Abbvie Inc. v. Kennedy Inst. of Rheumatology , 764 F.3d 1366 ( 2014 )


Menu:
  •   United States Court of Appeals
    for the Federal Circuit
    ______________________
    ABBVIE INC. AND
    ABBVIE BIOTECHNOLOGY LIMITED,
    Plaintiffs-Appellees,
    v.
    THE MATHILDA AND TERENCE KENNEDY
    INSTITUTE OF RHEUMATOLOGY TRUST,
    Defendant-Appellant.
    ______________________
    2013-1545
    ______________________
    Appeal from the United States District Court for the
    Southern District of New York in No. 11-CV-2541, Judge
    Paul A. Crotty.
    ______________________
    Decided: August 21, 2014
    ______________________
    MARK A. PERRY, Gibson, Dunn & Crutcher LLP, of
    Washington, DC, argued for defendant-appellant. With
    him on the brief were WAYNE M. BARSKY and TIMOTHY P.
    BEST, of Los Angeles, California. Of counsel on the brief
    were JOHN P. WHITE, NORMAN H. ZIVIN and ROBERT T.
    MALDONADO, Cooper & Dunham LLP, of New York, New
    York.
    MICHAEL A. MORIN, Finnegan, Henderson, Farabow,
    Garrett & Dunner, LLP, of Washington, DC, argued for
    2            ABBVIE INC.   v. KENNEDY INST. OF RHEUMATOLOGY
    plaintiffs-appellees. With him on the brief were DAVID P.
    FRAZIER, CASEY L. DWYER and CORA R. HOLT.
    ______________________
    Before DYK, WALLACH, and CHEN, Circuit Judges.
    DYK, Circuit Judge.
    The Mathilda and Terrance Kennedy Institute of
    Rheumatology Trust (Kennedy) owns U.S. Patent Nos.
    7,846,442 (the ’442 patent) and 6,270,766 (the ’766 pa-
    tent). Both patents are directed towards methods of
    treating rheumatoid arthritis by co-administering two
    drugs. AbbVie, Inc. and AbbVie Biotechnology Ltd. (collec-
    tively, AbbVie) are licensees of the ’766 patent but not the
    ’442 patent. In 2011, AbbVie sued Kennedy in the South-
    ern District of New York for a declaratory judgment that
    the ’442 patent was invalid under the doctrine of obvious-
    ness-type double patenting because the ’442 patent was
    not patentably distinct from the ’766 patent. We agree
    with AbbVie that the ’442 patent would have been obvious
    in light of the ’766 patent. Accordingly, we affirm the
    district court’s finding of invalidity.
    BACKGROUND
    Rheumatoid arthritis is an autoimmune disease that
    causes painful joint inflammation. If left untreated, this
    disease can result in bone destruction and lead to poten-
    tially life-threatening complications. Although there is no
    cure for rheumatoid arthritis, scientists have developed a
    number of treatments that help abate this disease. The
    patents at issue in this appeal cover a very popular and
    effective treatment for rheumatoid arthritis: combination
    therapy of a disease-modifying antirheumatic drug and an
    antibody.
    Kennedy secured two patents on this combination
    therapy—the ’766 and ’442 patents. The first (the ’766
    patent) expired on October 8, 2012, while the second (the
    ABBVIE INC.   v. KENNEDY INST. OF RHEUMATOLOGY           3
    ’422 patent) does not expire until August 21, 2018. The
    question here is whether the ’442 patent is invalid for
    obviousness-type double patenting. Some background of
    the two patents is essential to understanding the double
    patenting issue.
    Prior to the advent of this combination therapy, pa-
    tients were treated with disease-modifying antirheumatic
    drugs, such as methotrexate. However, in the 1980s,
    researchers began to study the use of antibodies in the
    treatment of rheumatoid arthritis. Antibodies are the
    proteins that the immune system uses to identify and
    neutralize foreign bodies such as viruses and bacteria.
    During this period, the named inventors of the ’766 and
    ’422 patents discovered that a protein called Tumor
    Necrosis Factor Alpha (TNFα) is partially responsible for
    the inflammation rheumatoid arthritis causes. This
    discovery led the inventors to research antibodies that
    block the TNFα protein. In September 1994, the inventors
    began a study of rheumatoid arthritis patients whose
    disease had not responded completely to treatment with
    methotrexate. The inventors gave those patients an anti-
    TNFα antibody, either alone or in combination with
    methotrexate treatment. This study, known as the T-14
    study, formed the basis of the ’766 and ’442 patents and
    demonstrated the utility of the method claimed in the
    patents. The T-14 study revealed that rheumatoid arthri-
    tis patients better responded to anti-TNFα antibodies
    when they were administered in conjunction with metho-
    trexate as compared to the response observed when either
    of the drugs was administered alone.
    Titled “Anti-TNF Antibodies and Methotrexate in the
    Treatment of Arthritis and Crohn’s Disease,” the ’766
    patent application was filed on August 1, 1996, and
    claimed priority to a date of October 8, 1992. The specifi-
    cation clarifies that the invention
    4             ABBVIE INC.   v. KENNEDY INST. OF RHEUMATOLOGY
    is also based on the unexpected and dramatic dis-
    covery that a multiple dose regimen of . . . an [an-
    ti-TNF] antibody, when administered adjunctively
    with methotrexate to an individual suffering from
    a TNF-mediated disease[,] produces a highly ben-
    eficial or synergistic clinical response for a signifi-
    cantly longer duration compared to that obtained
    with a single or multiple dose regimen of the an-
    tagonist administered alone or that obtained with
    methotrexate administered alone.
    ’766 Patent col. 2 ll. 39-48 (emphases added).
    The ’766 patent then claims a method of co-
    administering the anti-TNFα antibody and methotrexate.
    Independent claim 8 is representative: “A method of
    treating rheumatoid arthritis in an individual in need
    thereof comprising co-administering methotrexate and an
    [anti-TNFα] antibody or an antigen-binding fragment
    thereof to the individual, in therapeutically effective
    amounts.” ’766 Patent col. 35 ll. 59-63.
    Claims 9 through 14 depend, either directly or indi-
    rectly, on claim 8, adding additional limitations to the
    method of treating rheumatoid arthritis set forth in claim
    8. ’766 Patent col. 35 l. 64 to col. 36 l. 51. For example,
    claim 9 recites “[a] method of claim 8 wherein the [anti-
    TNFα] antibody or antigen-binding fragment is adminis-
    tered in a series of doses separated by intervals of days or
    weeks.” ’766 Patent col. 35 ll. 64-67. The ’766 patent
    issued on August 7, 2001, and expired on October 8, 2012.
    After the issuance of the ’766 patent, the inventors ob-
    tained a second patent, the ’442 patent, on the method of
    treatment described therein. Although Kennedy admits
    that the claims of the ’442 patent are encompassed by
    those of the ’766 patent, Kennedy argued that the claims
    of the ’442 patent were separately patentable.
    ABBVIE INC.   v. KENNEDY INST. OF RHEUMATOLOGY           5
    The ’442 patent application was filed on September
    12, 2005, and claimed priority to the date the ’766 patent
    was filed: August 1, 1996. The specification of the ’442
    patent is identical to that of the ’766 patent. Independent
    claim 1 of the ’442 patent is representative:
    1. A method of treating an individual suffering
    from rheumatoid arthritis whose active disease is
    incompletely controlled despite already receiving
    methotrexate comprising adjunctively administer-
    ing with methotrexate therapy a different compo-
    sition comprising an anti-human [TNFα] antibody
    or a human [TNFα] binding fragment thereof to
    the individual, wherein the anti-human [TNFα] or
    fragment thereof (a) binds to an epitope on human
    [TNFα], (b) inhibits binding of human [TNFα] to
    human [TNFα] cell surface receptors and (c) is
    administered at a dosage of 0.01-100 mg/kg, and
    wherein such administration reduces or elimi-
    nates signs and symptoms associated with rheu-
    matoid arthritis.
    ’442 Patent col. 35 ll. 2-15. The remaining claims are
    similar. Unlike the ’766 patent, which is directed towards
    all “individual[s] in need” of rheumatoid arthritis treat-
    ment, ’766 Patent col. 35 ll. 35-36, the ’442 patent claims
    treatment of a more specific patient group: individuals
    with “active disease.” ’442 Patent col. 35 l. 3. The claim
    language is also different in that the ’442 patent refer-
    ences “adjunctively administering” the two drugs, ’442
    Patent col. 35 l. 5, whereas the ’766 patent refers to “co-
    administering” the two drugs. ’766 Patent col. 35 l. 36.
    The ’442 patent issued on December 7, 2010, and expires
    on August 21, 2018—six years after the expiration of the
    ’766 patent. Both the ’766 and ’442 patents were assigned
    to Kennedy.
    6            ABBVIE INC.   v. KENNEDY INST. OF RHEUMATOLOGY
    On December 23, 2002, AbbVie 1 sought and obtained
    a license to the ’766 patent. Thereafter, AbbVie obtained
    FDA approval to sell Humira, an anti-TNFα antibody, for
    use either alone or in combination with methotrexate to
    treat rheumatoid arthritis. AbbVie paid Kennedy over
    $100 million in royalties for AbbVie’s sale of Humira in
    the United States. Once the ’442 patent issued in 2010,
    Kennedy demanded that AbbVie secure an additional
    license for that patent in order to continue sales of Humi-
    ra.
    Unwilling to pay further royalties for the right to sell
    the same product, AbbVie filed this action in the district
    court on April 13, 2011. AbbVie sought a declaratory
    judgment that claims of the ’442 patent were invalid over
    the ’766 patent for obviousness-type double patenting.
    After a bench trial, the district court ruled that claims 1-
    7, 13, 14, and 17-20 of the ’442 patent (all of the claims
    that are the subject of the declaratory judgment action)
    were invalid over claims 8-14 of the ’766 patent. While
    Kennedy conceded that the ’766 patent encompasses the
    same inventive subject matter as the ’442 patent (i.e., that
    the ’766 patent is a dominant patent), Kennedy contended
    that the ’442 patent was nonetheless patentable over the
    ’766 patent. Kennedy argued that the ’766 patent claims a
    “broad genus” of methods for treating rheumatoid arthri-
    tis, whereas the ’442 patent claims a “narrower species” of
    those treatment methods with unexpected results. Appel-
    lant’s Br. 4.
    As the first step of the obviousness-type double pa-
    tenting inquiry, the district court construed the claims of
    the patents and rejected Kennedy’s proposed construc-
    1   AbbVie was previously known as Abbott Biotech-
    nology Ltd. and then AbbVie Biotechnology Ltd. For
    simplicity, we refer to this party as AbbVie.
    ABBVIE INC.   v. KENNEDY INST. OF RHEUMATOLOGY             7
    tions of the terms “co-administering,” as it is used in the
    ’766 patent, and “active disease,” as it is used in the ’442
    patent. Kennedy argued that the word “co-administering”
    should be construed to cover not only the administration
    of methotrexate and the antibody together, but also a
    scenario in which a patient receives methotrexate alone,
    is taken off methotrexate, and then receives the antibody
    alone. The district court rejected Kennedy’s proposed
    claim construction and instead construed the term “co-
    administering” as follows:
    a person of ordinary skill in the art would under-
    stand “co-administration” . . . to encompass three
    possibilities for the order of administration of the
    methotrexate and anti-TNFα antibody . . . : (1)
    treatment with methotrexate and antibody is
    started at approximately the same time (“concom-
    itantly”); (2) treatment with methotrexate is be-
    gun first and treatment with antibody is then
    added (“adjunctively”) to ongoing and continuing
    methotrexate treatment; or (3) treatment with an-
    tibody is begun first and treatment with metho-
    trexate is then added (“adjunctively”) to ongoing
    and continuing antibody treatment.
    J.A. 85-86 ¶ 317. The court then construed the word
    “adjunctively,” as it is used in the ’442 patent, “to mean a
    method of administration of methotrexate and an anti-
    TNFα antibody in which therapy with an anti-TNFα
    antibody (or fragment thereof) is added to ongoing metho-
    trexate treatment.” J.A. 91 ¶ 338. Thus, the district court
    found that the ’442 patent’s “adjunctive” administration is
    one of the three forms of “co-administration” covered by
    the ’766 patent.
    The district court also rejected Kennedy’s proposed
    construction of the phrase “active disease.” Kennedy
    advocated that “active disease,” as used in the ’442 pa-
    tent, should be limited to particularly sick patients. The
    8            ABBVIE INC.   v. KENNEDY INST. OF RHEUMATOLOGY
    district court rejected Kennedy’s restricted definition and
    construed the term to reach all patients suffering from
    rheumatoid arthritis and requiring treatment.
    After construing the disputed claim terms of the ’766
    and ’442 patents, the district court turned to the next step
    of the obviousness-type double patenting inquiry and
    compared the claims of the two patents. With respect to
    the terms “co-administration” and “adjunctive,” the court
    found that “[i]n light of the limited universe of treatment
    methods within the genus of co-administration defined by
    claims 8 through 14 of the ’766 patent, a person of ordi-
    nary skill in the art would have envisaged the species of
    adjunctive administration defined by claims 1 and 2 of the
    ’442 patent.” J.A. 93 ¶ 349. Regarding the phrase “active
    disease” the court found that “a person of ordinary skill in
    the art would not consider there to be a substantial differ-
    ence between the patient populations identified by claim 8
    of the ’766 patent and claim 1 of the ’442 patent.” J.A. 95
    ¶ 354. As a result, the district court found that the ’442
    patent covered the exact same invention as the ’766
    patent and held that asserted claims of the ’442 patent
    were invalid over the asserted claims of the ’766 patent
    for obviousness-type double patenting. The district court
    entered a partial final judgment pursuant to Rule 54(b) in
    favor of AbbVie, and Kennedy appealed. Fed. R. Civ. P.
    54(b).
    We have jurisdiction pursuant to 
    28 U.S.C. §§ 1292
    (c)
    and 1295(a)(1). Invalidity must be proven by clear and
    convincing evidence. Microsoft Corp. v. i4i Ltd. P’Ship,
    
