Morris v. Tegtmeyer

655 F.2d 216, 210 U.S.P.Q. (BNA) 693, 1981 CCPA LEXIS 187
CourtCourt of Customs and Patent Appeals
DecidedJuly 23, 1981
DocketAppeal No. 81-586
StatusPublished
Cited by3 cases

This text of 655 F.2d 216 (Morris v. Tegtmeyer) is published on Counsel Stack Legal Research, covering Court of Customs and Patent Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Morris v. Tegtmeyer, 655 F.2d 216, 210 U.S.P.Q. (BNA) 693, 1981 CCPA LEXIS 187 (ccpa 1981).

Opinion

ON PETITION FOR WRIT OF MANDAMUS

RICH, Judge.

Petitioner Glenn H. Morris (Morris), seeks, for the second time, a writ of mandamus against Rene D. Tegtmeyer, Acting Commissioner of Patents and Trademarks (Commissioner), in interference No. 99,941, between Morris, senior party, and Francis C. Marshall and Edward F. Klimeck, junior party (Marshall).

Morris requests that this court vacate the following decisions in the Patent and Trademark Office (PTO): the Commissioner’s decision of June 1, 1981, deferring consideration of Motions to Suppress III and IV until final hearing, and the June 4,1981, decision of a patent interference examiner similarly deferring Motion to Suppress II.

Morris also asks us to direct the Commissioner to order the Board of Patent Interferences (board) to promptly consider and decide these motions, staying any further proceedings in this interference until a decision is reached.

Background

In Morris v. Diamond, 634 F.2d 1347, 208 USPQ 202 (CCPA 1980) (Morris I), we dismissed a former petition for mandamus by Morris because it failed to set forth the compelling circumstances necessary for this extraordinary remedy. Since then, this interference has not moved appreciably closer to resolution by the board. Twenty-two papers have been filed in the PTO between Morris I and June 4, 1981, yet Morris still has not taken his testimony.

Morris has filed four motions to suppress the testimony on behalf of Marshall in this interference. The first motion was dealt [218]*218with in Morris I. We are now concerned with the remaining three motions.

Motion to Suppress II, dated September 29, 1979, concerned an alleged failure of Marshall to reasonably notify Morris of the taking of Marshall’s testimony pursuant to 37 CFR 1.273. 1 Morris contended that he was given only two working days to prepare between receiving Marshall’s notice of testimony and the service of his list of witnesses and exhibits. On June 4, 1981, the interference examiner deferred this motion to final hearing without comment.

Motions to Suppress III and IV were filed on January 16, 1981, after Morris I. In motion III, Morris alleged that Marshall failed to timely file an original copy of their testimony pursuant to 37 CFR 1.276.2 Motion IV was based on an alleged attempt by Marshall to thwart Morris from obtaining a copy of the testimony taken by Marshall. Both of these motions were deferred by Commissioner Diamond sua sponte in his decision of March 19, 1981.

This March 19 decision was in response to yet another petition by Morris, this time to direct the board to order Marshall to give a copy of his testimony to Morris. Before rendering his decision, the Commissioner set forth the following facts as of that date.

On April 10, 1980, former Acting Commissioner Parker entered an order1 in this interference vacating a decision2 of the Board of Patent Interferences excluding from evidence testimony taken by Marshall.
Marshall took testimony on September 25, 1979. Morris then moved (Paper No. 34) to suppress the testimony, basically on the ground that Marshall had not timely served documents under 37 CFR 1.287(a). Marshall maintained, and Morris denied, that the parties had agreed under 37 CFR 1.287(e) to extend the time for serving documents under 37 CFR 1.287(a). The board granted Morris’ motion (Paper No. 34), holding (Paper No. 54) that Marshall had failed to prove the existence of an agreement under 37 CFR 1.287(e). Marshall, however, prior to serving documents under 37 CFR 1.287(a) had filed a motion (Paper No. 27) for an extension of time to serve his documents under 37 CFR 1.287(a). The patent interference examiner dismissed (Paper No. 28) the motion, because it was indicated therein that the requested time had been agreed to by Morris. Later, it turned out that the parties were unable to agree on whether they had agreed. Former Acting Commissioner Parker held that the patent interference examiner should have granted, rather than dismiss, the motion by Marshall for an extension of time. Former Acting Commissioner Parker specifically found that, but for the error by the patent interference examiner, the problems which occurred in this interference probably would not have occurred. Hence, he put the parties back to the point where the error occurred. Specifically, he gave Morris twenty (20) days to indicate whether he would like to cross-examine Marshall’s witnesses. If Morris desired cross-examination, Marshall was to retake the testimony de novo. If Morris waived cross-examination of Mar[219]*219shall’s witnesses, the board could consider the testimony taken on September 25, 1979 at final hearing. The choice was up to Morris.
Under well settled principals [sic], the decision by former Acting Commissioner Parker will not be reconsidered at this stage of the proceeding. 37 CFR 1.184.
After former Acting Commissioner Parker’s decision, Morris sought to obtain a copy of the testimony taken by Marshall on September 25, 1979. Counsel for Morris contacted counsel for Marshall. The latter refused to tell counsel for Morris the name of the court reporter who took the testimony on September 25, 1979. Hence, Morris was unable to secure a copy of the testimony. Morris moved (Paper No. 84) to compel Marshall to provide a copy of the testimony. According to Morris, a copy of the testimony was necessary to determine whether Morris would like to cross-examine Marshall’s witnesses. The board refused (Paper No. 101) to order Marshall to produce the testimony, suggesting that Marshall and Morris had equal access to the court reporter.

The petition by Morris was denied, and decisions on motions III and IV were deferred until final hearing.

Reconsideration of this decision was sought by Morris. On June 1, 1981, the Commissioner again denied Morris’ petition, but not before expressing his concern about the procedural nightmare that this interference had become. The following are the background and discussion sections excerpted from the Commissioner’s decision of June 1.

The file of this interference currently contains at least one-hundred and thirty-five (135) papers. Most of those papers are concerned with purely procedural issues which have arisen in the interference; very few of the papers relate to the merits.

In the decision on petition of March 19, 1981 (Paper No.

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Bluebook (online)
655 F.2d 216, 210 U.S.P.Q. (BNA) 693, 1981 CCPA LEXIS 187, Counsel Stack Legal Research, https://law.counselstack.com/opinion/morris-v-tegtmeyer-ccpa-1981.