thus
impermissible) sanction. See United States v. Frame, 885
F.2d 1119, 1142-43 (3rd Cir. 1989)(late payment charge no
higher than reasonable to cover lost interest and
administrative costs incurred in the collection effort is a
remedial sanction, and not a penalty, and, as such, is
authorized by rulemaking enabling statute), cert. denied,
493 U.S. 1094 (1990); see also Griffin & Dickson v. United
States, 16 Cl. Ct. 347, 356-57 (1989)(agency has the
inherent authority to manage its caseload by imposing
sanctions including precluding party from presenting further
evidence, disciplining of representative, or imposing costs
against the representative or the party in interest). As
the Office is an entirely fee-funded entity, it is
reasonable to impose a monetary sanction on a party causing
an unnecessary and inordinate expenditure of Office
resources to cover the costs incurred by the Office due to
such action, rather than impose these costs on the Office's
customers in general.
Nevertheless, the Office has amended §§ 1.4(d)(2) and 10.18
with the objective of discouraging the filing of frivolous
or patently unwarranted correspondence in the Office, not to
routinely review correspondence for compliance with
§ 10.18(b)(2) and impose sanctions under § 10.18(c). Thus,
the amendment to §§ 1.4(d)(2) and 10.18 should cause no
concern to practitioners and pro se applicants engaging in
the ordinary course of business before the Office. The
Office anticipates that sanctions under § 10.18(c) will be
imposed only in rare situations in which such action is
necessary for the Office to halt a clear abuse that is
resulting in a needless and inordinate expenditure of Office
resources.
Where the circumstances of an application or other
proceeding warrant a determination of whether there has been
a violation of § 10.18(b), the file or the application or
other proceeding will be forwarded to the Office of
Enrollment and Discipline (OED) for a determination of
whether there has been a violation of § 10.18(b). In the
event that OED determines that a provision of § 10.18(b) has
been violated, the Commissioner, or the Commissioner's
designee, will determine what (if any) sanction(s) under
§ 10.18(c) is to be imposed in the application or other
proceeding. In addition, if OED determines that a provision
of § 10.18(b) has been violated by a practitioner, OED will
determine whether such practitioner is to be subject to
disciplinary action (see §§ 1.4(d)(2) and 10.18(d)). That
is, OED will provide a determination of whether there has
been a violation of § 10.18(b), and if such violation is by
a practitioner, whether such practitioner is to be subject
to disciplinary action; however, OED will not be responsible
for imposing sanctions under § 10.18(c) in an application or
other proceeding.
Section 10.18(d) provides that any practitioner violating
the provisions of this section may also be subject to
disciplinary action. This paragraph (and the corresponding
provision of § 1.4(d)(2)) clarifies that a practitioner may
be subject to disciplinary action in lieu of, or in addition
to, the sanctions set forth in § 10.18(c) for violations of
§ 10.18.
Comment 102: A number of comments supported the changes to
§ 1.4(d) to make its certification applicable to all papers
signed and submitted to the Office.
Response: The Office will adopt the changes to make such a
certification applicable to all papers filed in the Office,
but will do so by placing the certification requirement in
§ 10.18, and providing in § 1.4(d) that the presentation of
any paper to the Office, whether by a practitioner or non-practitioner, constitutes a certification under § 10.18.
Thus, the presentation of a paper to the Office by any
person (even a non-practitioner) constitutes a certification
under § 10.18.
Comment 103: A number of comments opposed the change to
§ 1.4(d) as increasing the burden on persons presenting
papers to the Office, and, as such, inconsistent with the
stated goal of reducing the burden on the public. One
comment indicated that new burdens in § 1.4(d) on signers of
papers submitted to the Office include: (1) conducting a
reasonable inquiry concerning the document to be submitted
to the Office; (2) not submitting the document to harass or
seek a needless increase in the cost of prosecution; and
(3) submitting only documents likely to have evidentiary
support after a reasonable opportunity for further
investigation or discovery.
Response: The change to §§ 1.4(d) and 10.18 should
discourage the filing of frivolous papers in the Office, and
thus reduce the cost to the Office of treating such papers,
which cost is ultimately borne by the Office's customers.
Thus, this change to §§ 1.4(d) and 10.18 will reduce the
burden on the public and to the Office's customers in
general. There is no reasonable argument as to why a person
filing a document in the Office should be permitted to avoid
the "burden" of conducting a reasonable inquiry concerning
the document to be submitted to the Office, not submitting
the document to harass or seek a needless increase in the
cost of prosecution, or submitting only documents likely to
have evidentiary support after a reasonable opportunity for
further investigation or discovery.
Comment 104: Several comments opposed the addition of
§ 1.4(d)(2) (now § 10.18(b)(2)) on the basis that the phrase
"formed after an inquiry reasonable under the circumstances"
was too vague or was unclear as to how much of an inquiry
must be made to meet the "reasonable inquiry" requirement.
Response: The phrase "formed after an inquiry reasonable under the circumstances" is taken from Rule 11(b) of the Federal Rules of Civil Procedure (Fed. R. Civ. P. 11(b)), which provides that:
Representations to Court. By presenting to the court (whether by signing, filing, submitting, or later advocating) a pleading, written motion, or other paper, an attorney or unrepresented party is certifying that to the best of the person's knowledge, information and belief, formed after an inquiry reasonable under the circumstances, --
(1) it is not being presented for any improper purpose, such as to harass or to cause unnecessary delay or needless increase in the cost of litigation;
(2) the claims, defenses, and other legal contentions therein are warranted by existing law or by a nonfrivolous argument for the extension, modification, or reversal of existing law or the establishment of new law;
(3) the allegations and other factual contentions have evidentiary support or, if specifically so identified, are likely to have evidentiary support after a reasonable opportunity for further investigation or discovery; and
(4) the denials of factual contentions are
warranted on the evidence or, if specifically so
identified, are reasonably based on a lack of
information or belief.
See Fed. R. Civ. P. 11(b)(1993).
Section 10.18(b)(2) tracks the language of Fed. R. Civ. P. 11(b)(1993) to avoid confusion as to what certifications a signature entails. The advisory committee notes to Fed. R. Civ. P. 11(b) provide further information on the "inquiry reasonable under the circumstances" requirement. See Amendments to the Federal Rules of Civil Procedure at 50-53 (1993), reprinted in 146 F.R.D. 401, 584-87. The "inquiry reasonable under the circumstances" requirement of § 10.18(b)(2) is identical to that in Fed. R. Civ. P. 11(b). The Federal courts have stated in regard to the "reasonable inquiry" requirement of Fed. R. Civ. P. 11:
In requiring reasonable inquiry before the filing
of any pleading in a civil case in federal
district court, Rule 11 demands "an objective
determination of whether a sanctioned party's
conduct was reasonable under the circumstances."
In effect it imposes a negligence standard, for
negligence is a failure to use reasonable care.
The equation between negligence and the failure to
conduct a reasonable precomplaint inquiry is . . .
that "the amount of investigation required by Rule
11 depends on both the time available to
investigate and on the probability that more
investigation will turn up important evidence; the
Rule does not require steps that are not cost-justified."
Hays v. Sony Electronics, 847 F.2d 412, 418, 7 USPQ2d 1043,
1048 (7th. Cir. 1988)(citations omitted)(decided prior to
the 1993 amendment to Fed. R. Civ. P. 11, but discussing a
"reasonable under the circumstances" standard).
Comment 105: One comment opposed the change in § 1.4(d) to
import the verification requirement into any papers signed
and submitted to the Office, on the basis that the presence
of a verification actually on the paper signed and submitted
to the Office would cause the signer to carefully consider
what is being signed and submitted to the Office.
Response: A separate verification requirement for certain
papers results in delays during the examination of an
application when such verification is omitted. The Office
is convinced that people are inclined to either not make
false, misleading or inaccurate statements in documents they
sign, or are not deterred from making such statements by the
presence of a verification clause in the document. The
benefit obtained in the rare instance in which a person
otherwise inclined to make a false, misleading or inaccurate
statement is persuaded not to do so by a verification clause
simply does not outweigh the benefit obtained by the
elimination of the delay that results from the requirement
for such a verification clause.
Comment 106: One comment opposed the change to § 1.4(d)
(now § 10.18(b)(2)) on the basis that "reasonable inquiry"
requirement therein will expose a practitioner to
malpractice liability.
Response: Legal malpractice is not an issue of Federal
patent (or trademark) law, but of common law sounding in
tort. See Voight v. Kraft, 342 F. Supp 821, 822, 174 USPQ
294, 295 (D. Idaho 1972). Section 10.18(b)(2) does not
affect the duty (or create a new duty) on the part of a
practitioner to his or her client vis-à-vis the submission
of papers to the Office.
The party's duties under § 10.18 are not to one's own
clients; it is to the public in general, other parties
before the Office (the examination of whose applications are
delayed while the Office is, and whose fees must be applied
to the cost of, responding to frivolous papers), and to the
Office. Cf. Mars Steel Corp. v. Continental Bank, 880 F.2d
928, 932 (7th. Cir. 1989)(just as tort law creates duties to
one's client, Fed. R. Civ. P. 11 creates a duty to one's
adversary, other litigants in the courts's queue, and the
court itself); Hays, 847 F.2d at 418, 7 USPQ2d at 1049
(same).
Comment 107: One comment indicated that the requirements in
§ 1.4(d)(2) (now § 10.18(b)(2)) may be onerous as to persons
not registered to practice before the Office. Another
comment opposed this change on the basis that it would
create new issues during litigation, in that few non-lawyers
have enough legal knowledge to accurately verify that the
documents they sign are consistent with the law. The
comment suggested that § 1.4(d)(2) simply be amended to
include the verification statement from § 1.68.
Response: There is no reasonable argument as to why the
certification for papers submitted to the Office should be
any less than the certification required under Fed. R. Civ.
P. 11(b) for papers filed in the Federal courts. The
Federal Rules of Civil Procedure do not permit a pro se
litigant to avoid the requirements of Fed. R. Civ. P. 11(b)
("By presenting . . . an attorney or unrepresented party is
certifying . . . ." (emphasis added)). It is, however,
appropriate to take account of the special circumstances of
pro se applicants in determining whether sanctions under
§ 10.18(c) are appropriate. See advisory committee notes to
Fed. R. Civ. P. 11 (1983), reprinted in 97 F.R.D. 165, 198-99 (1983) ("Although the standard is the same for
unrepresented parties, who are obligated themselves to sign
the [papers], the court has sufficient discretion to take
account of the special circumstances that often arise in
pro se situations").
The Office expects that pro se applicants will often submit
arguments that evidence little, if any, appreciation of the
applicable law or procedure. The Office is not adopting
§§ 1.4(d)(2) and 10.18(b) and (c) for the purpose of
imposing, and does not intend to impose, sanctions on pro se
applicants in situations in which they simply submit
arguments lacking an appreciation of the applicable law or
procedure. See Finch v. Hughes Aircraft Co., 926 F.2d 1574,
1582, 17 USPQ2d 1914, 1921 (Fed. Cir. 1991)("courts are
particularly cautious about imposing sanctions on a pro se
litigant, whose improper conduct may be attributed to
ignorance of the law and proper procedures"); see also
Hornback v. U.S., 40 USPQ2d 1694, 1697 (Cl. Ct. 1996)(pro se
without legal training is not held to the same standard as
trained counsel).
Where, however, a pro se applicant engages in a course of
conduct that any reasonable person should have known was
improper, and which causes a needless and inordinate
expenditure of Office resources, such conduct may result in
the imposition of sanctions on the pro se applicant. The
Federal courts have subjected pro se litigants to sanctions
for: (1) taking or persisting in actions that even a non-lawyer should have known were frivolous; (2) taking or
persisting in actions that, after engaging in a sufficient
course of litigation, the pro se litigant should have known
were frivolous; or (3) taking or persisting in actions after
having been warned by the court that such actions were
frivolous. See Constant v. U.S., 929 F.2d 654, 658, 18
USPQ2d 1298, 1301 (Fed. Cir.), cert. denied, 501 U.S. 1206
(1991); Finch, 926 F.2d at 1582-83, 17 USPQ2d at 1921; U.S.
ex rel. Taylor v. Times Herald Record, 22 USPQ2d 1716, 1718
(S.D.N.Y. 1992), aff'd, 990 F.3d 623 (2d Cir. 1993)(table).
Comment 108: One comment argued that the change to § 1.4(d)
would be particularly difficult to apply in the context of
provisional applications.
Response: The patent statute and rules of practice do not
require any papers other than a disclosure (with or without
claims) and a cover sheet for a provisional application
(e.g., an applicant need and should not submit legal
arguments or other contentions with a provisional
application). Thus, it is highly unlikely that the filing
of a provisional application will result in a violation of
§ 10.18(b).
Comment 109: One comment opposed the change to § 1.4(d) on
the basis that it was not clear whether a practitioner has
an obligation in the case of a submission of a statement of
facts to inform the party making the statement (or the
client) of this certification effect, and the sanctions
applicable to noncompliance. Another comment indicated that
practitioners will now be placed under the obligation of
questioning their clients each time they are given
information or instructions.
Response: The submission by an applicant of misleading or
inaccurate statements of facts during the prosecution of
applications for patent has resulted in the patents issuing
on such applications being held unenforceable. See, e.g.,
Refac International Ltd. v. Lotus Development Corp., 81 F.3d
1576, 38 USPQ2d 1665 (Fed. Cir. 1996); Paragon Podiatry
Laboratory, Inc. v. KLM Laboratories, Inc., 984 F.2d 1182,
25 USPQ2d 1561 (Fed. Cir 1993); Rohm and Haas Corp. v.
Crystal Chemical Co., 722 F.2d 1556, 200 USPQ 289 (Fed. Cir.