    131 S. Ct. 2238
    , 2242 (2011); McGinley v. Franklin Sports,
    Inc., 
    262 F.3d 1339
    , 1349 (Fed. Cir. 2001). While the
    ultimate conclusion that a patent is invalid under the
    doctrine of obviousness-type double patenting is reviewed
    de novo, the underlying factual determinations—
    including the existence of secondary factors such as
    unexpected results—are reviewed for clear error. Eli Lilly
    ABBVIE INC.   v. KENNEDY INST. OF RHEUMATOLOGY              9
    & Co. v. Teva Parenteral Meds., Inc., 
    689 F.3d 1368
    , 1376
    (Fed. Cir. 2012). Claim construction is a question of law
    that we review de novo. Lighting Ballast Control LLC v.
    Philips Elecs. N. Am. Corp., 
    744 F.3d 1272
    , 1286 (Fed.
    Cir. 2014) (en banc); Cybor Corp. v. FAS Techs., Inc., 
    138 F.3d 1448
    , 1454-55 (Fed. Cir. 1998) (en banc).
    DISCUSSION
    I
    While often described as a court-created doctrine, ob-
    viousness-type double patenting is grounded in the text of
    the Patent Act. See In re Longi, 
    759 F.2d 887
    , 892 (Fed.
    Cir. 1985); see also Boehringer Ingelheim Int’l GmbH v.
    Barr Labs., Inc., 
    592 F.3d 1340
    , 1346 (Fed. Cir. 2010); Eli
    Lilly & Co. v. Barr Labs., Inc., 
    251 F.3d 955
    , 967 (Fed.
    Cir. 2001). Section 101 reads: “Whoever invents or discov-
    ers any new and useful process, machine, manufacture, or
    composition of matter, . . . may obtain a patent therefor.”
    
    35 U.S.C. § 101
     (emphasis added). Thus, § 101 forbids an
    individual from obtaining more than one patent on the
    same invention, i.e., double patenting. As this court has
    explained, “a rejection based upon double patenting of the
    obviousness type” is “grounded in public policy (a policy
    reflected in the patent statute).” Longi, 
    759 F.2d at 892
    (emphasis removed).
    The courts have recognized this principle since the in-
    ception of our patent laws. In 1819, Justice Story ex-
    plained,
    It cannot be, that a patentee can have in use at
    the same time two valid patents for the same in-
    vention; and if he can successively take out at dif-
    ferent times new patents for the same invention,
    he may perpetuate his exclusive right during a
    century . . . . If this proceeding could obtain coun-
    tenance, it would completely destroy the whole
    consideration derived by the public for the grant
    10            ABBVIE INC.   v. KENNEDY INST. OF RHEUMATOLOGY
    of the patent, [] the right to use the invention at
    the expiration of the term specified in the original
    grant.
    Odiorne v. Amesbury Nail Factory, 
    18 F. Cas. 578
    , 579
    (C.C.D. Mass. 1819). The Supreme Court has reaffirmed
    the prohibition on double patenting on multiple occasions.
    See Singer Mfg. Co. v. June Mfg. Co., 
    163 U.S. 169
    , 185
    (1896) (“It is self-evident that on the expiration of a
    patent the monopoly created by it ceases to exist, and the
    right to make the thing formerly covered by the patent
    becomes public property. It is upon this condition that the
    patent is granted.”); Miller v. Eagle Mfg. Co., 
    151 U.S. 186
    , 197-98 (1894); Suffolk Co. v. Hayden, 70 U.S. (3
    Wall.) 315, 319 (1865). As this court recently reminded,
    “[t]he bar against double patenting was created to pre-
    serve that bargained-for right held by the public.” Gilead
    Scis., Inc. v. Natco Pharma Ltd., 
    753 F.3d 1208
    , 1212
    (Fed. Cir. 2014); see also Boehringer, 
    592 F.3d at 1346
    ;
    Longi, 
    759 F.2d at 892
    ; In re Robeson, 
    331 F.2d 610
    , 614
    (CCPA 1964). The ban on double patenting ensures that
    the public gets the benefit of the invention after the
    original period of monopoly expires.
    Despite the “longstanding” recognition of the “prohibi-
    tion against double patenting,” Gilead, 753 F.3d at 1212,
    Kennedy argues that the statutory and policy rationales
    underlying the obviousness-type double patenting doc-
    trine no longer exist and the doctrine should be discarded.
    More specifically, Kennedy contends that the Uruguay
    Round Agreement Act (URAA), Pub. L. 103-465, 
    108 Stat. 4809
    , effective June 8, 1995, and its implementation of a
    20-year period of patent protection that runs from a
    patent’s earliest claimed priority date, eliminated the
    need for the obviousness-type double patenting doctrine.
    Kennedy views the purpose of this doctrine narrowly:
    “The ODP doctrine developed to curb abuses, made possi-
    ABBVIE INC.   v. KENNEDY INST. OF RHEUMATOLOGY           11
    ble by continuation practice” wherein “[n]either the Ex-
    aminer nor a patent challenger could assert prior art
    arising between the filing date of the continuation appli-
    cation and an earlier claimed priority date.” Appellant’s
    Br. 20. This practice—where “the use of continuation
    applications to claim previously disclosed but unclaimed
    features of an invention many years after the filing of the
    original patent application,” Ricoh Co., Ltd. v. Nashua
    Corp., 
    185 F.3d 884
    , No. 97-1344, slip op. at *3 n.3 (Fed.
    Cir. Feb. 18, 1999)—is known as submarine patenting.
    Now that the patent term is measured from the earliest
    claimed priority date, as opposed to the date of issuance,
    Kennedy contends that the submarine patent problem no
    longer exists and that the URAA amendment vitiated the
    policy basis for the doctrine of obviousness-type double
    patenting.
    But this argument ignores another crucial purpose of
    the doctrine: It is designed to prevent an inventor from
    securing a second, later expiring patent for the same
    invention. See Miller, 
    151 U.S. at 197-98
    ; Singer, 
    163 U.S. at 185
    . That problem still exists. Patents claiming over-
    lapping subject matter that were filed at the same time
    still can have different patent terms due to examination
    delays at the PTO. See 
    35 U.S.C. § 154
    (b) (patent term
    adjustments); In re Berg, 
    140 F.3d 1428
    , 1430 (Fed. Cir.
    1998); In re Goodman, 
    11 F.3d 1046
    , 1048-49 (Fed. Cir.
    1993). So too where, as here, the applicant chooses to file
    separate applications for overlapping subject matter and
    to claim different priority dates for the applications, the
    separate patents will have different expiration dates since
    the patent term is measured from the claimed priority
    date. 2 When such situations arise, the doctrine of obvi-
    2  Here, Kennedy claimed a priority date of October
    8, 1992 (the filing date of an earlier application), for the
    12           ABBVIE INC.   v. KENNEDY INST. OF RHEUMATOLOGY
    ousness-type double patenting ensures that a particular
    invention (and obvious variants thereof) does not receive
    an undue patent term extension. See Berg, 140 F.3d at
    1432, 1435; Goodman, 
    11 F.3d at 1052-53
    ; In re Braat,
    
