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Michelle J. Burke & Thomas G. Field, Jr.**

Contents

I. Introduction
Among federal agencies, the U. S. Patent and Trademark Office 2 is
unique in its ability to require attorneys to submit to special requirements,
such as passing a six hour examination, before being permitted to practice
before it in patent cases. Indeed, the Supreme Court has held that an
individual so admitted to practice before the PTO need not comply with state
requirements otherwise applicable to those practicing law.
The first part of
this article discusses how this requirement came to be. It then discusses how
the PTO determines whether an individual is fit to sit for the patent
examination, focusing particularly on provisions contained in a bulletin mailed
by its Office of Enrollment and Discipline (OED) to all would-be patent
practitioners [A more recent version of the OED General Requirements Bulletin is now online]. It also briefly discusses rule-making requirements (and exceptions) generally applicable to federal agencies and examines the nature of the aforesaid provisions intended to affect admission to prosecute patent applications. This article concludes that the detailed provisions sent to applicants, fitting none of the rule-making exceptions, should be promulgated
in accordance with the Administrative Procedure Act. It also concludes that,
in the meantime, those provisions should not be regarded as binding on
applicants to practice before the PTO in patent cases. Finally, the article
contains an appendix that should be of particular interest to persons involved
with software patents.
Contents
Skip notes
Notes for Introduction
* From 36 Idea 145 (1995). After this paper was written, the D.C. District Court and Court of Appeals for the Federal Circuit rejected arguments of a pro se applicant that the PTO should be obligated to use notice and comment rulemaking (as argued at the end of this paper) to promulgate requirements for those wishing to sit for the patent exam. Those cases are discussed in a short comment that is also online.
Readers interested in the notes should recall that Netscape permits more than one open window. Thus, anyone who wants convenient access can arrange two windows to view text and corresponding notes simultaneously. This makes a lot more sense than some of the alternatives, e.g., individual links between text and notes.
**Ms. Burke practices intellectual property law with Foster-Miller in Waltham, MA. She received her B.S. in Biotechnology (with Distinction) from Worcester Polytechnic Institute and her J.D. and Master of Intellectual Property degrees from Franklin Pierce Law Center. Mr. Field is Professor of Law at Franklin Pierce Law Center. A registered patent attorney and former patent examiner, he received his A.B. (Chemistry) and J.D. from West Virginia University and an LL.M (Trade Regulation) from New York University. The authors appreciate helpful observations from Adam Solomon, a J.D. candidate and Professor William O. Hennessey, Director of Graduate Programs at Franklin Pierce Law Center.
2. Hereafter PTO or Office. Not until 1975, was the
name changed from Patent Office to Patent and Trademark Office, P.L. 93-596
(1975).
Contents
II.The Evolution of PTO Power to Restrict Admission
Sperry v. Florida 3 is probably the most important case to
affect those who prosecute patent applications on behalf of others. There, the
U. S. Supreme Court held that a person admitted to practice before the Office
could not be denied that right by states regulating the practice of
law.4 Indeed, had the case gone the other way, anyone prosecuting
patents other than as paralegals, i.e., as independent patent agents,
and not admitted to practice law 5 in a particular state, would have
been put out of business.6 Most states do not permit anyone to sit
for a bar examination without having first graduated from a law school approved
by the American Bar Association.7
As discussed in Sperry, anyone apparently could prosecute patent
applications on behalf of others until 1869.8 As early as 1848, it
was appreciated that, in line with then-prevailing attitudes toward the
practice of law,9 or consumer protection generally,10
little stood in the way of those who victimized inventors.11 In
1861, Congress first provided that, for gross misconduct, the Commissioner
could refuse to recognize any person, either generally or in a particular case.
In 1869, the Office provided that "[a]ny person of intelligence and good moral
character may appear...... upon filing proper power of
attorney."12
Sperry relates:13
To remedy these abuses, the Commissioner... in 1899 first required
registration of persons practicing before the Patent Office and in 1918,
required practitioners to obtain prior approval of all advertising material
which they distributed. It was to reach these same evils that [Sec.] 31
was given much its present form when, in 1922, the statute was amended to
expressedly authorize the Commissioner to prescribe regulations for the
recognition of agents and attorneys. [Notes omitted.]