1983), cert. denied, 469 U.S. 851 (1984); Ott v.
Goodpasture, 40 USPQ2d 1831 (D.N. Tex. 1996); Herman v.
William Brooks Shoe Co., 39 USPQ2d 1773 (S.D.N.Y. 1996);
Golden Valley Microwave Food Inc. v. Weaver Popcorn Co., 837
F. Supp. 1444, 24 USPQ2d 1801 (N.D. Ind. 1992), aff'd, 11
F.3d 1072 (Fed. Cir. 1993)(table), cert. denied, 511 U.S.
1128 (1994). Likewise, false statements by a practitioner
in a paper submitted to the Office during the prosecution of
an application for patent has resulted in the patent issuing
on such application also being held unenforceable. See
General Electro Music Corp. v. Samick Music Corp., 19 F.3d
1405, 30 USPQ2d 1149 (Fed. Cir. 1994)(false statement in a
petition to make an application special constitutes
inequitable conduct, and renders the patent issuing on such
application unenforceable). In addition, the failure to
exercise due care in ascertaining the accuracy of the
statements in a certification submitted to the Office has
also resulted in a patent being held invalid. See DH
Technology, 937 F. Supp. at 910; 40 USPQ2d at 1761.
For the above-stated reasons, it is highly advisable for a
practitioner to advise a client or third party that any
information so provided must be reliable and not misleading,
regardless of this amendment to §§ 1.4(d)(2) and 10.18.
Nevertheless, §§ 1.4(d)(2) and 10.18 as adopted do not
require a practitioner to advise the client (or third party)
providing information of this certification effect (or the
sanctions applicable to noncompliance), or question the
client (or third party) when such information or
instructions are provided. When a practitioner is
submitting information (e.g., a statement of fact) from the
applicant or a third party, or relying in arguments upon
information from the applicant or a third party, the Office
will consider a practitioner's "inquiry reasonable under the
circumstances" duty under § 10.18 met so long as the
practitioner has no knowledge of information that is
contrary to the information provided by the applicant or
third party or would otherwise indicate that the information
provided by the applicant or third party was so provided for
the purpose of a violation of § 10.18 (e.g., was submitted
to cause unnecessary delay).
An applicant has no duty to conduct a prior art search as a
prerequisite to filing an application for patent. See
Nordberg, Inc. v. Telsmith, Inc., 82 F.3d 394, 397, 38
USPQ2d 1593, 1595-96 (Fed. Cir. 1996); FMC Corp. v. Hennessy
Indus., Inc., 836 F.2d 521, 526 n.6, 5 USPQ2d 1272, 1275-76
n.6 (Fed. Cir. 1987); FMC Corp. v. Manitowoc Co., Inc., 835
F.2d 1411, 1415, 5 USPQ2d 1112, 1115 (Fed. Cir. 1987);
American Hoist & Derrick Co. v. Sowa & Sons, Inc., 725 F.2d
1350, 1362, 220 USPQ 763, 772 (Fed. Cir.), cert. denied, 469
U.S. 821, 224 USPQ 520 (1984). The "inquiry reasonable
under the circumstances" requirement of § 10.18 does not
create any new duty on the part of an applicant for patent
to conduct a prior art search. See MPEP 609; cf. Judin v.
United States, 110 F.3d 780, 42 USPQ2d 1300 (Fed. Cir
1997)(the failure to obtain and examine the accused
infringing device prior to bringing a civil action for
infringement violates the 1983 version of Fed. R. Civ. P.
11). The "inquiry reasonable under the circumstances"
requirement of § 10.18, however, will require an inquiry
into the underlying facts and circumstances when a
practitioner provides conclusive statements to the Office
(e.g., a statement that the entire delay in filing the
required reply from the due date for the reply until the
filing of a grantable petition pursuant to § 1.137(b) was
unintentional).
Section 10.23: Section 10.23 is amended to change the
phrase "knowingly signing" to "signing." This amendment to
§ 10.23 is for consistency with § 10.18, which contains no
"knowingly" provision or requirement.
Review Under the Paperwork Reduction Act of 1995.
This Final Rule contains information collection requirements
which are subject to review by the Office of Management and
Budget (OMB) under the Paperwork Reduction Act of 1995
(44 U.S.C. 3501 et seq.). The principal impact of this
Final Rule is: (1) elimination of unnecessary rules of
practice; (2) simplification or elimination of certain
requirements of the rules of practice; (3) rearrangement of
certain rules to improve their context; and
(4) clarification of the requirements of the rules of
practice.
The title, description and respondent description of each of the information collections are shown below with an estimate of each of the annual reporting burdens. The collections of
information in this Final Rule have been reviewed and
approved by OMB under the following control numbers: 0651-0016, 0651-0021, 0651-0022, 0651-0027, 0651-0031, 0651-0032,
0651-0033, 0651-0034, 0651-0035, and 0651-0037. Included in
each estimate is the time for reviewing instructions,
gathering and maintaining the data needed, and completing
and reviewing the collection of information.
Notwithstanding any other provision of law, no person is
required to respond to nor shall a person be subject to a
penalty for failure to comply with a collection of
information subject to the requirements of the Paperwork
Reduction Act unless that collection of information displays
a currently valid OMB control number.
OMB Number: 0651-0016.
Title: Rules for Patent Maintenance Fees.
Form Numbers: PTO/SB/45/46/47/65/66.
Type of Review: Approved through July of 1999.
Affected Public: Individuals or Households, Business or Other For-Profit, Not-for-Profit Institutions and Federal Government.
Estimated Number of Respondents: 273,800.
Estimated Time Per Response: 0.08 hour.
Estimated Total Annual Burden Hours: 22,640 hours.
Needs and Uses: Maintenance fees are required to
maintain a patent, except for design or plant patents, in
force under 35 U.S.C. 41(b). Payment of maintenance fees
are required at 3 ½, 7 ½ and 11 ½ years after the grant of
the patent. A patent number and application number of the
patent on which maintenance fees are paid are required in
order to ensure proper crediting of such payments.
OMB Number: 0651-0021.
Title: Patent Cooperation Treaty.
Form Numbers: PCT/RO/101,ANNEX/134/144, PTO-1382, PCT/IPEA/401, PCT/IB/328.
Type of Review: Approved through May of 2000.
Affected Public: Individuals or Households, Business or Other For-Profit, Federal Agencies or Employees, Not-for-Profit Institutions, Small Businesses or Organizations.
Estimated Number of Respondents: 102,950.
Estimated Time Per Response: 0.9538 hour.
Estimated Total Annual Burden Hours: 98,195 hours.
Needs and Uses: The information collected is required
by the Patent Cooperation Treaty (PCT). The general purpose
of the PCT is to simplify the filing of patent applications
on the same invention in different countries. It provides
for a centralized filing procedure and a standardized
application format.
OMB Number: 0651-0022.
Title: Deposit of Biological Materials for Patent Purposes.
Form Numbers: None.
Type of Review: Approved through December of 1997.
Affected Public: Individuals or Households, State or Local Governments, Farms, Business or Other For-Profit, Federal Agencies or Employees, Not-for-Profit Institutions, Small Businesses or Organizations.
Estimated Number of Respondents: 3,325.
Estimated Time Per Response: 1.0 hour.
Estimated Total Annual Burden Hours: 3,325 hours.
Needs and Uses: Information on depositing of
biological materials in depositories is required for (1)
Office determination of compliance with the patent statute
where the invention sought to be patented relies on
biological material subject to deposit requirement, which
includes notifying interested members of the public where to
obtain samples of deposits, and (2) depositories desiring to
be recognized as suitable by the Office.
OMB Number: 0651-0027.
Title: Changes in Patent and Trademark Assignment Practices.
Form Numbers: PTO-1618 and PTO-1619, PTO/SB/15/41.
Type of Review: Approved through September of 1998.
Affected Public: Individuals or Households and Businesses or Other For-Profit.
Estimated Number of Respondents: 170,000.
Estimated Time Per Response: 0.57 hour.
Estimated Total Annual Burden Hours: 97,000 hours.
Needs and Uses: The Office records about 170,000
assignments or documents related to ownership of patent and
trademark cases each year. The Office requires a cover
sheet to expedite the processing of these documents and to
ensure that they are properly recorded.
OMB Number: 0651-0031.
Title: Patent Processing (Updating).
Form Numbers: PTO/SB/08-12/21-26/31/32/42/43/61-64/ 67-69/91-93/96/97.
Type of Review: Approved through October of 1999.
Affected Public: Individuals or Households, Business or Other For-Profit Institutions, Not-for-Profit Institutions and Federal Government.
Estimated Number of Respondents: 1,690,690.
Estimated Time Per Response: 0.361 hours.
Estimated Total Annual Burden Hours: 644,844 hours.
Needs and Uses: During the processing for an application for a patent, the applicant/agent may be required or desire to submit additional information to the Office concerning the examination of a specific application. The specific information required or which may be submitted includes: Information Disclosure Statements; Terminal Disclaimers; Petitions to Revive; Express Abandonments; Appeal Notices; Small Entity; Petitions for
Access; Powers to Inspect; Certificates of Mailing;
Certificates under § 3.73(b); Amendments, Petitions and
their Transmittal Letters; and Deposit Account Order Forms.
OMB Number: 0651-0032.
Title: Initial Patent Application.
Form Number: PTO/SB/01-07/17-20/101-109.
Type of Review: Approved through September of 1998.
Affected Public: Individuals or Households, Business or Other For-Profit, Not-for-Profit Institutions and Federal Government.
Estimated Number of Respondents: 243,100.
Estimated Time Per Response: 7.88 hours.
Estimated Total Annual Burden Hours: 1,915,500 hours.
Needs and Uses: The purpose of this information
collection is to permit the Office to determine whether an
application meets the criteria set forth in the patent
statute and regulations. The standard Fee Transmittal form,
New Utility Patent Application Transmittal form, New Design
Patent Application Transmittal form, New Plant Patent
Application Transmittal form, Plant Color Coding Sheet,
Declaration, and Plant Patent Application Declaration will
assist applicants in complying with the requirements of the
patent statute and regulations, and will further assist the
Office in processing and examination of the application.
OMB Number: 0651-0033.
Title: Post Allowance and Refiling.
Form Numbers: PTO/SB/13/14/44/50-57; PTOL-85b.
Type of Review: Approved through June of 1999.
Affected Public: Individuals or Households, Business or Other For-Profit, Not-for-Profit Institutions and Federal Government.
Estimated Number of Respondents: 135,190.
Estimated Time Per Response: 0.325 hour.
Estimated Total Annual Burden Hours: 43,893 hours.
Needs and Uses: This collection of information is
required to administer the patent laws pursuant to title
35, U.S.C., concerning the issuance of patents and related
actions including correcting errors in printed patents,
refiling of patent applications, requesting reexamination of
a patent, and requesting a reissue patent to correct an
error in a patent. The affected public includes any
individual or institution whose application for a patent has
been allowed or who takes action as covered by the
applicable rules.
OMB Number: 0651-0034.
Title: Secrecy/License to Export.
Form Numbers: None.
Type of Review: Approved through January of 1998.
Affected Public: Individuals or Households, Business or Other For-Profit, Not-for-Profit Institutions and Federal Government.
Estimated Number of Respondents: 2,156.
Estimated Time Per Response: 0.5 hour.
Estimated Total Annual Burden Hours: 1,129 hours.
Needs and Uses: In the interest of national security,
patent laws and regulations place certain limitations on the
disclosure of information contained in patents and patent
applications and on the filing of applications for patent in
foreign countries.
OMB Number: 0651-0035.
Title: Address-Affecting Provisions.
Form Numbers: PTO/SB/82/83.
Type of Review: Approved through June of 1999.
Affected Public: Individuals or Households, Business or Other For-Profit, Not-for-Profit Institutions and Federal Government.
Estimated Number of Respondents: 44,850.
Estimated Time Per Response: 0.2 hour.
Estimated Total Annual Burden Hours: 8,970 hours.
Needs and Uses: Under existing law, a patent applicant
or assignee may appoint, revoke or change a representative
to act in a representative capacity. Also, an appointed
representative may withdraw from acting in a representative
capacity. This collection includes the information needed
to ensure that Office correspondence reaches the appropriate
individual.
OMB Number: 0651-0037.
Title: Provisional Applications.
Form Numbers: PTO/SB/16.
Type of Review: Approved through January of 1998.
Affected Public: Individuals or Households, Business or Other For-Profit, Not-for-Profit Institutions and Federal Government.
Estimated Number of Respondents: 6,000.
Estimated Time Per Response: 0.2 hour.
Estimated Total Annual Burden Hours: 1,200 hours.
Needs and Uses: The information included on the
provisional application cover sheet is needed by the Office
to identify the submission as a provisional application and
not some other kind of submission, to promptly and properly
process the provisional application, to prepare the
provisional application filing receipt which is sent to the
applicant, and to identify those provisional applications
which must be reviewed by the Office for foreign filing
licenses.
As required by the Paperwork Reduction Act of 1995
(44 U.S.C. 3507(d)), the Office has submitted a copy of this
Final Rule to OMB for its review of these information
collections. Interested persons are requested to send
comments regarding these information collections, including
suggestions for reducing this burden, to the Office of
Information and Regulatory Affairs of OMB, New Executive
Office Bldg., 725 17th St. NW, rm. 10235, Washington, DC
20503, Attn: Desk Officer for the Patent and Trademark
Office.
