| Moatz, Harry
From: ccavender@
Sent: Tuesday, February 10, 2004 6:58 PM
To: Ethicsrules.comments.@USPTO.gov
Subject: Request for comments on proposed changes in rules
for representing others before the
USPTO
Expires: Thursday, February 10, 2005 1:00 AM
Attention Harry I Moatz:
These comments are my personal comments and should not be
interpreted to be indicative of the position of my employer
or any organization to which I belong.
There are many problems with this rule package. These comments
are first directed to the package as a group of rules that
should be consistent and should avoid as many conflicts as
possible. Then individual rules are addressed such as 11.101(c)
which seems to make any procedural mistake a cause for being
disbarred. The writer is aware that the Office prefers to
refer to disbarment as exclusion from practice before the
USPTO but since the effect is the same, the writer will generally
use "disbar" for this concept. Last these comments
also address the CLE requirement.
The primary problem with the rule package is that the package
is so different from those ordinarily accepted as ethics rules
in other jurisdictions that confusion and unintentional violation
is reasonably expected. Instead of adopting the Model Rules
as was an apparent purpose of this proposal, this package
proposes something far different from the Model Rules. The
most unique rules of a large number of state bars and courts
were selected. Then it looks like a number of rules previously
based on earlier ethics rule systems were added to the Model
Rules. The Model Rules were written to replace, not supplement
earlier rule systems. The USPTO implementation needs to follow
that design Most states have successfully changed to the Model
Rules, not added the old and new rule packages together. Also,
the USPTO has added special over-broad rules to deal with
very specific situations. States have not found it necessary
to address any particular type of business or other organization
even though states deal with much more serious issues such
as mobs, crime, and gangs. Ethics rules until now have transcended
the type of organization because they deal with behavior which
is wrong in any context rather than proscribing behavior which
is acceptable in all other contexts but which is not acceptable
in the context of a particular type of organization. If states
can deal with attorney representation of mobsters without
writing separate rules for dealing with each type of client,
surely the USPTO can attack legitimately unethical behavior
in an invention promotion context without separate rules.
This proposal looks like the beginning of separate rules for
attorneys in each type of organization with which they might
be associated. Instead, it would be preferable for the USPTO
to adopt the Model Rules in their entirety without the oddities
of each court and state and to avoid adding back in prior
rules for conduct. The Model Rules were written over a period
of years and carefully examined by a large number of very
capable people who apparently believed the Model Rules alone
suffice to describe ethical behavior for attorneys. Special
rules to address particular situations and organizations have
not benefited from this scrutiny. Adopting the Model Rules
virtually alone would be much more successful in avoiding
conflicts among ethics rules to which an attorney may be subject
than the proposed "solution." The USPTO admits that
these proposed rules contain rules which conflict with state
bar rules. Then the Office relies on the supremacy clause
of the United States Constitution and Louisiana Public Service
Comm'n to preempt state bar ethics rules. It is highly doubtful
that any state bar would accept that its rules had been preempted
by the USPTO. Certainly, it is not foreseeable that any state
would accept the idea that because a first attorney is a patent
attorney and a second is not, that the proposed USPTO rule
11.805(b) would prevail such that when there is a conflict
of rules among state bars to which both attorneys are admitted,
the first attorney would be treated differently from the second.
Instead, attorneys will be subject to all sets of rules simultaneously,
including those which conflict. Several times in the proposed
rules, the Office requests comments on provisions that differ
from state rules. The truth is that patent attorneys must
act under all sets of rules to which they are subject. Patent
attorneys could do no more than their states
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permit. Patent agents in the same state or attorneys in another
state may be permitted to do what the USPTO would allow. There
are even more problems when the requirements for client dealings
differ so much that we would be required to have two sets
of papers to satisfy both sets of rules. From a practical
point of view, the USPTO can add requirements, complicate
things, and create more "Catch 22's" but cannot
clarify which set of rules we practice under unless the USPTO
defers to the state bar rules. The tone of the rule proposal
indicates that the idea of deferral is fantasy. It is not
reassuring that the Office admits there are conflicts between
its proposed rules and those of the states and yet punishes
violations of either by disbarment. Thus, if an attorney obeys
the USPTO rules and in doing so violates state ethics rules
such that the attorney is disciplined by the state, the USPTO
punishes the attorney by exclusion from practice before the
Office under proposed rules 11.19(e)(ii) and 11.803(e) and
(f).