    937 F.2d 589
    , 592 (Fed. Cir. 1991).
    Although this court has recognized that the doctrine
    of obviousness-type double patenting is less significant in
    post-URAA patent disputes, we have also recognized its
    continued importance. For example, in In re Fallaux, we
    recognized “that the unjustified patent term extension
    justification for obviousness-type double patenting” may
    have “limited force in . . . many double patenting rejec-
    tions today, in no small part because of the change in the
    Patent Act from a patent term of seventeen years from
    issuance to a term of twenty years from filing.” 
    564 F.3d 1313
    , 1318 (Fed. Cir. 2009). 3
    ’766 patent. For the ’442 patent, Kennedy claimed a later
    priority date, August 1, 1996 (the filing date of the appli-
    cation that issued as the ’766 patent), so that the ’442
    patent would expire after the ’766 patent.
    3    See also Boehringer, 
    592 F.3d at 1346
     (“The doc-
    trine of obviousness-type double patenting is an im-
    portant check on improper extension of patent rights
    through the use of divisional and continuation applica-
    tions, at least for patents issued from applications filed
    prior to the amendment of 
    35 U.S.C. § 154
     to create
    twenty-year terms running from the date of the earliest
    related application.”); 3A Donald S. Chisum, Chisum on
    Patents § 9.01 (“[T]he 1994 Uruguay Round Agreements
    Act . . . alters the scenarios raising double patenting
    concerns, but it does not alter the fundamental policies
    against issuing multiple patents for the same claimed
    invention or for obvious variations of the same inven-
    tion.”).
    ABBVIE INC.   v. KENNEDY INST. OF RHEUMATOLOGY               13
    At the same time, the continued importance of the
    doctrine of obviousness-type double patenting where two
    patents have different expiration dates was recently
    reaffirmed by this court in Gilead. In Gilead, we held that
    a later-issued, but earlier-expiring patent could qualify as
    a double patenting reference, and thus invalidate an
    earlier-issued, but later expiring patent. 753 F.3d at 1217.
    Because both the reference and later expiring patents in
    Gilead issued after the 1995 URAA amendment, id. at
    1209, Gilead implicitly assumed the continued vitality of
    the obviousness-type double patenting doctrine. See id. at
    1212. We now make explicit what was implicit in Gilead:
    the doctrine of obviousness-type double patenting contin-
    ues to apply where two patents that claim the same
    invention have different expiration dates. We hold that
    Kennedy is not entitled to an extra six years of monopoly
    solely because it filed a separate application unless the
    two inventions are patentably distinct.
    II
    We now turn to the question of whether the doctrine
    applies here. The obviousness-type double patenting
    analysis involves two steps: “First, the court ‘construes
    the claim[s] in the earlier patent and the claim[s] in the
    later patent and determines the differences.’ Second, the
    court ‘determines whether those differences render the
    claims patentably distinct.’” Sun Pharm. Indus., Ltd. v.
    Eli Lilly & Co., 
    611 F.3d 1381
    , 1385 (Fed. Cir. 2010)
    (alteration in original) (quoting Pfizer, Inc. v. Teva
    Pharm. USA, Inc., 
    518 F.3d 1353
    , 1363 (Fed. Cir. 2008)).
    “‘A later claim that is not patentably distinct from,’ i.e., ‘is
    obvious over[ ] or anticipated by,’ an earlier claim is
    invalid for obviousness-type double patenting.” 
    Id. at 1385
    (alteration in original) (quoting Eli Lilly, 
    251 F.3d at 968
    ).
    14           ABBVIE INC.   v. KENNEDY INST. OF RHEUMATOLOGY
    A. Claim Construction
    1. Co-Administration
    We begin with Kennedy’s claim construction argu-
    ments. Through claim construction, Kennedy attempts to
    enlarge the scope of the ’766 patent while narrowing that
    of the ’442 patent. First, Kennedy urges that the district
    court erred in limiting the term “co-administering” 4 in the
    ’766 patent to three modes of administration. The district
    court construed “co-administering” to mean that treat-
    ment with the antibody can be: (1) started at approxi-
    mately the same time as treatment with methotrexate
    (concomitant administration); (2) added after treatment
    with the methotrexate has already begun (adjunctive
    administration); or (3) begun first, with the methotrexate
    treatment later added (adjunctive administration). Ken-
    nedy argues that this definition erroneously excludes a
    fourth form of co-administration: administration of the
    antibody alone after discontinuing the administration of
    methotrexate.
    The ’766 patent’s specification confirms the correct-
    ness of the district court’s claim construction. The specifi-
    cation never uses the term “co-administering” to refer to
    patients who only received the antibody after discontinu-
    ing treatment with methotrexate. The specification makes
    clear that the invention described in the claims is limited
    to concomitant and adjunctive use. The specification
    outlines several possible modes of co-administration:
    “TNF antagonists can be administered prior to, simulta-
    4  Claim 8 of the ’766 patent reads: “A method of
    treating rheumatoid arthritis in an individual in need
    thereof comprising co-administering methotrexate and an
    [anti-TNFα] antibody or an antigen-binding fragment
    thereof to the individual, in therapeutically effective
    amounts.” ’766 Patent col. 35 ll. 59-63.
    ABBVIE INC.   v. KENNEDY INST. OF RHEUMATOLOGY            15
    neously with (in the same or different compositions) or
    sequentially with the administration of methotrexate. For
    example, TNF antagonists can be administered as adjunc-
    tive and/or concomitant therapy to methotrexate thera-
    py.” ’766 Patent col. 18 ll. 58-62. “Concomitant” therapy
    involves starting the two drugs at the same time and then
    continuing their administration together; “adjunctive”
    therapy involves starting one of the drugs after the other
    and then continuing their administration together. The
    specification concludes that “[t]he present invention
    relates to the discovery that tumor necrosis factor antag-
    onists can be administered to patients suffering from a
    TNF-mediated disease as adjunctive and/or concomitant
    therapy to methotrexate therapy, with good to excellent
    alleviation of the signs and symptoms of the disease.” ’766
    Patent col. 4 ll. 31-36. This discussion in the specification
    shows that “co-administering” encompasses treatment
    with the antibody that can be started before, after, or at
    the same time as treatment with methotrexate, as long as
    two drugs are administered together. The specification
    nowhere suggests that the invention includes administra-
    tion of the antibody alone after discontinuing treatment
    with methotrexate.
    The specification’s discussion of the three examples it
    provides similarly confirms the district court’s claim
    construction. None of the examples discusses the discon-
    tinuation of methotrexate as a form of co-administration
    or as part of the invention. The first example describes
    the T-14 study. To qualify for entry into the T-14 study,
    patients must have received weekly methotrexate treat-
    ment for at least six months. Upon enrollment into the
    study, the patients were “stabilized” on a fixed weekly
    dose of methotrexate for the first four weeks. After this
    first, equalizing month, the patients were organized into
    three separate groups that received three different treat-