Other Considerations.
This Final Rule is in conformity with the requirements of
the Regulatory Flexibility Act (5 U.S.C. 601 et seq.),
Executive Order 12612 (October 26, 1987), and the Paperwork
Reduction Act of 1995 (44 U.S.C. 3501 et seq.). It has been
determined that this rulemaking is not significant for the
purposes of Executive Order 12866 (September 30, 1993).
The Assistant General Counsel for Legislation and Regulation
of the Department of Commerce has certified to the Chief
Counsel for Advocacy, Small Business Administration that
this Final Rule would not have a significant impact on a
substantial number of small entities (Regulatory Flexibility
Act, 5 U.S.C. 605(b)). The principal impact of this Final
Rule is: (1) elimination of unnecessary rules of practice;
(2) simplification or elimination of certain requirements of
the rules of practice; (3) rearrangement of certain rules to
improve their context; and (4) clarification of the
requirements of the rules of practice.
The Office has determined that this Final Rule has no
Federalism implications affecting the relationship between
the National Government and the States as outlined in
Executive Order 12612.
List of Subjects
37 CFR Part 1
Administrative practice and procedure, Courts, Freedom of
Information, Inventions and patents, Reporting and record
keeping requirements, Small Businesses.
37 CFR Part 3
Administrative practice and procedure, Inventions and
patents, Reporting and record keeping requirements.
37 CFR Part 5
Classified information, foreign relations, inventions and
patents.
37 CFR Part 7
Administrative practice and procedure, Inventions and
patents, Reporting and record keeping requirements.
37 CFR Part 10
Administrative practice and procedure, Inventions and
patents, Lawyers, Reporting and record keeping requirements.
For the reasons set forth in the preamble, 37 CFR Parts 1,
3, 5, 7 and 10 are amended as follows:
PART 1 - RULES OF PRACTICE IN PATENT CASES
1. The authority citation for 37 CFR Part 1 continues to
read as follows:
Authority: 35 U.S.C. 6, unless otherwise noted.
2. Section 1.4 is amended by revising paragraph (d) and by
adding paragraph (g) to read as follows:
§ 1.4 Nature of correspondence and signature requirements.
* * * * *
(d)(1) Each piece of correspondence, except as provided in paragraphs (e) and (f) of this section, filed in a patent or trademark application, reexamination proceeding, patent or trademark interference proceeding, patent file or trademark registration file, trademark opposition proceeding, trademark cancellation proceeding, or trademark concurrent use proceeding, which requires a person's signature, must either:
(i) Be an original, that is, have an original signature personally signed in permanent ink by that person; or
(ii) Be a direct or indirect copy, such as a photocopy or facsimile transmission (§ 1.6(d)), of an original. In the event that a copy of the original is filed, the original should be retained as evidence of authenticity. If a question of authenticity arises, the Patent and Trademark Office may require submission of the original.
(2) The presentation to the Office (whether by signing, filing, submitting, or later advocating) of any paper by a party, whether a practitioner or non-practitioner, constitutes a certification under § 10.18(b) of this chapter. Violations of § 10.18(b)(2) of this chapter by a party, whether a practitioner or non-practitioner, may result in the imposition of sanctions under § 10.18(c) of this chapter. Any practitioner violating § 10.18(b) may also be subject to disciplinary action. See §§ 10.18(d) and 10.23(c)(15).
* * * * *
(g) An applicant who has not made of record a
registered attorney or agent may be required to state
whether assistance was received in the preparation or
prosecution of the patent application, for which any
compensation or consideration was given or charged, and if
so, to disclose the name or names of the person or persons
providing such assistance. Assistance includes the
preparation for the applicant of the specification and
amendments or other papers to be filed in the Patent and
Trademark Office, as well as other assistance in such
matters, but does not include merely making drawings by
draftsmen or stenographic services in typing papers.
3. Section 1.6 is amended by revising paragraphs (d)(3),
(d)(6), and (e) and adding paragraph (f) to read as follows:
§ 1.6 Receipt of correspondence.
* * * * *
(d) * * *
(3) Correspondence which cannot receive the benefit of the certificate of mailing or transmission as specified in § 1.8(a)(2)(i)(A) through (D) and (F), § 1.8(a)(2)(ii)(A), and § 1.8(a)(2)(iii)(A), except that a continued prosecution application under § 1.53(d) may be transmitted to the Office by facsimile;
* * *
(6) Correspondence to be filed in a patent application subject to a secrecy order under §§ 5.1 through 5.5 of this chapter and directly related to the secrecy order content of the application;
* * * * *
(e) Interruptions in U.S. Postal Service. If interruptions or emergencies in the United States Postal Service which have been so designated by the Commissioner occur, the Patent and Trademark Office will consider as filed on a particular date in the Office any correspondence which is:
(1) Promptly filed after the ending of the designated interruption or emergency; and
(2) Accompanied by a statement indicating that such correspondence would have been filed on that particular date if it were not for the designated interruption or emergency in the United States Postal Service.
(f) Facsimile transmission of a patent application under § 1.53(d). In the event that the Office has no evidence of receipt of an application under § 1.53(d) (a continued prosecution application) transmitted to the Office by facsimile transmission, the party who transmitted the application under § 1.53(d) may petition the Commissioner to accord the application under § 1.53(d) a filing date as of the date the application under § 1.53(d) is shown to have been transmitted to and received in the Office,
(1) Provided that the party who transmitted such application under § 1.53(d):
(i) Informs the Office of the previous transmission of the application under § 1.53(d) promptly after becoming aware that the Office has no evidence of receipt of the application under § 1.53(d);
(ii) Supplies an additional copy of the previously transmitted application under § 1.53(d); and
(iii) Includes a statement which attests on a personal knowledge basis or to the satisfaction of the Commissioner to the previous transmission of the application under § 1.53(d) and is accompanied by a copy of the sending unit's report confirming transmission of the application under § 1.53(d) or evidence that came into being after the complete transmission and within one business day of the complete transmission of the application under § 1.53(d).
(2) The Office may require additional evidence to
determine if the application under § 1.53(d) was transmitted
to and received in the Office on the date in question.
4. Section 1.8 is amended by revising paragraphs
(a)(2)(i)(A) and (b) to read as follows:
§ 1.8 Certificate of mailing or transmission.
(a) * * *
(2) * * *
(i) * * *
(A) The filing of a national patent application specification and drawing or other correspondence for the purpose of obtaining an application filing date, including a request for a continued prosecution application under § 1.53(d);
* * * * *
(b) In the event that correspondence is considered timely filed by being mailed or transmitted in accordance with paragraph (a) of this section, but not received in the Patent and Trademark Office, and the application is held to be abandoned or the proceeding is dismissed, terminated, or decided with prejudice, the correspondence will be considered timely if the party who forwarded such correspondence:
(1) Informs the Office of the previous mailing or transmission of the correspondence promptly after becoming aware that the Office has no evidence of receipt of the correspondence;
(2) Supplies an additional copy of the previously mailed or transmitted correspondence and certificate; and
(3) Includes a statement which attests on a personal knowledge basis or to the satisfaction of the Commissioner to the previous timely mailing or transmission. If the correspondence was sent by facsimile transmission, a copy of the sending unit's report confirming transmission may be used to support this statement.
* * * * *
5. Section 1.9 is amended by revising paragraphs (d) and
(f) to read as follows:
§ 1.9 Definitions.
* * * * *
(d) A small business concern as used in this chapter means any business concern meeting the size standards set forth in 13 CFR Part 121 to be eligible for reduced patent fees. Questions related to size standards for a small business concern may be directed to: Small Business Administration, Size Standards Staff, 409 Third Street, SW, Washington, DC 20416.
* * * * *
(f) A small entity as used in this chapter means an independent inventor, a small business concern, or a non-profit organization eligible for reduced patent fees.
* * * * *
6. Section 1.10 is amended by revising paragraphs (d) and
(e) to read as follows:
§ 1.10 Filing of correspondence by "Express Mail."
* * * * *
(d) Any person filing correspondence under this section that was received by the Office and delivered by the "Express Mail Post Office to Addressee" service of the USPS, who can show that the "date-in" on the "Express Mail" mailing label or other official notation entered by the USPS was incorrectly entered or omitted by the USPS, may petition the Commissioner to accord the correspondence a filing date as of the date the correspondence is shown to have been deposited with the USPS, provided that:
(1) The petition is filed promptly after the person becomes aware that the Office has accorded, or will accord, a filing date based upon an incorrect entry by the USPS;
(2) The number of the "Express Mail" mailing label was placed on the paper(s) or fee(s) that constitute the correspondence prior to the original mailing by "Express Mail"; and
(3) The petition includes a showing which establishes, to the satisfaction of the Commissioner, that the requested filing date was the date the correspondence was deposited in the "Express Mail Post Office to Addressee" service prior to the last scheduled pickup for that day. Any showing pursuant to this paragraph must be corroborated by evidence from the USPS or that came into being after deposit and within one business day of the deposit of the correspondence in the "Express Mail Post Office to Addressee" service of the USPS.
(e) Any person mailing correspondence addressed as set out in § 1.1(a) to the Office with sufficient postage utilizing the "Express Mail Post Office to Addressee" service of the USPS but not received by the Office, may petition the Commissioner to consider such correspondence filed in the Office on the USPS deposit date, provided that:
(1) The petition is filed promptly after the person becomes aware that the Office has no evidence of receipt of the correspondence;
(2) The number of the "Express Mail" mailing label was placed on the paper(s) or fee(s) that constitute the correspondence prior to the original mailing by "Express Mail";
(3) The petition includes a copy of the originally deposited paper(s) or fee(s) that constitute the correspondence showing the number of the "Express Mail" mailing label thereon, a copy of any returned postcard receipt, a copy of the "Express Mail" mailing label showing the "date-in," a copy of any other official notation by the USPS relied upon to show the date of deposit, and, if the requested filing date is a date other than the "date-in" on the "Express Mail" mailing label or other official notation entered by the USPS, a showing pursuant to paragraph (d)(3) of this section that the requested filing date was the date the correspondence was deposited in the "Express Mail Post Office to Addressee" service prior to the last scheduled pickup for that day; and
(4) The petition includes a statement which establishes, to the satisfaction of the Commissioner, the original deposit of the correspondence and that the copies of the correspondence, the copy of the "Express Mail" mailing label, the copy of any returned postcard receipt, and any official notation entered by the USPS are true copies of the originally mailed correspondence, original "Express Mail" mailing label, returned postcard receipt, and official notation entered by the USPS.
* * * * *
7. Section 1.11 is amended by revising paragraph (b) to
read as follows:
§ 1.11 Files open to the public.
* * * * *
(b) All reissue applications, all applications in which the Office has accepted a request to open the complete application to inspection by the public, and related papers in the application file, are open to inspection by the public, and copies may be furnished upon paying the fee therefor. The filing of reissue applications, other than continued prosecution applications under § 1.53(d) of reissue applications, will be announced in the Official Gazette. The announcement shall include at least the filing date, reissue application and original patent numbers, title, class and subclass, name of the inventor, name of the owner of record, name of the attorney or agent of record, and examining group to which the reissue application is assigned.
* * * * *
8. Section 1.14 is amended by revising paragraph (a) and
adding a new paragraph (f) to read as follows:
§ 1.14 Patent applications preserved in confidence.
(a) Patent applications are generally preserved in confidence pursuant to 35 U.S.C. 122. No information will be given concerning the filing, pendency, or subject matter of any application for patent, and no access will be given to, or copies furnished of, any application or papers relating thereto, except as set forth in this section.
(1) Status information includes information such as whether the application is pending, abandoned, or patented, as well as the application number and filing date (or international filing date or date of entry into the national stage).
(i) Status information concerning an application may be supplied:
(A) When copies of, or access to, the application may be provided pursuant to paragraph (a)(3) of this section;
(B) When the application is identified by application number or serial number and filing date in a published patent document or in a U.S. application open to public inspection; or
(C) When the application is the national stage of an international application in which the United States of America has been indicated as a Designated State.
(ii) Status information concerning an application may also be supplied when the application claims the benefit of the filing date of an application for which status information may be provided pursuant to paragraph (a)(1)(i) of this section.
(2) Copies of an application-as-filed may be provided to any person, upon written request accompanied by the fee set forth in § 1.19(b)(1), without notice to the applicant, if the application is incorporated by reference in a U.S. patent.
(3) Copies of (upon payment of the fee set forth in § 1.19(b)(2)), and access to, an application file wrapper and contents may be provided to any person, upon written request, without notice to the applicant, when the application file is available and:
(i) It has been determined by the Commissioner to be necessary for the proper conduct of business before the Office or warranted by other special circumstances;
(ii) The application is open to the public as provided in § 1.11(b);
(iii) Written authority in that application from the applicant, the assignee of the application, or the attorney or agent of record has been granted; or
(iv) The application is abandoned, but not if the application is in the file jacket of a pending application under § 1.53(d), and is:
(A) Referred to in a U.S. patent;
(B) Referred to in a U.S. application open to public inspection;
(C) An application which claims the benefit of the filing date of a U.S. application open to public inspection; or
(D) An application in which the applicant has filed an authorization to lay open the complete application to the public.
* * * * *
(f) Information as to the filing of an application will
be published in the Official Gazette in accordance with
§ 1.47(a) and (b).