The most straightforward way to avoid adding to the sets
of conflicting rules an attorney faces would be to say that
those who are required to keep the ethics rules of any state
must do so to continue to practice before the USPTO, but that
those who are not under the control of a state bar or for
situations not covered by state rules, the USPTO provides
ethics rules. A second, and probably preferable, way to avoid
much of the conflict would be for the USPTO to adopt the Model
Rules unadulterated. That would provide rules more like state
rules based on the same Model. Each cherry picked unique court
and state rule and exceptional situation rule has the potential
for conflicting with a minimum of 49 other states' rules.
Model Rules adopted without change will seldom conflict with
state Model Rules.
Aside from the problems of the rule set in general, many
of the proposed rules require more clarity. This tends to
be particularly true when the rules are written to address
specific situations without carefully limiting the rules to
those situations. An example of an overly broad definition
is that part of the definition of invention promoter that
describes a person "who enters ... another agreement
with a customer to assist the customer in marketing and patenting
an invention." These persons are in addition to those
who advertise or ender contracts with the customer. Customer
is not defined. Therefore, is this definition intended to
cover a friend of the inventor who agrees to help the inventor?
Venture capitalists, who are often necessary to invention
commercialization, would definitely be covered in the definition
unless all inventing ceased and all patents were already obtained.
While the evils of some invention promoters should be stopped,
is it necessary that the inventor find it impossible to obtain
help? Several of the rules that seem to be written to address
the invention promoter situation also are written so broadly
that they could be read to address activity by attorneys employed
by corporations. The likelihood of this interpretation is
admitted, for instance, on page 69476 of Fed. Reg. vol. 68,
no. 239 of December 12, 2003 where these rules are proposed.
Instead of simply clarifying the rule, the USPTO discusses
technicalities of procedures to deal with the useless breadth
of the rule. That page says that the "prudent attorney"
would "before filing the application, ... secure from
the inventor, the inventor's signature on a combined declaration
and power of attorney, as well as on assignment of the patent
rights to the corporation" and "The corporation
may then revoke all previous powers of attorney, and give
its own power of attorney in favor of the attorney."
First, the prudent attorney is also aware of a competing issue,
that of filing immediately lest a competit! or file first.
Second, a corporate invention is seldom the work of one inventor.
Instead, the inventors employed by a corporation are likely
to be spread worldwide, a spread that requires weeks or months
to obtain all the requisite signatures. Must the prudent attorney
ignore the client corporation's interest in an early filing
date in order to obtain all the forms in the sequence the
USPTO would prefer lest the attorney be disciplined for misconduct?
Third, if in every corporate patent application, the attorney
acted "prudently" and the corporation revoked the
previous powers of attorney and filed its own power of attorney
in favor of the (same) attorney, the Office would receive
tens of thousands, probably hundreds of thousands, more forms
every year, and of course, more fees. It is respectfully suggested
that a more reasonable solution would be to write the rules
more clearly so that they do not literally encompass the necessary
activity of attorneys employed by cor! porations. Rules that
require circumvention for legitimate and necess ary activity
can also be circumvented by those with less honorable purposes.
The examples of conduct under 11.101(c) should definitely
be clarified. For instance, does subsection (3) "A practitioner
employs one or more procedures that the Office no longer authorizes
practitioners to use to present or prosecute a patent application;"
mean that the Office would disbar an attorney for incompetence
if a paper mistakenly referred to a file wrapper continuation
even though the forms were correct for requesting continuing
examination? Would an attorney be disbarred if software lost
the page break
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between amendments to the claims and amendments to the specification?
The page break requirement is a procedure, but hardly merits
loss of employment as a patent attorney for several years
and being subjected to the reinstatement impossibilities of
proving by clear and convincing evidence that every activity
for the disbarred years complied with all the ethics rules.
Would an attorney be disbarred for incompetence if a paper
using an old procedure arrives one d! ay after the procedure
is no longer authorized? A rule that makes procedural mistakes
an ethics violation should never be enacted as a rule.
The Office should definitely continue to use the clear and
convincing standard for proving disciplinary violations, especially
since these new rules are so extremely long, complex and unclear.
There is even the very real possibility of internal inconsistency.