    ment regimens—three different modes of antibody admin-
    16           ABBVIE INC.   v. KENNEDY INST. OF RHEUMATOLOGY
    istration. The week the patients began to receive the
    differing treatment regimens was called “week zero”
    because it marked the beginning of the trial period. The
    three distinct treatment regimens, or modes of anti-body
    administration, were: (1) patients who received metho-
    trexate as a tablet and infusions of a placebo instead of
    the anti-TNFα antibody (the “control” group), (2) patients
    who received methotrexate as a tablet and infusions of the
    anti-TNFα antibody throughout the trial (“MTX+” group),
    and (3) patients who received a placebo tablet instead of
    methotrexate and infusions of the anti-TNFα antibody
    throughout the trial (the “anti-TNFα antibody alone” or
    “MTX-” group). In the T-14 study, as in the specification’s
    other examples, the therapy that the non-placebo, non-
    control    patients received was “adjunctive”           co-
    administration. 5 The specification discusses the MTX-
    treatment group and recognized that this group manifest-
    ed some limited benefits as compared to the MTX+
    group, 6 but never suggests that this group received the
    5   In other words, the antibody treatment was added
    onto the methotrexate therapy: the patients were already
    receiving methotrexate and then began taking the anti-
    body in addition. None of the examples discusses a sce-
    nario in which patient received “concomitant” co-
    administration—where treatment with methotrexate and
    the antibody are begun at the exact same time. Neverthe-
    less, the specifications of the ’766 patent and ’442 patent
    discuss concomitant administration of the two drugs as a
    type of “co-administration.”
    6    At trial, multiple experts attributed this result to
    a “carry-over” effect that the patients’ prior treatment
    with methotrexate caused. All the patients in the T-14
    study had received weekly methotrexate for at least six
    months prior to the trial and were then “stabilized” on a
    ABBVIE INC.   v. KENNEDY INST. OF RHEUMATOLOGY             17
    adjunctive or concomitant therapy that is within the
    invention of the ’766 patent’s claims.
    To the contrary, the specification of the ’766 patent
    points to the outcomes experienced by the MTX+ group,
    as compared to those the MTX- and control groups experi-
    enced, in order to show that “co-administration” produces
    “a highly beneficial or synergistic clinical response.” ’766
    Patent col. 31 l. 39; see ’766 Patent col. 29 ll. 3-10. It was
    only through a comparison of the MTX+ group to the
    MTX- group (which the specification refers to as the group
    receiving the antibody “without methotrexate,” ’766
    Patent col. 29 ll. 8-9) that the specification concludes that
    “treatment with a multiple dose regimen of [the antibody]
    as adjunctive and/or concomitant therapy to methotrexate
    therapy, in [rheumatoid arthritis] patients whose disease
    is incompletely controlled by methotrexate, produces a
    highly beneficial or synergistic clinical response that can
    be sustained through 26 weeks.” ’766 Patent col. 31 ll. 35-
    40. Put simply, the specification compares the better
    outcomes that the group treated with both drugs experi-
    enced to the poorer results obtained in the groups that
    received no methotrexate or no antibody after week zero
    to support its conclusion that “co-administration”—
    administration of both drugs at the same time—is a
    superior method of rheumatoid arthritis treatment. Co-
    administration cannot include patients who discontinued
    methotrexate as Kennedy contends.
    fixed weekly dose of methotrexate for the first four weeks
    of the study.
    The specification does not discuss this carry-over ef-
    fect or suggest that the MTX- group received a form of co-
    administration. As discussed in the text, the specification
    highlights the superior results that the MTX+ group
    experienced in order to prove that “co-administration” is a
    beneficial therapy.
    18           ABBVIE INC.   v. KENNEDY INST. OF RHEUMATOLOGY
    Nevertheless, Kennedy argues that the principle of
    claim differentiation counsels in favor of reading claim 8
    to encompass embodiments where single doses of either
    the antibody or methotrexate are delivered to patients.
    Claim 8 reads “[a] method of treating rheumatoid arthri-
    tis in an individual in need thereof comprising co-
    administering methotrexate and an [anti-TNFα] antibody
    or an antigen-binding fragment thereof to the individual,
    in therapeutically effective amounts,” ’766 Patent col. 35
    ll. 59-63, while claim 9 reads “[a] method of claim 8
    wherein the [anti-TNFα] antibody or antigen-binding
    fragment is administered in a series of doses separated by
    intervals of days or weeks.” ’766 Patent col. 35 ll. 64-67
    (emphasis added). Kennedy contends that “[a] comparison
    of claim 8 to its dependent claim 9 demonstrates that the
    only additional limitation is that the anti-TNFα antibody
    must be administered ‘in a series of doses separated by
    intervals of days or weeks.’” Appellant’s Br. 37. Kennedy
    relies on this difference to support its argument that the
    administration of the antibody after discontinuation of
    methotrexate treatment is covered.
    But claim 9 says nothing about the discontinuation of
    the methotrexate. Its administration is assumed to be
    ongoing with the single or multiple doses of the antibody.
    The plain text of the ’766 patent’s specification and claims
    supports the district court’s claim construction of “co-
    administering.” See also J.A. 86-87 ¶ 319-21 (the district
    court also explained that the inventors’ testimony at trial
    supported this construction of the term “co-
    administering”). Accordingly, the district court correctly
    interpreted “co-administration.”
    ABBVIE INC.   v. KENNEDY INST. OF RHEUMATOLOGY               19
    2. Active Disease
    Kennedy also contests the district court’s construction
    of the term “active disease,” as used in the ’442 patent. 7
    Kennedy contends that the ’442 patent “explicitly defines”
    the term “active disease” to mean “‘the presence of six or
    criteria (duration of morning stiffness ≧45 minutes; ≧6
    more swollen joints plus at least three of four secondary
    (ESR) ≧28 mm/hour; C-reactive protein (CRP) ≧20
    tender or painful joints; erythrocyte sedimentation rate
    mg/l[)].’” Appellant’s Br. 32 (quoting ’442 Patent col. 20 ll.
    35-39). In support of this argument, Kennedy points to
    the ’442 patent’s description of the T-14 study’s patient
    population:
    One      hundred one        (101) patients . . . who
    had . . . active disease (according to the criteria of
    the American College of Rheumatology) . . . were
    enrolled in the trial. Active disease was defined by
    the presence of six or more swollen joints plus at
    morning stiffness ≧45 minutes; ≧6 tender or pain-
    least three of four secondary criteria (duration of
    ≧28 mm/hour; C-reactive protein (CRP) ≧20 mg/l.
    ful joints; erythrocyte sedimentation rate (ESR)
    ’442 Patent col. 20 ll. 29-39.
    Kennedy relies on the prosecution history of the ’442
    patent to support its desired claim construction argument.
    The examiner originally rejected the ’442 patent for
    indefiniteness, in part, because Kennedy did not suffi-
    ciently define the term “active disease.” In its response to
    7   Claim 1 of the ’442 patent states: “A method of
    treating an individual suffering from rheumatoid arthritis
    whose active disease is incompletely controlled despite