9. Section 1.16 is amended by revising paragraphs (d) and
(l) and adding new paragraphs (m) and (n) to read as
follows:
§ 1.16 National application filing fees.
* * * * *
(d) In addition to the basic filing fee in an original application, except provisional applications, if the application contains, or is amended to contain, a multiple dependent claim(s), per application:
By a small entity (§ 1.9(f)) ................... 135.00
By other than a small entity ................... 270.00
* * * * *
(l) Surcharge for filing the basic filing fee or cover sheet (§ 1.51(c)(1)) on a date later than the filing date of the provisional application:
By a small entity (§ 1.9(f)) .................... 25.00
By other than a small entity .................... 50.00
(m) If the additional fees required by paragraphs (b), (c), (d), (i) and (j) of this section are not paid on filing or on later presentation of the claims for which the additional fees are due, they must be paid or the claims must be cancelled by amendment, prior to the expiration of the time period set for reply by the Office in any notice of fee deficiency.
(n) See §§ 1.445, 1.482, and 1.495 for international
application filing and processing fees.
10. Section 1.17 is amended by removing and reserving
paragraphs (e) through (g) and revising paragraphs (a)
through (d), (h), (i) and (q) to read as follows:
§ 1.17 Patent application processing fees.
(a) Extension fees pursuant to § 1.136(a):
(1) For reply within first month:
By a small entity (§ 1.9(f)) ................... $55.00
By other than a small entity ................... 110.00 (2) For reply within second month:
By a small entity (§ 1.9(f)) ................... 200.00
By other than a small entity ................... 400.00
(3) For reply within third month:
By a small entity (§ 1.9(f)) ................... 475.00
By other than a small entity ................... 950.00
(4) For reply within fourth month:
By a small entity (§ 1.9(f)) ................... 755.00
By other than a small entity ................. 1,510.00
(5) For reply within fifth month:
By a small entity (§ 1.9(f)) ................. 1,030.00
By other than a small entity ................. 2,060.00
(b) For filing a notice of appeal from the examiner to the Board of Patent Appeals and Interferences:
By a small entity (§ 1.9(f)) ................... 155.00
By other than a small entity ................... 310.00
(c) In addition to the fee for filing a notice of appeal, for filing a brief in support of an appeal:
By a small entity (§ 1.9(f)) ................... 155.00
By other than a small entity ................... 310.00
(d) For filing a request for an oral hearing before the Board of Patent Appeals and Interferences in an appeal under 35 U.S.C. 134:
By a small entity (§ 1.9(f)) ................... 135.00
By other than a small entity ................... 270.00
(e) [Reserved]
(f) [Reserved]
(g) [Reserved]
(h) For filing a petition to the Commissioner under a section listed below which refers to this paragraph ........................................... 130.00
§ 1.182 - for decision on a question not specifically provided for.
§ 1.183 - to suspend the rules.
§ 1.295 - for review of refusal to publish a statutory invention registration.
§ 1.377 - for review of decision refusing to accept and record payment of a maintenance fee filed prior to expiration of a patent.
§ 1.378(e) - for reconsideration of decision on petition refusing to accept delayed payment of maintenance fee in an expired patent.
§ 1.644(e) - for petition in an interference.
§ 1.644(f) - for request for reconsideration of a decision on petition in an interference.
§ 1.666(c) - for late filing of interference settlement agreement.
§ 5.12 - for expedited handling of a foreign filing license.
§ 5.15 - for changing the scope of a license.
§ 5.25 - for retroactive license.
(i) For filing a petition to the Commissioner under a section listed below which refers to this paragraph ........................................... 130.00
§ 1.12 - for access to an assignment record.
§ 1.14 - for access to an application.
§ 1.41 - to supply the name or names of the inventor or inventors after the filing date without an oath or declaration as prescribed by § 1.63, except in provisional applications.
§ 1.47 - for filing by other than all the inventors or a person not the inventor.
§ 1.48 - for correction of inventorship, except in provisional applications.
§ 1.53 - to accord a filing date, except in provisional applications.
§ 1.55 - for entry of late priority papers.
§ 1.59 - for expungement and return of information.
§ 1.84 - for accepting color drawings or photographs.
§ 1.91 - for entry of a model or exhibit.
§ 1.97(d) - to consider an information disclosure statement.
§ 1.102 - to make an application special.
§ 1.103 - to suspend action in application.
§ 1.177 - for divisional reissues to issue separately.
§ 1.312 - for amendment after payment of issue fee.
§ 1.313 - to withdraw an application from issue.
§ 1.314 - to defer issuance of a patent.
§ 1.666(b) - for access to an interference settlement agreement.
§ 3.81 - for a patent to issue to assignee, assignment submitted after payment of the issue fee.
* * * * *
(q) For filing a petition to the Commissioner under a section listed below which refers to this
paragraph ............................................ 50.00
§ 1.41 - to supply the names or names of the inventor or inventors after the filing date without a cover sheet as prescribed by § 1.51(c)(1) in a provisional application.
§ 1.48 - for correction of inventorship in a provisional application.
§ 1.53 - to accord a provisional application a filing date or to convert a nonprovisional application filed under § 1.53(b) to a provisional application under § 1.53(c).
* * * * *
11. Section 1.21 is amended by revising paragraphs (l) and
(n) to read as follows:
§ 1.21 Miscellaneous fees and charges.
* * * * *
(l) For processing and retaining any application abandoned pursuant to § 1.53(f), unless the required basic filing fee (§ 1.16) has been paid ................... 130.00
* * * * *
(n) For handling an application in which proceedings are terminated pursuant to § 1.53(e) ................ 130.00
* * * * *
12. Section 1.26 is amended by revising paragraph (a) to
read as follows:
§ 1.26 Refunds.
(a) Any fee paid by actual mistake or in excess of that required will be refunded, but a mere change of purpose after the payment of money, as when a party desires to withdraw an application, an appeal, or a request for oral hearing, will not entitle a party to demand such a return. Amounts of twenty-five dollars or less will not be returned unless specifically requested within a reasonable time, nor will the payer be notified of such amounts; amounts over twenty-five dollars may be returned by check or, if requested, by credit to a deposit account.
* * * * *
13. Section 1.27 is revised to read as follows:
§ 1.27 Statement of status as small entity.
(a) Any person seeking to establish status as a small entity (§ 1.9(f) of this part) for purposes of paying fees in an application or a patent must file a statement in the application or patent prior to or with the first fee paid as a small entity. Such a statement need only be filed once in an application or patent and remains in effect until changed.
(b) When establishing status as a small entity pursuant to paragraph (a) of this section, any statement filed on behalf of an independent inventor must be signed by the independent inventor except as provided in § 1.42, § 1.43, or § 1.47 of this part and must state that the inventor qualifies as an independent inventor in accordance with § 1.9(c) of this part. Where there are joint inventors in an application, each inventor must file a statement establishing status as an independent inventor in order to qualify as a small entity. Where any rights have been assigned, granted, conveyed, or licensed, or there is an obligation to assign, grant, convey, or license, any rights to a small business concern, a nonprofit organization, or any other individual, a statement must be filed by the individual, the owner of the small business concern, or an official of the small business concern or nonprofit organization empowered to act on behalf of the small business concern or nonprofit organization identifying their status. For purposes of a statement under this paragraph, a license to a Federal agency resulting from a funding agreement with that agency pursuant to 35 U.S.C. 202(c)(4) does not constitute a license as set forth in § 1.9 of this part.
(c)(1) Any statement filed pursuant to paragraph (a) of this section on behalf of a small business concern must:
(i) Be signed by the owner or an official of the small business concern empowered to act on behalf of the concern;
(ii) State that the concern qualifies as a small business concern as defined in § 1.9(d); and
(iii) State that the exclusive rights to the invention have been conveyed to and remain with the small business concern or, if the rights are not exclusive, that all other rights belong to small entities as defined in § 1.9.
(2) Where the rights of the small business concern as a small entity are not exclusive, a statement must also be filed by the other small entities having rights stating their status as such. For purposes of a statement under this paragraph, a license to a Federal agency resulting from a funding agreement with that agency pursuant to 35 U.S.C. 202(c)(4) does not constitute a license as set forth in § 1.9 of this part.
(d)(1) Any statement filed pursuant to paragraph (a) of this section on behalf of a nonprofit organization must:
(i) Be signed by an official of the nonprofit organization empowered to act on behalf of the organization;
(ii) State that the organization qualifies as a nonprofit organization as defined in § 1.9(e) of this part specifying under which one of § 1.9(e)(1), (2), (3), or (4) of this part the organization qualifies; and
(iii) State that exclusive rights to the invention have been conveyed to and remain with the organization or if the rights are not exclusive that all other rights belong to small entities as defined in § 1.9 of this part.
(2) Where the rights of the nonprofit organization as a
small entity are not exclusive, a statement must also be
filed by the other small entities having rights stating
their status as such. For purposes of a statement under
this paragraph, a license to a Federal agency pursuant to
35 U.S.C. 202(c)(4) does not constitute a conveyance of
rights as set forth in this paragraph.
14. Section 1.28 is amended by revising paragraphs (a) and
(c) to read as follows:
§ 1.28 Effect on fees of failure to establish status, or change status, as a small entity.
(a)(1) The failure to establish status as a small entity (§§ 1.9(f) and 1.27 of this part) in any application or patent prior to paying, or at the time of paying, any fee precludes payment of the fee in the amount established for small entities. A refund pursuant to § 1.26 of this part, based on establishment of small entity status, of a portion of fees timely paid in full prior to establishing status as a small entity may only be obtained if a statement under § 1.27 and a request for a refund of the excess amount are filed within two months of the date of the timely payment of the full fee. The two-month time period is not extendable under § 1.136. Status as a small entity is waived for any fee by the failure to establish the status prior to paying, at the time of paying, or within two months of the date of payment of, the fee.
(2) Status as a small entity must be specifically established in each application or patent in which the status is available and desired. Status as a small entity in one application or patent does not affect any other application or patent, including applications or patents which are directly or indirectly dependent upon the application or patent in which the status has been established. The refiling of an application under § 1.53 as a continuation, division, or continuation-in-part (including a continued prosecution application under § 1.53(d)), or the filing of a reissue application requires a new determination as to continued entitlement to small entity status for the continuing or reissue application. A nonprovisional application claiming benefit under 35 U.S.C. 119(e), 120, 121, or 365(c) of a prior application, or a reissue application may rely on a statement filed in the prior application or in the patent if the nonprovisional application or the reissue application includes a reference to the statement in the prior application or in the patent or includes a copy of the statement in the prior application or in the patent and status as a small entity is still proper and desired. The payment of the small entity basic statutory filing fee will be treated as such a reference for purposes of this section.
(3) Once status as a small entity has been established in an application or patent, the status remains in that application or patent without the filing of a further statement pursuant to § 1.27 of this part unless the Office is notified of a change in status.
* * * * *
(c) If status as a small entity is established in good faith, and fees as a small entity are paid in good faith, in any application or patent, and it is later discovered that such status as a small entity was established in error or that through error the Office was not notified of a change in status as required by paragraph (b) of this section, the error will be excused upon payment of the deficiency between the amount paid and the amount due. The deficiency is based on the amount of the fee, for other than a small entity, in effect at the time the deficiency is paid in full.
* * * * *
15. Section 1.33 is amended by revising paragraphs (a) and
(b) to read as follows:
§ 1.33 Correspondence address respecting patent applications, reexamination proceedings, and other proceedings.
(a) The applicant, the assignee(s) of the entire interest (see §§ 3.71 and 3.73) or an attorney or agent of record (see § 1.34(b)) may specify a correspondence address to which communications about the application are to be directed. All notices, official letters, and other communications in the application will be directed to the correspondence address or, if no such correspondence address is specified, to an attorney or agent of record (see § 1.34(b)), or, if no attorney or agent is of record, to the applicant, so long as a post office address has been furnished in the application. Double correspondence with an applicant and an attorney or agent, or with more than one attorney or agent, will not be undertaken. If more than one attorney or agent is made of record and a correspondence address has not been specified, correspondence will be held with the one last made of record.
(b) Amendments and other papers filed in the application must be signed by:
(1) An attorney or agent of record appointed in compliance with § 1.34(b);
(2) A registered attorney or agent not of record who acts in a representative capacity under the provisions of § 1.34(a);
(3) The assignee of record of the entire interest, if there is an assignee of record of the entire interest;
(4) An assignee of record of an undivided part interest, and any assignee(s) of the remaining interest and any applicant retaining an interest, if there is an assignee of record of an undivided part interest; or
(5) All of the applicants (§§ 1.42, 1.43 and 1.47) for patent, unless there is an assignee of record of the entire interest and such assignee has taken action in the application in accordance with §§ 3.71 and 3.73.
* * * * *
16. Section 1.41 is amended by revising paragraph (a) to
read as follows:
§ 1.41 Applicant for patent.
(a) A patent is applied for in the name or names of the actual inventor or inventors.
(1) The inventorship of a nonprovisional application is that inventorship set forth in the oath or declaration as prescribed by § 1.63, except as provided for in § 1.53(d)(4) and § 1.63(d). If an oath or declaration as prescribed by § 1.63 is not filed during the pendency of a nonprovisional application, the inventorship is that inventorship set forth in the application papers filed pursuant to § 1.53(b), unless a petition under this paragraph accompanied by the fee set forth in § 1.17(i) is filed supplying or changing the name or names of the inventor or inventors.