Only years of experience will reveal whether there is internal
consistency. Certainly practicing attorneys faced with several
sets of new rules including this 122 page document in December
just before the holidays cannot be expected to recognize the
problems in the short comment period. On the other hand, the
clear and convincing standard for proving rehabilitation and
even the "present good moral character" required
of applicants for registration seems steep. One questions
whether it is possible to prove these things to that standard
in the way a court would interpret the clear and convincing
standard. The requirement for reinstatement in 11.58 that
a person "ii) Shows by clear and convincing evidence
that the practitioner has complied with the provisions of
this section and all imperative USPTO Rules of Professional
Conduct;" seems particularly unclear. This would seem
to require that a person prove by clear and convincing evidence
that every action for perhaps 5 or 10 years complied with
dozens of provisions. Reinstatement from legitimate ethics
violations should be difficult but should not require so much
detail that it cannot be reasonably be reviewed. The requirement
for clear and convincing evidence ceases to have significance
when it is so cumb! ersome that it becomes a meaningless formality.
The value of these proposed rules over the present rules or
the unadulterated Model rules does not seem to justify the
problems inherent in them. Maybe the Office could prosecute
a very few attorneys or agents when they cannot attack invention
promoters directly; however, the promoters may just lie about
obtaining patents and avoid the need for attorneys and agents.
These rules should be successful in kicking many retired patent
agents and attorneys off the rolls at a price of several million
dollars for more bureaucracy. Either that, or the rules could
be enforced literally to exclude from practice every attorney
and agent guilty of the slightest procedural infraction under
11.101(c). The latter could cost billions and result in a
bureaucracy 5 to 10 times the number of agents and attorneys
that would be effectively disbarred.
The discussion of number of persons affected by reinstatement
fees is severely underestimated on page 69511. The number
5 is based on current experience under current rules. The
new rules multiply the reasons for disbarment, suspension,
or resignations pending disciplinary proceedings. Even late
payment of annual fees, late CLE, or CLE that is not properly
pre-approved result in suspension. And such unclear rules
as 11.101(c) (3), discussed earlier, could multiply the number
of persons in violation of the new rules by hundreds. When
rules are so unclear, so dissimilar from the Model Rules,
that is from the rules familiar to attorneys, and so prone
to conflict with other rules to which attorneys are subject,
violations are inevitable.
The rules regarding continual recertification of patent attorneys
and agents based on CLE preapproved by the USPTO seem to ignore
the fact that for many, if not most, patent attorneys practice
before the Office is only one (often small) aspect of legal
practice. Yet the identity as patent attorneys is very important
for many who practice patent litigation, who manage patent
departments, who deal primarily with the transactional aspects
of intellectual property law (licenses, mergers, etc.), who
advise clients regarding avoiding infringement, and who are
involved in a myriad of other areas of patent law. We need
to have the freedom to select CLE pertinent to those areas
in which we practice. In 2003, studying Sarbanes-Oxley may
well have been more valuable than studying the series of changes
in the format now required for amendments before the Office.
In an ideal world, all attorneys could study all the things
agencies want everyone to know every year. The real world
sev! erely limits the time and money available for CLE. It
would be a disservice to the profession and the Office to
disqualify e.g. a managing partner in a law firm, the manager
of a patent department of a major corporation or a skilled
litigator from being a patent attorney because he or she deemed
it more important to take the few precious CLE hours permitted
by his/her schedule in some area other than format changes
of amendments.
If patent CLE is required by the office, at a very minimum,
the rules should state
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clearly the maximum amounts discussed on page 69510 of the
Fed. Reg. notice. As the Office discusses there, it should
be limited to 1 to 2 hours in any year when it is required.
Rule 11.12 does not set a limit. Without a limit, times and
other requirements always grow.
There are several other aspects of 11.12 that need clarification
in the rule. The rule only says that the requirement will
be made in a fiscal year and announced on the web. Patent
practitioners need to know WHEN to look on the web, e.g. within
2 weeks of the beginning of the fiscal year. More importantly,
the minimum time span from the announcement to the deadline
for meeting the requirement needs to be stated in the rule.
In all instances attorneys and agents should have the full
fiscal year to complete any requirements posted within the
first two weeks of the fiscal year. Should a requirement be
first posted more than 2 weeks after the beginning of the
fiscal year, attorneys and agents should have until the end
of the following fiscal year, that is more than a calendar
year. The rules as presently worded seem to permit the Office
to post something e.g. December 23 and require that it be
completed by e.g. January 1 with a penalty, reinstatement
fee and much paperwor! k for reinstatement from administrative
suspension for failing to complete the CLE. A reasonable rule
must set specific times that the web must be checked for requirements
and a reasonable amount of time for completion of the requirement.
