Commissariat a L'Energie Atomique v. Samsung Electronics Co.

430 F. Supp. 2d 366, 2006 U.S. Dist. LEXIS 27098, 2006 WL 1216212
CourtDistrict Court, D. Delaware
DecidedApril 18, 2006
DocketCIV.A. 03-484-KAJ
StatusPublished

This text of 430 F. Supp. 2d 366 (Commissariat a L'Energie Atomique v. Samsung Electronics Co.) is published on Counsel Stack Legal Research, covering District Court, D. Delaware primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

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Commissariat a L'Energie Atomique v. Samsung Electronics Co., 430 F. Supp. 2d 366, 2006 U.S. Dist. LEXIS 27098, 2006 WL 1216212 (D. Del. 2006).

Opinion

REDACTED MEMORANDUM ORDER

JORDAN, District Judge.

I. INTRODUCTION

This is a patent infringement case. The plaintiff is Commissariat a 1‘Energie Atomique (“CEA”), a French government agency. The defendants are Samsung Electronics Co., Ltd. (“Samsung”), a Korean corporation; Sharp Corporation (“Sharp”), a Japanese corporation; AU Optronics Corporation (“AU”), a Taiwanese corporation; and Chi Mei Optoelec-tronics Corporation (“CMO”), another Taiwanese corporation (collectively, the “Defendants”). This case is part of a larger complex of cases brought by CEA in this court seeking relief against more than fifty defendants for alleged infringement of CEA’s rights under United States patents pertaining to liquid crystal display (“LCD”) technology. 1 Presently before me is a request (D.I. 508, 523; the “Motion”) by the Defendants for permission for their counsel to disclose to them certain information belonging to CEA that has been provided under a protective order. For the reasons that follow, I am granting the Motion.

II. GENERAL BACKGROUND

The parties to this action have been operating under a stipulated protective order (D.I. 215; D.I. 400; in combination, the “Protective Order”), pursuant to which each party may, among other things, designate as “Highly Confidential” information which it produces to other parties during discovery. (D.I. 215 at ¶ 2.2.) The effect of that designation is to limit access to the information to certain outside counsel for the parties, court personnel, retained experts, and court reporting and clerical service providers. (Id. at ¶¶2.2, 4.1, 4.2.) Because the parties are rivals in what appears, at least from the rigors of this litigation, to be an intensely competitive global market for LCDs, they are understandably sensitive about maintaining the secrecy of their proprietary information, hence the agreed upon restrictions on the disclosure of such information.

During discovery, CEA provided under the “Highly Confidential” designation certain information pertaining to licensing arrangements for its patented technology. Counsel for the Defendants wish to disclose to their clients a brief, seven-point summary (the “Summary”) of what they view as key elements from that disclosure. 2 (See D.I. 508, 524.) While they do not contest that the underlying licensing docu *368 ments may contain confidential information, defense counsel do contest CEA’s assertion that the Summary contains anything that can fairly be called confidential. (D.I. 536 at 9-10.) Moreover, they argue that they must be permitted to disclose the Summary to their clients in order to confer about the potential of adding a patent misuse defense to the case. 3 (D.I. 508 at 1; D.I. 524 at 1.) In short, they contend that any confidentiality designation CEA would apply to the information in question must yield to their professional obligations to advise and to represent their clients. Consequently, they seek an order overriding the Protective Order in this instance. CEA has responded by asserting that neither the Summary nor the information from which it is drawn provide any basis for a patent misuse defense. (D.I. 510; 528.)

Of necessity, I will be addressing the specifics of the Summary and certain portions of the underlying information. This Order will therefore be filed under seal, and the parties are directed to confer and report to the court within ten days their recommendation for redactions, so that a public version of the Order can be filed promptly.

III. STANDARD OF REVIEW

The management of discovery, including the granting and modification of protective orders under Federal Rule of Civil Procedure 26(c), is committed to the discretion of the district court. See Centifanti v. Nix, 865 F.2d 1422, 1424 (3d Cir.1989) (“district court did not abuse its discretion in denying ... motion to compel discovery and granting ... motion for a protective order with regard to certain privileged documents”).

IV. DISCUSSION

A. Specific Background

[REDACTED]

B. Analysis

It is important to bear in mind what the present dispute is not. It is not a motion for leave to amend an answer or a motion to dismiss a defense. It presents the question of whether it is appropriate to allow the Defendants’ counsel to disclose a discrete set of information to their clients. Given the present context, the arguments for and against disclosure cannot help but address, to some degree, the merits of a patent misuse defense. After all, if one could disclose an adversary’s confidential information simply by articulating a proposal for an additional defense, no matter how divorced from the facts or how fanciful the legal theory may be, then an obviously unhealthy incentive to multiply frivolous defenses would be injected into litigation. But the dispute at hand is not a basis for a full exploration of whether a patent misuse defense can properly be pleaded by the Defendants. That question, if it ever does arise, is for another day.

For now it is sufficient to observe that the proposed defense is not so divorced from the facts or law as to be frivolous on its face.

Whether that is a basis for a patent misuse defense is another matter. The parties again argue this point vigorously. CEA points out that the Patent Misuse *369 Reform Act of 1988 added clauses (4) and (5) to Section 271(d) of Title 35, thereby causing the statute to provide as follows:

No patent owner ... shall be ... deemed guilty of misuse or illegal extension of the patent right by reason, of his having ... (4) refused to license or use any rights to the patent; or (5) conditioned the license of any rights to the patent or the sale of the patented product on the acquisition of a license to rights in another patent or purchase of a separate product, unless, in view of the circumstances, the patent owner has market power in the relevant market for the patent or patented product on which the license or sale is conditioned.

(See D.I. 528 at 14, citing 134 Cong. Rec. S14434-03 (daily ed. Oct. 4, 1988).) Certainly, one can contend from that language that pre-amendment cases about refusals to license are inapposite, except to the degree that they presaged the amendment by expressing skepticism of earlier case law.

CEA also points to Federal Circuit decisions following the 1988 Reform Act and asserts that they establish a two-part test to determine whether a patentee’s actions amount to misuse, other than in cases that involve per se misuse or are specifically excluded from being misuse under Section 271(d). (D.I. 528 at 15-16.)

[A] court must determine if that practice is reasonably within the patent grant, i.e.,

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430 F. Supp. 2d 366, 2006 U.S. Dist. LEXIS 27098, 2006 WL 1216212, Counsel Stack Legal Research, https://law.counselstack.com/opinion/commissariat-a-lenergie-atomique-v-samsung-electronics-co-ded-2006.