    already receiving methotrexate . . . .” ’442 Patent col. 35 ll.
    2-4.
    20           ABBVIE INC.   v. KENNEDY INST. OF RHEUMATOLOGY
    the examiner’s rejection, Kennedy stated that “active
    disease” is “defined by” the portion of the specification
    quoted above referring to the T-14 study. J.A. 5955.
    Thereafter, the examiner allowed the ’442 patent’s claims:
    “Given that [the] claimed methods are drawn to treat-
    ing . . . patients who have already failed to respond to
    methotrexate or whose active disease has been incomplete-
    ly controlled by previous treatment with methotrexate;
    the claimed methods of treating rheumatoid arthritis . . .
    due to unexpected results . . . are deemed to be an unobvi-
    ous species.” J.A. 6007 (emphasis added). Kennedy argues
    that this prosecution history reveals that its more specific
    definition of active disease, in accordance with the defini-
    tion set forth in the portion of the specification describing
    the T-14 study, was critical to the examiner’s allowance of
    the ’442 patent claims.
    AbbVie, on the other hand, contends that the quoted
    portion of the ’442 specification does not provide a single
    definition of active disease, but rather sets forth two
    definitions. Accordingly, AbbVie argues that the inventors
    cannot be viewed as having acted as their own lexicogra-
    phers. See Abbott Labs. v. Syntron Bioresearch, Inc., 
    334 F.3d 1343
    , 1355 (Fed. Cir. 2003) (“Because the specifica-
    tion provides two alternative definitions for the term at
    issue, the specification does not define the claim term.”).
    Under such circumstances, AbbVie contends that the
    standard definition of active disease—“patients with
    continuing signs and symptoms of rheumatoid arthritis,”
    J.A. 92 ¶ 345—should apply here. This standard defini-
    tion includes individuals in need of rheumatoid arthritis
    treatment, the definition used in the ’766 patent.
    We assume, without deciding, that Kennedy’s pro-
    posed construction of “active disease” was correct. The
    consequence is the genus claimed in the ’766 patent
    (treating all patients in need thereof) is broader than the
    species claimed in the ’442 patent (treating patients with
    ABBVIE INC.   v. KENNEDY INST. OF RHEUMATOLOGY           21
    “active disease,” i.e., particularly sick patients). Thus,
    assuming Kennedy’s construction of the term “active
    disease” is correct, we must decide whether a patent that
    claims to treat a subset of patients with more severe
    rheumatoid arthritis (the ’442 patent) is an obvious
    variant of a patent that claims treatment of rheumatoid
    arthritis patients generally (the ’766 patent).
    B. Obviousness
    We thus turn to the second step of the obviousness-
    type double patenting analysis: “whether the differences
    in subject matter between the claims” of the ’766 and ’442
    patents render their claims “patentably distinct” because
    the ’442 patent applies to patients with active disease. 8
    8   We note that Kennedy does not contend that un-
    der the district court’s claim construction of the term “co-
    administering,” the ’442 patent is patentably distinct from
    the ’766 patent because it claims “adjunctive” therapy
    alone. In other words, Kennedy does not contend that the
    ’442 patent is a separately patentable species of the ’766
    patent because it only claims “adjunctive” co-
    administration and not “concomitant” co-administration.
    Kennedy does contend, however, that the ’442 patent
    is non-obvious over the ’766 patent because the ’442
    patent claims are narrower than those of the ’766 patent
    in that the ’442 patent refers to a reduction in the “signs
    and symptoms associated with rheumatoid arthritis.” ’442
    Patent col. 35 ll. 13-15. Kennedy asserts that the reduc-
    tion in both the “signs and symptoms” of the disease was
    an unexpected result. At oral argument, Kennedy ex-
    plained that “signs” of the disease are indicators that are
    measured in the laboratory, such as inhibition of the
    biological activity of TNFα, whereas “symptoms” are
    observable patient outcomes, such as a renewed ability to
    walk. Kennedy then argued that the claims of the ’766
    patent only require a reduction in the signs of the dis-
    22           ABBVIE INC.   v. KENNEDY INST. OF RHEUMATOLOGY
    Amgen Inc. v. F. Hoffman–La Roche Ltd, 
    580 F.3d 1340
    ,
    1361 (Fed. Cir. 2009); see Eli Lilly & Co., 689 F.3d at
    1377; Sun, 
    611 F.3d at 1385
    . As we clarified in Eli Lilly
    and Amgen, in this respect, the law of obviousness-type
    double patenting looks to the law of obviousness general-
    ly. As we further explained in Amgen, “[t]his part of the
    obviousness-type double patenting analysis is analogous
    to an obviousness analysis under 
    35 U.S.C. § 103
    .”
    Amgen, 
    580 F.3d at 1361
    ; Eli Lilly, 689 F.3d at 1377; see
    also Longi, 
    759 F.2d at 896
    . Indeed, Kennedy admits that
    “the second step of the [obviousness-type double patent-
    ing] analysis is analogous to an inquiry into the obvious-
    ness of a claim under 
    35 U.S.C. § 103
    .” Appellant’s Br. 44
    (citing Longi, 
    759 F.2d at
    892 n.4). Thus, if the later
    expiring patent is “merely an obvious variation of an
    invention disclosed and claimed in the [reference] patent,”
    the later expiring patent is invalid for obviousness-type
    double patenting. In re Vogel, 
    422 F.2d 438
    , 441 (CCPA
    ease—inhibition of the biological activity of the TNFα
    protein—whereas the T-14 study shows that the ’442
    patent led to a reduction in both the signs and symptoms
    of the disease.
    Although the ’766 patent may not have specifically
    claimed to “reduce[] or eliminate[] [the] signs and symp-
    toms associated with rheumatoid arthritis,” ’442 Patent
    col. 35 ll. 14-15, the ’766 patent’s specification demon-
    strates that this outcome was a known result of the
    patent’s claimed method. According to the ’766 patent’s
    specification, “[t]he present invention is based on the
    discovery that treatment of patients suffering from
    [rheumatoid arthritis] with [an anti-TNF antibody] . . . as
    adjunctive and/or concomitant therapy to methotrexate
    therapy produces a rapid and sustained reduction in the
    clinical signs and symptoms of the disease.” ’766 Patent
    col. 2 ll. 33-39 (emphases added).
    ABBVIE INC.   v. KENNEDY INST. OF RHEUMATOLOGY             23
    1970). But “the nonclaim portion of the earlier patent
    ordinarily does not qualify as prior art against the pa-
    tentee.” Eli Lilly, 689 F.3d at 1379.
    To be sure, obviousness is not demonstrated merely
    by showing that an earlier expiring patent dominates a
    later expiring patent. Nor do we think that the district
    court here relied on any such principle. It is well-settled
    that a narrow species can be non-obvious and patent
    eligible despite a patent on its genus. See Eli Lilly & Co.
    v. Bd. of Regents of Univ. of Wash., 
    334 F.3d 1264
    , 1270
    (Fed. Cir. 2003); In re Kaplan, 
    789 F.2d 1574
    , 1577-78
    (Fed. Cir. 1986); In re Sarett, 
    327 F.2d 1005
    , 1014 (CCPA
    1964); 3A Donald S. Chisum, Chisum on Patents
    § 9.03[2][b][ii].
    But not every species of a patented genus is separate-
    ly patentable. First, when a “genus is so limited that a
    person of ordinary skill in the art can ‘at once envisage
    each member of this limited class,’ . . . a reference describ-
    ing the genus anticipates every species within the genus.”
    In re Gleave, 
    560 F.3d 1331
    , 1337-38 (Fed. Cir. 2009)
    (quoting Eli Lilly & Co. v. Zenith Goldline Pharms., Inc.,
    