All other descriptions of the CLE program that make it sound
less onerous than it might be are also notably absent from
the rules, leaving the Office to change the character of the
requirement at will. The description alone tells us that the
CLE will be available by internet, with repeated opportunities
for success. If the rules are to be reasonable, these aspects
must be stated in the rules. As the proposed rules stand,
only the negative parts of the program, e.g. that it cannot
be sponsored by a firm, are set as rules that require rulemaking
procedures to change. Descriptive portions of the rule package
can be ignored immediately or later. If every patent attorney
and agent is required by the Office to take CLE, it is unwise
to have the content of that CLE controlled by the USPTO. An
attorney needs to understand developments from the perspective
of attorney practice. Rules may help or hinder client interests
in ways the Office has not perceived. The present method where
attorneys can get CLE from a number of dissimilar sources
based on the attorney's interests and experience with the
providers is preferable. There is no reason to treat CLE providers
as scam artists from which the USPTO must protect attorneys.
CLE from law firms and corporate patent functions is often
of the highest quality because these sources realize from
first-hand experience how valuable the attorney's time is
yet how important it is that the attorney understands new
developments and makes them a part of practice. Organizations
with experience in offering effective CLE mix procedure in
small doses with more memorable concepts. There! is no reason
to refuse to accredit the best CLE available, unless, of course,
the accreditation requirement for CLE is not meant to be quality
assurance. What legitimate reason can there be for preapproval
aside from quality assurance? A rule forbidding CLE by firms
and corporate patent functions is overkill. Why should a rulemaking
process be required if the Office recognized in the future
that some firms provide CLE more capably than other sponsors
permitted under the proposed rules? Certainly the proposed
set of ,rules where the Office can increase the amount of
CLE requirement infinitely and charge any amount for it without
rulemaking but cannot decide that even one firm is capable
of delivering one adequate hour of CLE is misguided. CLE hours
are precious and should be reserved for developments the attorney
will remember and use. Instead, the Office proposes to design
attorney CLE based on examiner training materials. Attorneys'
needs differ from examiners' needs. Examiners cite and apply
references. They need to know in great detail how to distinguish
references that can be legally applied from those that cannot
be. Attorneys only need this skill when dealing with validity
questions. Even then, the case law requirement for clear and
convincing proof of invalidity makes the attorney's application
of references far different from that of an examiner. If attorneys
and agents are required to take CLE, it should be designed
for them. Furthermore, attorneys are responsible for complying
with rules of all courts and agencies before which they practice.
That compliance may be the result of teamwork within an organization.
Attorneys have practiced before the USPTO according to the
rules for decades, actually centuries, without special CLE
on procedures and practices. Specific courts and other governmental
agencies have their individual rules which must be followed
- all without an attorney being disbarred for failure to take
preapproved CLE every year. Attorneys are certainly not tested
on these rules annually even if they don't appear before that
court or agency during that particular year. Other ways of
enforcing the rules have long been successful. This requirement
is unnecessary and merely the start of something that could
easily become unmanageable.
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The profession has benefited from the availability of recent
graduates who have shown their interest in patent law and
initiative by passing the patent bar exam while in school.
The rules should be designed to avoid discouraging such action.
These proposed rules would abolish the practice because the
student who passed the exam would become responsible for the
mandated CLE and annual fees (after the remainder of the year)
in addition to the increased burdens of applying under this
proposed set of rules. Student time and financial budgets
are strained by the current registration requirements. The
proposed rules increase the burden unnecessarily. Similarly,
unemployed scientists who study and pass the patent bar exam
become more employable and are often an asset to the profession.
The proposed system of increased application requirements,
CLE and fees would foreclose the patent bar to the unemployed
scientist. The notice says the USPTO will be communicating
with the state bar authorities to persuade them to accept
the USPTO education program. Reciprocity is a key concept
between state bars. The USPTO does not hint at any willingness
to cooperate or reciprocate, rather wants to replace CLE that
has proven to serve the state bars and attorneys well. The
requirement 11.11 (d)(2) that those on voluntary inactive
status continue to take the USPTO accredited CLE is inconsistent
with the design of the status for those who are not practicing
patent law, for instance those who are voluntarily not practicing
for health reasons. If a person were on voluntary inactive
status for more than a specified number of years, e.g. 3 or
5, it might make sense to require some CLE before reinstatement
to practicing status. No applicant, no attorney, nor the Office
benefits from forbidding an attorney whose illness, age or
other circumstance may prevent attendance at CLE functions
and whose medication may prevent meaningful internet testing
to retain voluntary inactive status.
Respectfully submitted,
Carol Lavender
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