(2) The inventorship of a provisional application is that inventorship set forth in the cover sheet as prescribed by § 1.51(c)(1). If a cover sheet as prescribed by § 1.51(c)(1) is not filed during the pendency of a provisional application, the inventorship is that inventorship set forth in the application papers filed pursuant to § 1.53(c), unless a petition under this paragraph accompanied by the fee set forth in § 1.17(q) is filed supplying or changing the name or names of the inventor or inventors.
(3) In a nonprovisional application filed without an oath or declaration as prescribed by § 1.63 or a provisional application filed without a cover sheet as prescribed by § 1.51(c)(1), the name or names of person or persons believed to be the actual inventor or inventors should be provided for identification purposes when the application papers pursuant to § 1.53(b) or (c) are filed. If no name of a person believed to be an actual inventor is so provided, the application should include an applicant identifier consisting of alphanumeric characters.
* * * * *
17. Section 1.47 is revised to read as follows:
§ 1.47 Filing when an inventor refuses to sign or cannot be reached.
(a) If a joint inventor refuses to join in an application for patent or cannot be found or reached after diligent effort, the application may be made by the other inventor on behalf of himself or herself and the nonsigning inventor. The oath or declaration in such an application must be accompanied by a petition including proof of the pertinent facts, the fee set forth in § 1.17(i) and the last known address of the nonsigning inventor. The Patent and Trademark Office shall, except in a continued prosecution application under § 1.53(d), forward notice of the filing of the application to the nonsigning inventor at said address and publish notice of the filing of the application in the Official Gazette. The nonsigning inventor may subsequently join in the application on filing an oath or declaration complying with § 1.63.
(b) Whenever all of the inventors refuse to execute an
application for patent, or cannot be found or reached after
diligent effort, a person to whom an inventor has assigned
or agreed in writing to assign the invention or who
otherwise shows sufficient proprietary interest in the
matter justifying such action may make application for
patent on behalf of and as agent for all the inventors. The
oath or declaration in such an application must be
accompanied by a petition including proof of the pertinent
facts, a showing that such action is necessary to preserve
the rights of the parties or to prevent irreparable damage,
the fee set forth in § 1.17(i), and the last known address
of all of the inventors. The Office shall, except in a
continued prosecution application under § 1.53(d), forward
notice of the filing of the application to all of the
inventors at the addresses stated in the application and
publish notice of the filing of the application in the
Official Gazette. An inventor may subsequently join in the
application on filing an oath or declaration complying with
§ 1.63.
18. Section 1.48 and its heading are revised to read as
follows:
§ 1.48 Correction of inventorship in a patent application, other than a reissue application.
(a) If the inventive entity is set forth in error in an executed § 1.63 oath or declaration in an application, other than a reissue application, and such error arose without any deceptive intention on the part of the person named as an inventor in error or on the part of the person who through error was not named as an inventor, the application may be amended to name only the actual inventor or inventors. When the application is involved in an interference, the amendment must comply with the requirements of this section and must be accompanied by a motion under § 1.634. Such amendment must be accompanied by:
(1) A petition including a statement from each person being added as an inventor and from each person being deleted as an inventor that the error in inventorship occurred without deceptive intention on his or her part;
(2) An oath or declaration by the actual inventor or inventors as required by § 1.63 or as permitted by §§ 1.42, 1.43 or 1.47;
(3) The fee set forth in § 1.17(i); and
(4) If an assignment has been executed by any of the original named inventors, the written consent of the assignee (see § 3.73(b)).
(b) If the correct inventors are named in a nonprovisional application, other than a reissue application, and the prosecution of the application results in the amendment or cancellation of claims so that fewer than all of the currently named inventors are the actual inventors of the invention being claimed in the application, an amendment must be filed deleting the name or names of the person or persons who are not inventors of the invention being claimed. When the application is involved in an interference, the amendment must comply with the requirements of this section and must be accompanied by a motion under § 1.634. Such amendment must be accompanied by:
(1) A petition including a statement identifying each named inventor who is being deleted and acknowledging that the inventor's invention is no longer being claimed in the application; and
(2) The fee set forth in § 1.17(i).
(c) If a nonprovisional application, other than a reissue application, discloses unclaimed subject matter by an inventor or inventors not named in the application, the application may be amended to add claims to the subject matter and name the correct inventors for the application. When the application is involved in an interference, the amendment must comply with the requirements of this section and must be accompanied by a motion under § 1.634. Such amendment must be accompanied by:
(1) A petition including a statement from each person being added as an inventor that the amendment is necessitated by amendment of the claims and that the inventorship error occurred without deceptive intention on his or her part;
(2) An oath or declaration by the actual inventor or inventors as required by § 1.63 or as permitted by §§ 1.42, 1.43 or 1.47;
(3) The fee set forth in § 1.17(i); and
(4) If an assignment has been executed by any of the original named inventors, the written consent of the assignee (see § 3.73(b)).
(d) If the name or names of an inventor or inventors were omitted in a provisional application through error without any deceptive intention on the part of the omitted inventor or inventors, the provisional application may be amended to add the name or names of the omitted inventor or inventors. Such amendment must be accompanied by:
(1) A petition including a statement that the inventorship error occurred without deceptive intention on the part of the omitted inventor or inventors; and
(2) The fee set forth in § 1.17(q).
(e) If a person or persons were named as an inventor or inventors in a provisional application through error without any deceptive intention on the part of such person or persons, an amendment may be filed in the provisional application deleting the name or names of the person or persons who were erroneously named. Such amendment must be accompanied by:
(1) A petition including a statement by the person or persons whose name or names are being deleted that the inventorship error occurred without deceptive intention on the part of such person or persons;
(2) The fee set forth in § 1.17(q); and
(3) If an assignment has been executed by any of the original named inventors, the written consent of the assignee (see § 3.73(b)).
(f)(1) If the correct inventor or inventors are not named on filing a nonprovisional application under § 1.53(b) without an executed oath or declaration under § 1.63, the later submission of an executed oath or declaration under § 1.63 during the pendency of the application will act to correct the earlier identification of inventorship.
(2) If the correct inventor or inventors are not named on filing a provisional application without a cover sheet under § 1.51(c)(1), the later submission of a cover sheet under § 1.51(c)(1) during the pendency of the application will act to correct the earlier identification of inventorship.
(g) The Office may require such other information as
may be deemed appropriate under the particular circumstances
surrounding the correction of inventorship.
19. Section 1.51 is revised to read as follows:
§ 1.51 General requisites of an application.
(a) Applications for patents must be made to the Commissioner of Patents and Trademarks.
(b) A complete application filed under § 1.53(b) comprises:
(1) A specification as prescribed by 35 U.S.C. 112, including a claim or claims, see §§ 1.71 to 1.77;
(2) An oath or declaration, see § 1.63 and § 1.68;
(3) Drawings, when necessary, see §§ 1.81 to 1.85; and
(4) The prescribed filing fee, see § 1.16.
(c) A complete provisional application filed under § 1.53(c) comprises:
(1) A cover sheet identifying:
(i) The application as a provisional application,
(ii) The name or names of the inventor or inventors, (see § 1.41(a)(2)),
(iii) The residence of each named inventor,
(iv) The title of the invention,
(v) The name and registration number of the attorney or agent (if applicable),
(vi) The docket number used by the person filing the application to identify the application (if applicable),
(vii) The correspondence address, and
(viii) The name of the U.S. Government agency and Government contract number (if the invention was made by an agency of the U.S. Government or under a contract with an agency of the U.S. Government);
(2) A specification as prescribed by the first paragraph of 35 U.S.C. 112, see § 1.71;
(3) Drawings, when necessary, see §§ 1.81 to 1.85; and
(4) The prescribed filing fee, see § 1.16.
(d) Applicants are encouraged to file an information
disclosure statement in nonprovisional applications. See
§ 1.97 and § 1.98. No information disclosure statement may
be filed in a provisional application.
20. Section 1.52 is amended by revising paragraphs (a), (c)
and (d) to read as follows:
§ 1.52 Language, paper, writing, margins.
(a) The application, any amendments or corrections thereto, and the oath or declaration must be in the English language except as provided for in § 1.69 and paragraph (d) of this section, or be accompanied by a translation of the application and a translation of any corrections or amendments into the English language together with a statement that the translation is accurate. All papers which are to become a part of the permanent records of the Patent and Trademark Office must be legibly written either by a typewriter or mechanical printer in permanent dark ink or its equivalent in portrait orientation on flexible, strong, smooth, non-shiny, durable, and white paper. All of the application papers must be presented in a form having sufficient clarity and contrast between the paper and the writing thereon to permit the direct reproduction of readily legible copies in any number by use of photographic, electrostatic, photo-offset, and microfilming processes and electronic reproduction by use of digital imaging and optical character recognition. If the papers are not of the required quality, substitute typewritten or mechanically printed papers of suitable quality will be required. See § 1.125 for filing substitute typewritten or mechanically printed papers constituting a substitute specification when required by the Office.
* * * * *
(c) Any interlineation, erasure, cancellation or other alteration of the application papers filed should be made on or before the signing of any accompanying oath or declaration pursuant to § 1.63 referring to those application papers and should be dated and initialed or signed by the applicant on the same sheet of paper. Application papers containing alterations made after the signing of an oath or declaration referring to those application papers must be supported by a supplemental oath or declaration under § 1.67(c). After the signing of the oath or declaration referring to the application papers, amendments may only be made in the manner provided by § 1.121.
(d) An application may be filed in a language other
than English. An English translation of the non-English-language application, a statement that the translation is
accurate, and the fee set forth in § 1.17(k) are required to
be filed with the application or within such time as may be
set by the Office.
21. Section 1.53 is revised to read as follows:
§ 1.53 Application number, filing date, and completion of application.
(a) Application number. Any papers received in the Patent and Trademark Office which purport to be an application for a patent will be assigned an application number for identification purposes.
(b) Application filing requirements - Nonprovisional application. The filing date of an application for patent filed under this section, except for a provisional application under paragraph (c) of this section or a continued prosecution application under paragraph (d) of this section, is the date on which a specification as prescribed by 35 U.S.C. 112 containing a description pursuant to § 1.71 and at least one claim pursuant to § 1.75, and any drawing required by § 1.81(a) are filed in the Patent and Trademark Office. No new matter may be introduced into an application after its filing date. A continuing application, which may be a continuation, divisional, or continuation-in-part application, may be filed under the conditions specified in 35 U.S.C. 120, 121 or 365(c) and § 1.78(a).
(1) A continuation or divisional application that names as inventors the same or fewer than all of the inventors named in the prior application may be filed under this paragraph or paragraph (d) of this section.
(2) A continuation-in-part application (which may disclose and claim subject matter not disclosed in the prior application) or a continuation or divisional application naming an inventor not named in the prior application must be filed under this paragraph.
(c) Application filing requirements - Provisional application. The filing date of a provisional application is the date on which a specification as prescribed by the first paragraph of 35 U.S.C. 112, and any drawing required by § 1.81(a) are filed in the Patent and Trademark Office. No amendment, other than to make the provisional application comply with the patent statute and all applicable regulations, may be made to the provisional application after the filing date of the provisional application.
(1) A provisional application must also include the cover sheet required by § 1.51(c)(1) or a cover letter identifying the application as a provisional application. Otherwise, the application will be treated as an application filed under paragraph (b) of this section.
(2) An application for patent filed under paragraph (b) of this section may be converted to a provisional application and be accorded the original filing date of the application filed under paragraph (b) of this section,
(i) Provided that a petition requesting the conversion, with the fee set forth in § 1.17(q), is filed prior to the earliest of:
(A) Abandonment of the application filed under paragraph (b) of this section;
(B) Payment of the issue fee on the application filed under paragraph (b) of this section;
(C) Expiration of twelve months after the filing date of the application filed under paragraph (b) of this section; or
(D) The filing of a request for a statutory invention registration under § 1.293 in the application filed under paragraph (b) of this section.
(ii) The grant of any such petition will not entitle applicant to a refund of the fees which were properly paid in the application filed under paragraph (b) of this section.
(3) A provisional application is not entitled to the right of priority under 35 U.S.C. 119 or 365(a) or § 1.55, or to the benefit of an earlier filing date under 35 U.S.C. 120, 121 or 365(c) or § 1.78 of any other application. No claim for priority under § 1.78(a)(3) may be made in a design application based on a provisional application. No request under § 1.293 for a statutory invention registration may be filed in a provisional application. The requirements of §§ 1.821 through 1.825 regarding application disclosures containing nucleotide and/or amino acid sequences are not mandatory for provisional applications.
(d) Application filing requirements - Continued prosecution (nonprovisional) application.
(1) A continuation or divisional application (but not a continuation-in-part) of a prior nonprovisional application may be filed as a continued prosecution application under this paragraph, provided that:
(i) The prior nonprovisional application is either:
(A) Complete as defined by § 1.51(b) and filed on or after June 8, 1995; or
(B) The national stage of an international application in compliance with 35 U.S.C. 371 and filed on or after June 8, 1995; and
(ii) The application under this paragraph is filed before the earliest of:
(A) Payment of the issue fee on the prior application, unless a petition under § 1.313(b)(5) is granted in the prior application;
(B) Abandonment of the prior application; or
(C) Termination of proceedings on the prior application.
(2) The filing date of a continued prosecution application is the date on which a request on a separate paper for an application under this paragraph is filed. An application filed under this paragraph:
(i) Must identify the prior application;
(ii) Discloses and claims only subject matter disclosed in the prior application;
(iii) Names as inventors the same inventors named in the prior application on the date the application under this paragraph was filed, except as provided in paragraph (d)(4) of this section;
(iv) Includes the request for an application under this paragraph, will utilize the file jacket and contents of the prior application, including the specification, drawings and oath or declaration from the prior application, to constitute the new application, and will be assigned the application number of the prior application for identification purposes; and
(v) Is a request to expressly abandon the prior application as of the filing date of the request for an application under this paragraph.