    471 F.3d 1369
    , 1376 (Fed. Cir. 2006), and citing Perricone
    v. Medicis Pharm. Corp., 
    432 F.3d 1368
    , 1377 (Fed. Cir.
    2005)); see also Bristol-Myers Squibb Co. v. Ben Venue
    Labs., Inc., 
    246 F.3d 1368
    , 1380 (Fed. Cir. 2001) (“[T]he
    disclosure of a small genus may anticipate the species of
    that genus even if the species are not themselves recit-
    ed.”). For example, in Pfizer, Inc. v. Apotex, Inc., we inval-
    idated a patent on a species belonging to a previously
    patented genus. 
    480 F.3d 1348
    , 1361 (Fed. Cir. 2007). As
    we explained, “this is not the case where there are ‘nu-
    merous parameters’ to try.” 
    Id. at 1363
    . Because prior art
    references “provide[d] ample motivation to narrow the [a
    previously patented] genus of . . . pharmaceutically-
    acceptable anions to a few,” 
    id. at 1366
    , we concluded that
    the species at issue in this case was unpatentable. 
    Id.
     at
    24            ABBVIE INC.   v. KENNEDY INST. OF RHEUMATOLOGY
    1372. We clarified that “the outcome of this case need not
    rest heavily on the size of the genus . . . disclosed by [a
    prior art reference] because clear and convincing evidence
    establishes that . . . one of ordinary skill in the art would
    have favorably considered [the species patent at issue].”
    
    Id. at 1363
    . In In re Petering, the court similarly found
    that certain species claims were unpatentable over a prior
    patent on their genus:
    It is our opinion that one skilled in this art would,
    on reading the [prior] patent, at once envisage
    each member of this limited class, even though
    this skilled person might not at once define in his
    mind the formal boundaries of the class as we
    have done here. . . . [W]e think that one with ordi-
    nary skill in this art, with. . . [the reference genus
    patent] before him, would also have before him
    those subspecies.
    
    301 F.2d 676
    , 681-82 (CCPA 1962) (emphases added).
    Thus, species are unpatentable when prior art disclosures
    describe the genus containing those species such that a
    person of ordinary skill in the art would be able to envi-
    sion every member of the class. Here, we think it is clear
    that a reader of the ’766 patent could have easily envi-
    sioned a species limited to sicker patients. The district
    court was correct in concluding that the species of the ’442
    patent was not patentably distinct from the genus of the
    ’766 patent.
    Moreover, even if Kennedy were to show that not eve-
    ry species could be envisioned from the ’766 patent’s
    genus, Kennedy’s claim of non-obviousness rests on its
    contention that the species has unexpected results. A
    species contained in a previously patented genus may be
    patentable if the species manifests unexpected properties
    or produces unexpected results. For example, in Petering,
    the court found that a species was patentable in spite of
    prior art that claimed its genus because the species had
    ABBVIE INC.   v. KENNEDY INST. OF RHEUMATOLOGY               25
    unexpected properties. 
    301 F.2d at 683
    . In Pfizer, Inc. v.
    Apotex, Inc., on the other hand, we concluded that Pfizer’s
    patent was invalid because Pfizer “failed to prove that the
    results [associated with the species patent at issue] [we]re
    unexpected.” 480 F.3d at 1371. Kennedy’s claim of unex-
    pected results is not supported.
    In its brief, Kennedy appeared to admit that it was
    only able to show that the ’442 patent manifested unex-
    pected results if its desired construction of the term “co-
    administering” were accepted. 9 However, at oral argu-
    ment, Kennedy more broadly asserted that the ’442
    patent led to the unexpected result of improving the
    health of the “hardest-to-treat patients”—the patients
    with “active disease.” We disagree.
    To determine whether the ’442 patent is directed to a
    species that yielded unexpected results, we must neces-
    sarily look to the ’766 patent’s disclosures to assess what
    results were expected at the time the ’766 patent applica-
    tion was filed. The demonstration of utility of the ’766
    patent relies on the T-14 study, the very study that Ken-
    nedy now relies on to show that the ’442 patent led to
    unexpected results and merits a separate patent. Indeed,
    Kennedy’s definition of the term “active disease” is taken
    from the T-14 study. The ’766 patent relied on the results
    obtained in the T-14 study to demonstrate that a combi-
    nation therapy of methotrexate and anti-TNFα antibody
    improved the health of the very subset of rheumatoid
    9     In its brief, Kennedy explained that “[t]he district
    court refused to credit [Kennedy’s evidence of unexpected
    results] principally because the court’s construction of ‘co-
    administering’ eliminated the results obtained with
    the . . . MTX- patients from the analysis, leaving nothing
    against which to compare the results of the ’442 pa-
    tent’s . . . treatment.” Appellant’s Br. 56; see also id. at 63.
    26            ABBVIE INC.   v. KENNEDY INST. OF RHEUMATOLOGY
    arthritis patients that Kennedy now contends show that
    the method of the ’442 patent led to unexpected results.
    Thus, the ’442 patent merely claims the known utility of
    the ’766 patent and does not claim a species with unex-
    pected results.
    However, Kennedy argues that the ’766 patent’s dis-
    closures cannot be used to determine whether the results
    of the ’442 patent were unexpected because this amounts
    to treating the disclosures of the ’766 patent as prior art.
    It is true that a reference patent’s specification cannot be
    used as prior art in an obviousness-type double patenting
    analysis. See Eli Lilly, 689 F.3d at 1378-79; Geneva
    Pharms., Inc. v. GlaxoSmithKline PLC, 
    349 F.3d 1373
    ,
    1385 (Fed. Cir. 2003); Gen. Foods Corp. v. Studiengesell-
    schaft Kohle mbH, 
    972 F.2d 1272
    , 1280 (Fed. Cir. 1992).
    But, it is also well settled that we may look to a reference
    patent’s disclosures of utility to determine the question of
    obviousness. As our predecessor court concluded, “[i]n
    considering the question [of obviousness-type double
    patenting], the patent disclosure may not be used as prior
    art. This does not mean that the disclosure may not be
    used at all. As pointed out above, in certain instances it
    may be used . . . as required to answer the . . . question
    above.” Vogel, 422 F.2d at 441-42 (internal citations
    omitted) (emphasis added). Similarly, in In re Basell
    Poliolefine Italia S.P.A., we clarified that “[w]hile . . . it is
    impermissible to treat a ‘patent disclosure as though it
    were prior art’ in a double patenting inquiry, . . . the
    disclosure may be used . . . to answer the question wheth-
    er claims merely define an obvious variation of what is
    earlier disclosed and claimed.” 
    547 F.3d 1371
    , 1378-79
    (Fed. Cir. 2008) (quoting Kaplan, 
    789 F.2d at 1580
    ).
    We have repeatedly approved examination of the dis-
    closed utility of the invention claimed in an earlier patent
    to address the question of obviousness. As we explained in
    Geneva Pharmaceutical, Inc. v. GlaxoSmithKline PLC,
    ABBVIE INC.   v. KENNEDY INST. OF RHEUMATOLOGY              27
    “[t]he [reference] patent’s claim describes a compound,
    and [the reference patent’s] written description discloses a
    single utility of that compound . . . . The [later expiring]
    patent claims nothing more than [the reference patent’s]
    disclosed utility as a method of using the [reference
    patent’s] compound. Thus, the claims of the [reference
    patent] and [later expiring] patents are not patentably
    distinct.” 
    349 F.3d at 1386
    . 10
    In Pfizer, Inc. v. Teva Pharmaceuticals USA, Inc., we
    explained that a later expiring patent is not patentably
    distinct from an earlier expiring patent if it merely claims
    a disclosed utility of the earlier claimed invention.
    The claims at issue of the [later expiring] patent
    merely recite methods of administering a “thera-
    peutically-effective amount” of the compositions
    found in claim 5 of the [earlier expiring] pa-
    tent. . . . Thus, . . . the [later expiring] patent
    merely claims a particular use described in the
    [earlier expiring] patent . . . . The asserted claims
    of the [later expiring patent] are therefore not pa-
    tentably distinct over the claims of the [earlier ex-
    piring] patent.
    10   In reaching this conclusion, the court confirmed
    the policy rationale articulated by our predecessor court
    in In re Byck:
    It would shock one’s sense of justice if an inventor
    could receive a patent upon a composition of mat-
    ter, setting out at length in the specification the
    useful purposes of such composition, manufacture
    and sell it to the public, and then prevent the pub-
    lic from making any beneficial use of such product
    by securing patents upon each of the uses to
    which it may be adapted.
    