(3) The filing fee for a continued prosecution application filed under this paragraph is:
(i) The basic filing fee as set forth in § 1.16;
and
(ii) Any additional § 1.16 fee due based on the number of claims remaining in the application after entry of any amendment accompanying the request for an application under this paragraph and entry of any amendments under § 1.116 unentered in the prior application which applicant has requested to be entered in the continued prosecution application.
(4) An application filed under this paragraph may be filed by fewer than all the inventors named in the prior application, provided that the request for an application under this paragraph when filed is accompanied by a statement requesting deletion of the name or names of the person or persons who are not inventors of the invention being claimed in the new application. No person may be named as an inventor in an application filed under this paragraph who was not named as an inventor in the prior application on the date the application under this paragraph was filed, except by way of a petition under § 1.48.
(5) Any new change must be made in the form of an amendment to the prior application as it existed prior to the filing of an application under this paragraph. No amendment in an application under this paragraph (a continued prosecution application) may introduce new matter or matter that would have been new matter in the prior application. Any new specification filed with the request for an application under this paragraph will not be considered part of the original application papers, but will be treated as a substitute specification in accordance with § 1.125.
(6) The filing of a continued prosecution application under this paragraph will be construed to include a waiver of confidentiality by the applicant under 35 U.S.C. 122 to the extent that any member of the public, who is entitled under the provisions of § 1.14 to access to, copies of, or information concerning either the prior application or any continuing application filed under the provisions of this paragraph, may be given similar access to, copies of, or similar information concerning the other application or applications in the file jacket.
(7) A request for an application under this paragraph is the specific reference required by 35 U.S.C. 120 to every application assigned the application number identified in such request. No amendment in an application under this paragraph may delete this specific reference to any prior application.
(8) In addition to identifying the application number of the prior application, applicant should furnish in the request for an application under this paragraph the following information relating to the prior application to the best of his or her ability:
(i) Title of invention;
(ii) Name of applicant(s); and
(iii) Correspondence address.
(9) Envelopes containing only requests and fees for filing an application under this paragraph should be marked "Box CPA." Requests for an application under this paragraph filed by facsimile transmission should be clearly marked "Box CPA."
(e) Failure to meet filing date requirements.
(1) If an application deposited under paragraph (b), (c), or (d) of this section does not meet the requirements of such paragraph to be entitled to a filing date, applicant will be so notified, if a correspondence address has been provided, and given a time period within which to correct the filing error.
(2) Any request for review of a notification pursuant to paragraph (e)(1) of this section, or a notification that the original application papers lack a portion of the specification or drawing(s), must be by way of a petition pursuant to this paragraph. Any petition under this paragraph must be accompanied by the fee set forth in § 1.17(i) in an application filed under paragraphs (b) or (d) of this section, and the fee set forth in § 1.17(q) in an application filed under paragraph (c) of this section. In the absence of a timely (§ 1.181(f)) petition pursuant to this paragraph, the filing date of an application in which the applicant was notified of a filing error pursuant to paragraph (e)(1) of this section will be the date the filing error is corrected.
(3) If an applicant is notified of a filing error pursuant to paragraph (e)(1) of this section, but fails to correct the filing error within the given time period or otherwise timely (§ 1.181(f)) take action pursuant to this paragraph, proceedings in the application will be considered terminated. Where proceedings in an application are terminated pursuant to this paragraph, the application may be disposed of, and any filing fees, less the handling fee set forth in § 1.21(n), will be refunded.
(f) Completion of application subsequent to filing - Nonprovisional (including continued prosecution) application. If an application which has been accorded a filing date pursuant to paragraph (b) of this section, including a continuation, divisional, or continuation-in-part application, does not include the appropriate filing fee or an oath or declaration by the applicant pursuant to § 1.63 or § 1.175, or, if an application which has been accorded a filing date pursuant to paragraph (d) of this section does not include the appropriate filing fee, applicant will be so notified, if a correspondence address has been provided, and given a period of time within which to file the fee, oath or declaration, and the surcharge as set forth in § 1.16(e) in order to prevent abandonment of the application. See § 1.63(d) concerning the submission of a copy of the oath or declaration from the prior application for a continuation or divisional application. If the required filing fee is not timely paid, or if the processing and retention fee set forth in § 1.21(l) is not paid within one year of the date of mailing of the notification required by this paragraph, the application may be disposed of. The notification pursuant to this paragraph may be made simultaneously with any notification pursuant to paragraph (e) of this section. If no correspondence address is included in the application, applicant has two months from the filing date to file the basic filing fee, the oath or declaration in an application under paragraph (b) of this section, and the surcharge as set forth in § 1.16(e) in order to prevent abandonment of the application; or, if no basic filing fee has been paid, one year from the filing date to pay the processing and retention fee set forth in § 1.21(l) to prevent disposal of the application.
(g) Completion of application subsequent to filing -Provisional application. If a provisional application which has been accorded a filing date pursuant to paragraph (c) of this section does not include the appropriate filing fee or the cover sheet required by § 1.51(c)(1), applicant will be so notified, if a correspondence address has been provided, and given a period of time within which to file the fee, cover sheet, and the surcharge as set forth in § 1.16(l) in order to prevent abandonment of the application. If the required filing fee is not timely paid, the application may be disposed of. The notification pursuant to this paragraph may be made simultaneously with any notification pursuant to paragraph (e) of this section. If no correspondence address is included in the application, applicant has two months from the filing date to file the basic filing fee, cover sheet, and the surcharge as set forth in § 1.16(l) in order to prevent abandonment of the application.
(h) Subsequent treatment of application - Nonprovisional (including continued prosecution) application. An application for a patent filed under paragraphs (b) or (d) of this section will not be placed on the files for examination until all its required parts, complying with the rules relating thereto, are received, except that certain minor informalities may be waived subject to subsequent correction whenever required.
(i) Subsequent treatment of application - Provisional application. A provisional application for a patent filed under paragraph (c) of this section will not be placed on the files for examination and will become abandoned no later than twelve months after its filing date pursuant to 35 U.S.C. 111(b)(1).
(j) Filing date of international application. The
filing date of an international application designating the
United States of America is treated as the filing date in
the United States of America under PCT Article 11(3), except
as provided in 35 U.S.C. 102(e).
22. Section 1.54 is revised to read as follows:
§ 1.54 Parts of application to be filed together; filing receipt.
(a) It is desirable that all parts of the complete application be deposited in the Office together; otherwise, a letter must accompany each part, accurately and clearly connecting it with the other parts of the application. See § 1.53(f) and (g) with regard to completion of an application.
(b) Applicant will be informed of the application
number and filing date by a filing receipt, unless the
application is an application filed under § 1.53(d).
23. Section 1.55 is amended by revising paragraph (a) to
read as follows:
§ 1.55 Claim for foreign priority.
(a) An applicant in a nonprovisional application may claim the benefit of the filing date of one or more prior foreign applications under the conditions specified in 35 U.S.C. 119(a) through (d) and 172. The claim to priority need be in no special form and may be made by the attorney or agent if the foreign application is referred to in the oath or declaration as required by § 1.63. The claim for priority and the certified copy of the foreign application specified in 35 U.S.C. 119(b) must be filed in the case of an interference (§ 1.630), when necessary to overcome the date of a reference relied upon by the examiner, when specifically required by the examiner, and in all other situations, before the patent is granted. If the claim for priority or the certified copy of the foreign application is filed after the date the issue fee is paid, it must be accompanied by a petition requesting entry and by the fee set forth in § 1.17(i). If the certified copy is not in the English language, a translation need not be filed except in the case of interference; or when necessary to overcome the date of a reference relied upon by the examiner; or when specifically required by the examiner, in which event an English language translation must be filed together with a statement that the translation of the certified copy is accurate.
* * * * *
24. Section 1.59 and its heading are revised to read as
follows:
§ 1.59 Expungement of information or copy of papers in application file.
(a)(1) Information in an application will not be expunged and returned, except as provided in paragraph (b) of this section. See § 1.618 for return of unauthorized and improper papers in interferences.
(2) Information forming part of the original disclosure (i.e., written specification including the claims, drawings, and any preliminary amendment specifically incorporated into an executed oath or declaration under §§ 1.63 and 1.175) will not be expunged from the application file.
(b) Information, other than what is excluded by paragraph (a)(2) of this section, may be requested to be expunged and returned to applicant upon petition under this paragraph and payment of the petition fee set forth in § 1.17(i). Any petition to expunge and return information from an application must establish to the satisfaction of the Commissioner that the return of the information is appropriate.
(c) Upon request by an applicant and payment of the fee
specified in § 1.19(b), the Office will furnish copies of an
application, unless the application has been disposed of
(see § 1.53(e), (f) and (g)). The Office cannot provide or
certify copies of an application that has been disposed of.
25. Section 1.60 is removed and reserved.
§ 1.60 [Reserved]
26. Section 1.62 is removed and reserved.
§ 1.62 [Reserved]
27. Section 1.63 is amended by revising paragraphs (a) and
(d) and adding a paragraph (e) to read as follows:
§ 1.63 Oath or declaration.
(a) An oath or declaration filed under § 1.51(b)(2) as a part of an application must:
(1) Be executed in accordance with either § 1.66 or § 1.68;
(2) Identify the specification to which it is directed;
(3) Identify each inventor by: full name, including the family name, and at least one given name without abbreviation together with any other given name or initial, and the residence, post office address and country of citizenship of each inventor; and
(4) State whether the inventor is a sole or joint inventor of the invention claimed.
* * * * *
(d)(1) A newly executed oath or declaration is not required under § 1.51(b)(2) and § 1.53(f) in a continuation or divisional application, provided that:
(i) The prior nonprovisional application contained an oath or declaration as prescribed by paragraphs (a) through (c) of this section;
(ii) The continuation or divisional application was filed by all or by fewer than all of the inventors named in the prior application;
(iii) The specification and drawings filed in the continuation or divisional application contain no matter that would have been new matter in the prior application; and
(iv) A copy of the executed oath or declaration filed in the prior application, showing the signature or an indication thereon that it was signed, is submitted for the continuation or divisional application.
(2) The copy of the executed oath or declaration submitted under this paragraph for a continuation or divisional application must be accompanied by a statement requesting the deletion of the name or names of the person or persons who are not inventors in the continuation or divisional application.
(3) Where the executed oath or declaration of which a copy is submitted for a continuation or divisional application was originally filed in a prior application accorded status under § 1.47, the copy of the executed oath or declaration for such prior application must be accompanied by:
(i) A copy of the decision granting a petition to accord § 1.47 status to the prior application, unless all inventors or legal representatives have filed an oath or declaration to join in an application accorded status under § 1.47 of which the continuation or divisional application claims a benefit under 35 U.S.C. 120, 121, or 365(c); and
(ii) If one or more inventor(s) or legal representative(s) who refused to join in the prior application or could not be found or reached has subsequently joined in the prior application or another application of which the continuation or divisional application claims a benefit under 35 U.S.C. 120, 121, or 365(c), a copy of the subsequently executed oath(s) or declaration(s) filed by the inventor or legal representative to join in the application.
(4) Where the power of attorney (or authorization of agent) or correspondence address was changed during the prosecution of the prior application, the change in power of attorney (or authorization of agent) or correspondence address must be identified in the continuation or divisional application. Otherwise, the Office may not recognize in the continuation or divisional application the change of power of attorney (or authorization of agent) or correspondence address during the prosecution of the prior application.
(5) A newly executed oath or declaration must be filed in a continuation or divisional application naming an inventor not named in the prior application.
(e) A newly executed oath or declaration must be filed
in any continuation-in-part application, which application
may name all, more, or fewer than all of the inventors named
in the prior application. The oath or declaration in any
continuation-in-part application must also state that the
person making the oath or declaration acknowledges the duty
to disclose to the Office all information known to the
person to be material to patentability as defined in § 1.56
which became available between the filing date of the prior
application and the national or PCT international filing
date of the continuation-in-part application.
28. Section 1.67 is amended by revising paragraph (b) to
read as follows:
§ 1.67 Supplemental oath or declaration.
* * * * *
(b) A supplemental oath or declaration meeting the requirements of § 1.63 must be filed when a claim is presented for matter originally shown or described but not substantially embraced in the statement of invention or claims originally presented or when an oath or declaration submitted in accordance with § 1.53(f) after the filing of the specification and any required drawings specifically and improperly refers to an amendment which includes new matter. No new matter may be introduced into a nonprovisional application after its filing date even if a supplemental oath or declaration is filed. In proper situations, the oath or declaration here required may be made on information and belief by an applicant other than the inventor.
* * * * *
29. Section 1.69 is amended by revising paragraph (b) to
read as follows:
§ 1.69 Foreign language oaths and declarations.
* * * * *
(b) Unless the text of any oath or declaration in a
language other than English is a form provided or approved
by the Patent and Trademark Office, it must be accompanied
by an English translation together with a statement that the
translation is accurate, except that in the case of an oath
or declaration filed under § 1.63, the translation may be
filed in the Office no later than two months from the date
applicant is notified to file the translation.
30. Section 1.78 is amended by revising paragraph (a) to
read as follows:
§ 1.78 Claiming benefit of earlier filing date and cross-references to other applications.