    48 F.2d 665
    , 666 (CCPA 1931).
    28            ABBVIE INC.   v. KENNEDY INST. OF RHEUMATOLOGY
    
    518 F.3d at 1363
     (internal footnote omitted). There is no
    meaningful distinction between examining the disclosed
    utility of an earlier patent to determine the overall ques-
    tion of obviousness and looking at the disclosed utility of
    an earlier patent to determine whether the utility of the
    later patent was unexpected at the time of the earlier
    patent. Neither involves improper use of the reference
    patent’s specification as prior art.
    The ’442 patent does not claim a species manifesting
    unexpected results. The ’442 patent would have been
    obvious over the ’766 patent.
    CONCLUSION
    In sum, we conclude that the ’442 patent is invalid for
    obviousness-type double patenting in light of the ’766
    patent.
    AFFIRMED
    Costs to appellee.
    

Document Info

Docket Number: 13-1545

Citation Numbers: 764 F.3d 1366

Filed Date: 8/21/2014

Precedential Status: Precedential

Modified Date: 1/12/2023

Authorities (28)

Nicholas v. Perricone, M.D. v. Medicis Pharmaceutical ... , 432 F.3d 1368 ( 2005 )

In Re Paolo Longi , 759 F.2d 887 ( 1985 )

Eli Lilly & Co. v. Zenith Goldline Pharmaceuticals, Inc. , 471 F.3d 1369 ( 2006 )

General Foods Corporation v. Studiengesellschaft Kohle Mbh , 972 F.2d 1272 ( 1992 )

In Re Basell Poliolefine Italia S.P.A. , 547 F.3d 1371 ( 2008 )

Abbott Laboratories v. Syntron Bioresearch, Inc., Defendant-... , 334 F.3d 1343 ( 2003 )

In Re Robert Goodman, Vic C. Knauf, Catherine M. Houch and ... , 11 F.3d 1046 ( 1993 )

In Re Fallaux , 564 F.3d 1313 ( 2009 )

Amgen Inc. v. F. Hoffmann-La Roche Ltd. , 580 F.3d 1340 ( 2009 )

In Re Gleave , 560 F.3d 1331 ( 2009 )

Sun Pharmaceutical Industries, Ltd. v. Eli Lilly & Co. , 611 F.3d 1381 ( 2010 )

Pfizer, Inc. v. Teva Pharmaceuticals USA, Inc. , 518 F.3d 1353 ( 2008 )

geneva-pharmaceuticals-inc-plaintiffcounterclaim-and-novartis-ag-and , 349 F.3d 1373 ( 2003 )

bristol-myers-squibb-company-v-ben-venue-laboratories-inc-bedford , 246 F.3d 1368 ( 2001 )

In Re Josephus J.M. Braat , 937 F.2d 589 ( 1991 )

Cybor Corporation v. Fas Technologies, Inc., and Fastar Ltd.... , 138 F.3d 1448 ( 1998 )

Michael L. McGinley v. Franklin Sports, Inc., Defendant-... , 262 F.3d 1339 ( 2001 )

Eli Lilly & Co. v. Board of Regents of the University of ... , 334 F.3d 1264 ( 2003 )

In Re Leonard Kaplan and Wellington Epler Walker , 789 F.2d 1574 ( 1986 )

Boehringer Ingelheim International GmbH v. Barr ... , 592 F.3d 1340 ( 2010 )

View All Authorities »