(a)(1) A nonprovisional application may claim an invention disclosed in one or more prior filed copending nonprovisional applications or copending international applications designating the United States of America. In order for a nonprovisional application to claim the benefit of a prior filed copending nonprovisional application or copending international application designating the United States of America, each prior application must name as an inventor at least one inventor named in the later filed nonprovisional application and disclose the named inventor's invention claimed in at least one claim of the later filed nonprovisional application in the manner provided by the first paragraph of 35 U.S.C. 112. In addition, each prior application must be:
(i) An international application entitled to a filing date in accordance with PCT Article 11 and designating the United States of America; or
(ii) Complete as set forth in § 1.51(b); or
(iii) Entitled to a filing date as set forth in § 1.53(b) or § 1.53(d) and include the basic filing fee set forth in § 1.16; or
(iv) Entitled to a filing date as set forth in § 1.53(b) and have paid therein the processing and retention fee set forth in § 1.21(l) within the time period set forth in § 1.53(f).
(2) Except for a continued prosecution application filed under § 1.53(d), any nonprovisional application claiming the benefit of one or more prior filed copending nonprovisional applications or international applications designating the United States of America must contain or be amended to contain in the first sentence of the specification following the title a reference to each such prior application, identifying it by application number (consisting of the series code and serial number) or international application number and international filing date and indicating the relationship of the applications. The request for a continued prosecution application under § 1.53(d) is the specific reference required by 35 U.S.C. 120 to the prior application. The identification of an application by application number under this section is the specific reference required by 35 U.S.C. 120 to every application assigned that application number. Cross-references to other related applications may be made when appropriate (see § 1.14(a)).
(3) A nonprovisional application other than for a design patent may claim an invention disclosed in one or more prior filed copending provisional applications. Since a provisional application can be pending for no more than twelve months, the last day of pendency may occur on a Saturday, Sunday, or Federal holiday within the District of Columbia which for copendency would require the nonprovisional application to be filed on or prior to the Saturday, Sunday, or Federal holiday. In order for a nonprovisional application to claim the benefit of one or more prior filed copending provisional applications, each prior provisional application must name as an inventor at least one inventor named in the later filed nonprovisional application and disclose the named inventor's invention claimed in at least one claim of the later filed nonprovisional application in the manner provided by the first paragraph of 35 U.S.C. 112. In addition, each prior provisional application must be:
(i) Complete as set forth in § 1.51(c); or
(ii) Entitled to a filing date as set forth in § 1.53(c) and include the basic filing fee set forth in § 1.16(k).
(4) Any nonprovisional application claiming the benefit of one or more prior filed copending provisional applications must contain or be amended to contain in the first sentence of the specification following the title a reference to each such prior provisional application, identifying it as a provisional application, and including the provisional application number (consisting of series code and serial number).
* * * * *
31. Section 1.84 is amended by revising paragraphs
(a)(2)(i), (b), (c) and (g) to read as follows:
§ 1.84 Standards for drawings.
(a) * * *
(2) * * *
(i) The fee set forth in § 1.17(i);
* * * * *
(b) Photographs.
(1) Black and white. Photographs are not ordinarily permitted in utility patent applications. However, the Office will accept photographs in utility patent applications only after the granting of a petition filed under this paragraph which requests that photographs be accepted. Any such petition must include the following:
(i) The fee set forth in § 1.17(i); and
(ii) Three (3) sets of photographs. Photographs must either be developed on double weight photographic paper or be permanently mounted on bristol board. The photographs must be of sufficient quality so that all details in the drawings are reproducible in the printed patent.
(2) Color. Color photographs will be accepted in utility patent applications if the conditions for accepting color drawings have been satisfied. See paragraph (a)(2) of this section.
(c) Identification of drawings. Identifying indicia, if provided, should include the application number or the title of the invention, inventor's name, docket number (if any), and the name and telephone number of a person to call if the Office is unable to match the drawings to the proper application. This information should be placed on the back of each sheet of drawings a minimum distance of 1.5 cm. (5/8 inch) down from the top of the page. In addition, a reference to the application number, or, if an application number has not been assigned, the inventor's name, may be included in the left-hand corner, provided that the reference appears within 1.5 cm. (5/8 inch) from the top of the sheet.
* * * * *
(g) Margins. The sheets must not contain frames around the sight (i.e., the usable surface), but should have scan target points (i.e., cross-hairs) printed on two catercorner margin corners. Each sheet must include a top margin of at least 2.5 cm. (1 inch), a left side margin of at least 2.5 cm. (1 inch), a right side margin of at least 1.5 cm. (5/8 inch), and a bottom margin of at least 1.0 cm. (3/8 inch), thereby leaving a sight no greater than 17.0 cm. by 26.2 cm. on 21.0 cm. by 29.7 cm. (DIN size A4) drawing sheets, and a sight no greater than 17.6 cm. by 24.4 cm. (6 15/16 by 9 5/8 inches) on 21.6 cm. by 27.9 cm. (8 ½ by 11 inch) drawing sheets.
* * * * *
32. Section 1.91 and its heading are revised to read as
follows:
§ 1.91 Models or exhibits not generally admitted as part of application or patent.
(a) A model or exhibit will not be admitted as part of the record of an application unless it:
(1) Substantially conforms to the requirements of § 1.52 or § 1.84;
(2) Is specifically required by the Office; or
(3) Is filed with a petition under this section including:
(i) The petition fee as set forth in § 1.17(i); and
(ii) An explanation of why entry of the model or exhibit in the file record is necessary to demonstrate patentability.
(b) Notwithstanding the provisions of paragraph (a) of
this section, a model, working model, or other physical
exhibit may be required by the Office if deemed necessary
for any purpose in examination of the application.
33. Section 1.92 is removed and reserved.
§ 1.92 [Reserved]
34. Section 1.97 is amended by revising paragraphs (c)
through (e) to read as follows:
§ 1.97 Filing of information disclosure statement.
* * * * *
(c) An information disclosure statement shall be considered by the Office if filed by the applicant after the period specified in paragraph (b) of this section, provided that the information disclosure statement is filed before the mailing date of either a final action under § 1.113, or a notice of allowance under § 1.311, whichever occurs first, and is accompanied by either:
(1) A statement as specified in paragraph (e) of this section; or
(2) The fee set forth in § 1.17(p).
(d) An information disclosure statement shall be considered by the Office if filed by the applicant after the period specified in paragraph (c) of this section, provided that the information disclosure statement is filed on or before payment of the issue fee and is accompanied by:
(1) A statement as specified in paragraph (e) of this section;
(2) A petition requesting consideration of the information disclosure statement; and
(3) The petition fee set forth in § 1.17(i).
(e) A statement under this section must state either:
(1) That each item of information contained in the information disclosure statement was cited in a communication from a foreign patent office in a counterpart foreign application not more than three months prior to the filing of the information disclosure statement; or
(2) That no item of information contained in the information disclosure statement was cited in a communication from a foreign patent office in a counterpart foreign application, and, to the knowledge of the person signing the statement after making reasonable inquiry, no item of information contained in the information disclosure statement was known to any individual designated in § 1.56(c) more than three months prior to the filing of the information disclosure statement.
* * * * *
35. Section 1.101 is removed and reserved.
§ 1.101 [Reserved]
36. Section 1.102 is amended by revising paragraph (a) to
read as follows:
§ 1.102 Advancement of examination.
(a) Applications will not be advanced out of turn for examination or for further action except as provided by this part, or upon order of the Commissioner to expedite the business of the Office, or upon filing of a request under paragraph (b) of this section or upon filing a petition under paragraphs (c) or (d) of this section with a showing which, in the opinion of the Commissioner, will justify so advancing it.
* * * * *
37. Section 1.103 is amended by revising paragraph (a) to read as follows:
§ 1.103 Suspension of action.
(a) Suspension of action by the Office will be granted for good and sufficient cause and for a reasonable time specified upon petition by the applicant and, if such cause is not the fault of the Office, the payment of the fee set forth in § 1.17(i). Action will not be suspended when a reply by the applicant to an Office action is required.
* * * * *
38. Section 1.104 and its heading are revised to read as
follows:
§ 1.104 Nature of examination.
(a) Examiner's action.
(1) On taking up an application for examination or a patent in a reexamination proceeding, the examiner shall make a thorough study thereof and shall make a thorough investigation of the available prior art relating to the subject matter of the claimed invention. The examination shall be complete with respect both to compliance of the application or patent under reexamination with the applicable statutes and rules and to the patentability of the invention as claimed, as well as with respect to matters of form, unless otherwise indicated.
(2) The applicant, or in the case of a reexamination proceeding, both the patent owner and the requester, will be notified of the examiner's action. The reasons for any adverse action or any objection or requirement will be stated and such information or references will be given as may be useful in aiding the applicant, or in the case of a reexamination proceeding the patent owner, to judge the propriety of continuing the prosecution.
(3) An international-type search will be made in all national applications filed on and after June 1, 1978.
(4) Any national application may also have an international-type search report prepared thereon at the time of the national examination on the merits, upon specific written request therefor and payment of the international-type search report fee set forth in § 1.21(e). The Patent and Trademark Office does not require that a formal report of an international-type search be prepared in order to obtain a search fee refund in a later filed international application.
(5) Copending applications will be considered by the examiner to be owned by, or subject to an obligation of assignment to, the same person if:
(i) The application files refer to assignments recorded in the Patent and Trademark Office in accordance with Part 3 of this chapter which convey the entire rights in the applications to the same person or organization; or
(ii) Copies of unrecorded assignments which convey the entire rights in the applications to the same person or organization are filed in each of the applications; or
(iii) An affidavit or declaration by the common owner is filed which states that there is common ownership and states facts which explain why the affiant or declarant believes there is common ownership, which affidavit or declaration may be signed by an official of the corporation or organization empowered to act on behalf of the corporation or organization when the common owner is a corporation or other organization; or
(iv) Other evidence is submitted which establishes common ownership of the applications.
(b) Completeness of examiner's action. The examiner's action will be complete as to all matters, except that in appropriate circumstances, such as misjoinder of invention, fundamental defects in the application, and the like, the action of the examiner may be limited to such matters before further action is made. However, matters of form need not be raised by the examiner until a claim is found allowable.
(c) Rejection of claims.
(1) If the invention is not considered patentable, or not considered patentable as claimed, the claims, or those considered unpatentable will be rejected.
(2) In rejecting claims for want of novelty or for obviousness, the examiner must cite the best references at his or her command. When a reference is complex or shows or describes inventions other than that claimed by the applicant, the particular part relied on must be designated as nearly as practicable. The pertinence of each reference, if not apparent, must be clearly explained and each rejected claim specified.
(3) In rejecting claims the examiner may rely upon admissions by the applicant, or the patent owner in a reexamination proceeding, as to any matter affecting patentability and, insofar as rejections in applications are concerned, may also rely upon facts within his or her knowledge pursuant to paragraph (d)(2) of this section.
(4) Subject matter which is developed by another person which qualifies as prior art only under 35 U.S.C. 102(f) or (g) may be used as prior art under 35 U.S.C. 103 against a claimed invention unless the entire rights to the subject matter and the claimed invention were commonly owned by the same person or organization or subject to an obligation of assignment to the same person or organization at the time the claimed invention was made.
(5) The claims in any original application naming an inventor will be rejected as being precluded by a waiver in a published statutory invention registration naming that inventor if the same subject matter is claimed in the application and the statutory invention registration. The claims in any reissue application naming an inventor will be rejected as being precluded by a waiver in a published statutory invention registration naming that inventor if the reissue application seeks to claim subject matter:
(i) Which was not covered by claims issued in the patent prior to the date of publication of the statutory invention registration; and
(ii) Which was the same subject matter waived in the statutory invention registration.
(d) Citation of references.
(1) If domestic patents are cited by the examiner, their numbers and dates, and the names of the patentees must be stated. If foreign published applications or patents are cited, their nationality or country, numbers and dates, and the names of the patentees must be stated, and such other data must be furnished as may be necessary to enable the applicant, or in the case of a reexamination proceeding, the patent owner, to identify the published applications or patents cited. In citing foreign published applications or patents, in case only a part of the document is involved, the particular pages and sheets containing the parts relied upon must be identified. If printed publications are cited, the author (if any), title, date, pages or plates, and place of publication, or place where a copy can be found, shall be given.
(2) When a rejection in an application is based on facts within the personal knowledge of an employee of the Office, the data shall be as specific as possible, and the reference must be supported, when called for by the applicant, by the affidavit of such employee, and such affidavit shall be subject to contradiction or explanation by the affidavits of the applicant and other persons.
(e) Reasons for allowance. If the examiner believes
that the record of the prosecution as a whole does not make
clear his or her reasons for allowing a claim or claims, the
examiner may set forth such reasoning. The reasons shall be
incorporated into an Office action rejecting other claims of
the application or patent under reexamination or be the
subject of a separate communication to the applicant or
patent owner. The applicant or patent owner may file a
statement commenting on the reasons for allowance within
such time as may be specified by the examiner. Failure to
file such a statement does not give rise to any implication
that the applicant or patent owner agrees with or acquiesces
in the reasoning of the examiner.
39. Section 1.105 is removed and reserved.
§ 1.105 [Reserved]
40. Section 1.106 is removed and reserved.
§ 1.106 [Reserved]
41. Section 1.107 is removed and reserved.
§ 1.107 [Reserved]
42. Section 1.108 is removed and reserved.
§ 1.108 [Reserved]
43. Section 1.109 is removed and reserved.
§ 1.109 [Reserved]
44. Section 1.111 is amended by revising paragraph (b) to
read as follows:
§ 1.111 Reply by applicant or patent owner.
* * * * *
(b) In order to be entitled to reconsideration or further examination, the applicant or patent owner must reply to the Office action. The reply by the applicant or patent owner must be reduced to a writing which distinctly and specifically points out the supposed errors in the examiner's action and must reply to every ground of objection and rejection in the prior Office action. The reply must present arguments pointing out the specific distinctions believed to render the claims, including any newly presented claims, patentable over any applied references. If the reply is with respect to an application, a request may be made that objections or requirements as to form not necessary to further consideration of the claims be held in abeyance until allowable subject matter is indicated. The applicant's or patent owner's reply must appear throughout to be a bona fide attempt to advance the application or the reexamination proceeding to final action. A general allegation that the claims define a patentable invention without specifically pointing out how the language of the claims patentably distinguishes them from the references does not comply with the requirements of this section.
* * * * *
45. Section 1.112 and its heading are revised to read as
follows:
§ 1.112 Reconsideration before final action.
After reply by applicant or patent owner (§ 1.111) to a
non-final action, the application or patent under
reexamination will be reconsidered and again examined. The
applicant or patent owner will be notified if claims are
rejected, or objections or requirements made, in the same
manner as after the first examination. Applicant or patent
owner may reply to such Office action in the same manner
provided in § 1.111, with or without amendment, unless such
Office action indicates that it is made final (§ 1.113).
46. Section 1.113 is revised to read as follows:
§ 1.113 Final rejection or action.
(a) On the second or any subsequent examination or consideration by the examiner the rejection or other action may be made final, whereupon applicant's or patent owner's reply is limited to appeal in the case of rejection of any claim (§ 1.191), or to amendment as specified in § 1.116. Petition may be taken to the Commissioner in the case of objections or requirements not involved in the rejection of any claim (§ 1.181). Reply to a final rejection or action must include cancellation of, or appeal from the rejection of, each rejected claim. If any claim stands allowed, the reply to a final rejection or action must comply with any requirements or objections as to form.
(b) In making such final rejection, the examiner shall
repeat or state all grounds of rejection then considered
applicable to the claims in the application, clearly stating
the reasons in support thereof.
47. Section 1.115 is removed and reserved.
§ 1.115 [Reserved]
48. Section 1.116 is amended by revising its heading and
paragraph (a) to read as follows:
§ 1.116 Amendments after final action or appeal.
(a) After a final rejection or other final action (§ 1.113), amendments may be made cancelling claims or complying with any requirement of form expressly set forth in a previous Office action. Amendments presenting rejected claims in better form for consideration on appeal may be admitted. The admission of, or refusal to admit, any amendment after final rejection, and any related proceedings, will not operate to relieve the application or patent under reexamination from its condition as subject to appeal or to save the application from abandonment under § 1.135.
* * * * *
49. Section 1.117 is removed and reserved.
§ 1.117 [Reserved]
50. Section 1.118 is removed and reserved.
§ 1.118 [Reserved]
51. Section 1.119 is removed and reserved.
§ 1.119 [Reserved]
52. Section 1.121 is revised to read as follows:
§ 1.121 Manner of making amendments.
(a) Amendments in nonprovisional applications, other than reissue applications: Amendments in nonprovisional applications, excluding reissue applications, are made by filing a paper, in compliance with § 1.52, directing that specified amendments be made.
(1) Specification other than the claims. Except as provided in § 1.125, amendments to add matter to, or delete matter from, the specification, other than to the claims, may only be made as follows:
(i) Instructions for insertions: The precise point in the specification must be indicated where an insertion is to be made, and the matter to be inserted must be set forth.
(ii) Instructions for deletions: The precise point in the specification must be indicated where a deletion is to be made, and the matter to be deleted must be set forth or otherwise indicated.
(iii) Matter deleted by amendment can be reinstated only by a subsequent amendment presenting the previously deleted matter as a new insertion.
(2) Claims. Amendments to the claims may only be made as follows:
(i) Instructions for insertions and deletions: A claim may be amended by specifying only the exact matter to be deleted or inserted by an amendment and the precise point where the deletion or insertion is to be made, where the changes are limited to:
(A) Deletions and/or
(B) The addition of no more than five (5) words in any one claim; or
(ii) Claim cancellation or rewriting: A claim may be amended by directions to cancel the claim or by rewriting such claim with underlining below the matter added and brackets around the matter deleted. The rewriting of a claim in this form will be construed as directing the deletion of the previous version of that claim. If a previously rewritten claim is again rewritten, underlining and bracketing will be applied relative to the previous version of the claim, with the parenthetical expression "twice amended," "three times amended," etc., following the original claim number. The original claim number followed by that parenthetical expression must be used for the rewritten claim. No interlineations or deletions of any prior amendment may appear in the currently submitted version of the claim. A claim canceled by amendment (not deleted and rewritten) can be reinstated only by a subsequent amendment presenting the claim as a new claim with a new claim number.
(3) Drawings.
(i) Amendments to the original application drawings are not permitted. Any change to the application drawings must be by way of a substitute sheet of drawings for each sheet changed submitted in compliance with § 1.84.
(ii) Where a change to the drawings is desired, a sketch in permanent ink showing proposed changes in red, to become part of the record, must be filed for approval by the examiner and should be in a separate paper.
(4) Any amendment to an application that is present in a substitute specification submitted pursuant to § 1.125 must be presented under the provisions of this paragraph either prior to or concurrent with submission of the substitute specification.
(5) The disclosure must be amended, when required by the Office, to correct inaccuracies of description and definition, and to secure substantial correspondence between the claims, the remainder of the specification, and the drawings.
(6) No amendment may introduce new matter into the disclosure of an application.
(b) Amendments in reissue applications: Amendments in reissue applications are made by filing a paper, in compliance with § 1.52, directing that specified amendments be made.
(1) Specification other than the claims. Amendments to the specification, other than to the claims, may only be made as follows:
(i) Amendments must be made by submission of the entire text of a newly added or rewritten paragraph(s) with markings pursuant to paragraph (b)(1)(iii) of this section, except that an entire paragraph may be deleted by a statement deleting the paragraph without presentation of the text of the paragraph.
(ii) The precise point in the specification must be indicated where the paragraph to be amended is located.
(iii) Underlining below the subject matter added to the patent and brackets around the subject matter deleted from the patent are to be used to mark the amendments being made.
(2) Claims. Amendments to the claims may only be made as follows:
(i)(A) The amendment must be made relative to the patent claims in accordance with paragraph (b)(6) of this section and must include the entire text of each claim which is being amended by the current amendment and of each claim being added by the current amendment with markings pursuant to paragraph (b)(2)(i)(C) of this section, except that a patent claim or added claim should be cancelled by a statement cancelling the patent claim or added claim without presentation of the text of the patent claim or added claim.
(B) Patent claims must not be renumbered and the numbering of any claims added to the patent must follow the number of the highest numbered patent claim.
(C) Underlining below the subject matter added to the patent and brackets around the subject matter deleted from the patent are to be used to mark the amendments being made. If a claim is amended pursuant to paragraph (b)(2)(i)(A) of this section, a parenthetical expression "amended," "twice amended," etc., should follow the original claim number.
(ii) Each amendment submission must set forth the status (i.e., pending or cancelled) as of the date of the amendment, of all patent claims and of all added claims.
(iii) Each amendment when originally submitted must be accompanied by an explanation of the support in the disclosure of the patent for the amendment along with any additional comments on page(s) separate from the page(s) containing the amendment.
(3) Drawings.
(i) Amendments to the original patent drawings are not permitted. Any change to the patent drawings must be by way of a new sheet of drawings with the amended figures identified as "amended" and with added figures identified as "new" for each sheet changed submitted in compliance with § 1.84.
(ii) Where a change to the drawings is desired, a sketch in permanent ink showing proposed changes in red, to become part of the record, must be filed for approval by the examiner and should be in a separate paper.
(4) The disclosure must be amended, when required by the Office, to correct inaccuracies of description and definition, and to secure substantial correspondence between the claims, the remainder of the specification, and the drawings.
(5) No reissue patent shall be granted enlarging the scope of the claims of the original patent unless applied for within two years from the grant of the original patent, pursuant to 35 U.S.C. 251. No amendment to the patent may introduce new matter or be made in an expired patent.
(6) All amendments must be made relative to the patent specification, including the claims, and drawings, which is in effect as of the date of filing of the reissue application.
(c) Amendments in reexamination proceedings: Any
proposed amendment to the description and claims in patents
involved in reexamination proceedings must be made in
accordance with § 1.530(d).
53. Section 1.122 is removed and reserved.
§ 1.122 [Reserved]
54. Section 1.123 is removed and reserved.
§ 1.123 [Reserved]
55. Section 1.124 is removed and reserved.
§ 1.124 [Reserved]
56. Section 1.125 is revised to read as follows:
§ 1.125 Substitute specification.
(a) If the number or nature of the amendments or the legibility of the application papers renders it difficult to consider the application, or to arrange the papers for printing or copying, the Office may require the entire specification, including the claims, or any part thereof, be rewritten.
(b) A substitute specification, excluding the claims, may be filed at any point up to payment of the issue fee if it is accompanied by:
(1) A statement that the substitute specification includes no new matter; and
(2) A marked-up copy of the substitute specification showing the matter being added to and the matter being deleted from the specification of record.
(c) A substitute specification submitted under this section must be submitted in clean form without markings as to amended material.
(d) A substitute specification under this section is
not permitted in a reissue application or in a reexamination
proceeding.
57. Section 1.126 is revised to read as follows:
§ 1.126 Numbering of claims.
The original numbering of the claims must be preserved
throughout the prosecution. When claims are canceled the
remaining claims must not be renumbered. When claims are
added, they must be numbered by the applicant consecutively
beginning with the number next following the highest
numbered claim previously presented (whether entered or
not). When the application is ready for allowance, the
examiner, if necessary, will renumber the claims
consecutively in the order in which they appear or in such
order as may have been requested by applicant.
58. Section 1.133 is amended by revising paragraph (b) to
read as follows:
§ 1.133 Interviews.
* * * * *
(b) In every instance where reconsideration is
requested in view of an interview with an examiner, a
complete written statement of the reasons presented at the
interview as warranting favorable action must be filed by
the applicant. An interview does not remove the necessity
for reply to Office actions as specified in §§ 1.111 and
1.135.
59. The undesignated center heading in Subpart B-National Processing Provisions, following § 1.133 is revised
to read as follows:
60. Section 1.134 and its heading are revised to read as
follows:
§ 1.134 Time period for reply to an Office action.
An Office action will notify the applicant of any non-statutory or shortened statutory time period set for reply
to an Office action. Unless the applicant is notified in
writing that a reply is required in less than six months, a
maximum period of six months is allowed.
61. Section 1.135 and its heading are revised to read as
follows:
§ 1.135 Abandonment for failure to reply within time period.
(a) If an applicant of a patent application fails to reply within the time period provided under § 1.134 and § 1.136, the application will become abandoned unless an Office action indicates otherwise.
(b) Prosecution of an application to save it from abandonment pursuant to paragraph (a) of this section must include such complete and proper reply as the condition of the application may require. The admission of, or refusal to admit, any amendment after final rejection or any amendment not responsive to the last action, or any related proceedings, will not operate to save the application from abandonment.
(c) When reply by the applicant is a bona fide attempt
to advance the application to final action, and is
substantially a complete reply to the non-final Office
action, but consideration of some matter or compliance with
some requirement has been inadvertently omitted, applicant
may be given a new time period for reply under § 1.134 to
supply the omission.
62. Section 1.136 and its heading are revised to read as
follows:
§ 1.136 Extensions of time.
(a)(1) If an applicant is required to reply within a nonstatutory or shortened statutory time period, applicant may extend the time period for reply up to the earlier of the expiration of any maximum period set by statute or five months after the time period set for reply, if a petition for an extension of time and the fee set in § 1.17(a) are filed, unless:
(i) Applicant is notified otherwise in an Office action;
(ii) The reply is a reply brief submitted pursuant to § 1.193(b);
(iii) The reply is a request for an oral hearing submitted pursuant to § 1.194(b);
(iv) The reply is to a decision by the Board of Patent Appeals and Interferences pursuant to § 1.196, § 1.197 or § 1.304; or
(v) The application is involved in an interference declared pursuant to § 1.611.
(2) The date on which the petition and the fee have been filed is the date for purposes of determining the period of extension and the corresponding amount of the fee. The expiration of the time period is determined by the amount of the fee paid. A reply must be filed prior to the expiration of the period of extension to avoid abandonment of the application (§ 1.135), but in no situation may an applicant reply later than the maximum time period set by statute, or be granted an extension of time under paragraph (b) of this section when the provisions of this paragraph are available. See § 1.136(b) for extensions of time relating to proceedings pursuant to §§ 1.193(b), 1.194, 1.196 or 1.197; § 1.304 for extension of time to appeal to the U.S. Court of Appeals for the Federal Circuit or to commence a civil action; § 1.550(c) for extension of time in reexamination proceedings; and § 1.645 for extension of time in interference proceedings.
(3) A written request may be submitted in an application that is an authorization to treat any concurrent or future reply, requiring a petition for an extension of time under this paragraph for its timely submission, as incorporating a petition for extension of time for the appropriate length of time. An authorization to charge all required fees, fees under § 1.17, or all required extension of time fees will be treated as a constructive petition for an extension of time in any concurrent or futur