Of interest is the Court's discussion of proposals, dating at least as early
as 1912, to restrict patent prosecution to lawyers and the rejection of
such proposals by the Office.14 Moreover, the Court goes on to
discuss initiatives, beginning with general 1940s administrative procedure
reform, to preclude non-lawyers from practicing before "some 40-odd federal
administrative agencies, including the Patent Office."15
Indeed, the Court states:16
So successful have the efforts of the Patent Office been that the Office was
able to inform the Hoover Commission that "there is no significant difference
between lawyers and non-lawyers either with respect to their ability to handle
the work or with respect to their ethical conduct." [Note omitted.]
However, in the same vein, the Administrative Conference reports:17
In 1957 the Department of Justice recommended discontinuing the practice of
many agencies whereby attorneys were required to apply for acceptance by the
agency as practitioners. Several bills were introduced in the early 1960s to
abolish agency admission requirements, and only the Treasury Department and the
Patent Office objected to discontinuing them.
Little more than two years after Sperry, Congress enacted the Agency
Practice Act. It provides: "An individual who is a member in good standing of
the bar of the highest court of any state may represent a person before an
agency on filing ... a written declaration .... "18 Also, that
statute explicitly does not "grant nor deny an individual [not so
qualified] the right to appear ...."19 or "authorize or limit the
discipline, including disbarment, of individuals who appear ....
"20 Finally, it provides that most 21 of the section does
not apply "to practice before the Patent Office with respect to patent matters
that continue to be covered by [35 U.S.C. Secs.
31-33]."22 Thus, the PTO is unique in its ability to significantly
hinder lawyers from representing others in matters pending before it.
Moreover, aside from the situation of appearances by CPAs before the Internal
Revenue Service,23 the PTO is unique in its explicit power to
permit non-lawyers to practice before it as held in Sperry,
notwithstanding the objection of any state concerning the unauthorized
practice of law.
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Skip notes
Notes for the Evolution of PTO Power
3. 373 U.S. 379 (1963).
4. Sperry is also apparently the first case to find state
authority over patents and related matters to be preempted by federal law.
See Sears Roebuck & Co. v. Stiffel Co., 376 U.S. 225, 229 (1964) -
many regard Sears, itself, as the first such case.
5. "We do not question the determination that under Florida law the
preparation and prosecution of patent applications for others constitutes the
practice of law .... " Sperry, 373 U.S. at 383.
6. It is rumored, but we were unable to confirm except at one firm,
that such persons cannot obtain malpractice insurance. If so, that would seem
indirectly to accomplish much the same result.
7. See, e.g., TASK FORCE ON LAW SCHOOLS AND THE PROFESSION,
LEGAL EDUCATION AND PROFESSIONAL DEVELOPMENT AN EDUCATIONAL CONTINUUM, 100
(Robert McCrate ed., Student Edition 1992).
8. 373 U.S. 379, 388 (1963).
9. Supra note 6, at 95-7.
10. E.g., selling quack medicines was not federally
prohibited until 1912, with passage of the Shirley Amendment, 37 Stat. 416.
11. Despite the early recognition of nonlawyers by the Patent
Office, these agents, not subject to the professional restraints of their
lawyer brethren, were particularly responsible for the deceptive advertising
and victimization of inventors which long plagued the Patent Office.
Sperry, 373 U.S., at 390. But see, supra note 6, at 95-7
(according to the McCrate Report, there seems to be little basis for
distinguishing lawyers and nonlawyers prior the 1880s). While some progress
may have made with regard to patent prosecutors in the intervening
years, inventors are still very much at risk from fraudulent invention
promoters. The extent of such fraud recently prompted the Federal Trade
Commission to publish a small pamphlet entitled, Facts for Consumers: Invention
Promotion Firms (Jan. 1994). It has also prompted hearings in the U.S. Senate
on September 1, 1994. and subsequent introduction ofS. 909, 1o4th Cong., 1st
Sess. (1995) (intended to become the Inventor Protection Act of 1995).
12. Sec. 127 Rules and Directions for Proceedings in the
Patent Office (1969). See Sperry, 373 U.S. at 388.
13. 373 U.S. at 390.
14. 373 U.S. at 391-6.
15. 373 U.S. at 396-402.
16. 373 U.S. at 402 (note omitted).
17. ADMINISTRATIVE CONFERENCE OF THE UNITED STATES, FEDERAL
ADMINISTRATIVE PROCEDURE SOURCEBOOK 266 (2d ed. 1992).
18. 5 U.S.C. Sec. 500(b), P. L. 89-332, 79 Stat. 1281 (1965);
incorporated into the U.S. Code with minor stylistic changes by P.L. 90-83, 81
Stat. 195 (1967).
19. 5 U.S.C. Sec. 500(d)(1) (1977).
20. 5 U.S.C. Sec. 500(d)(2) (1977).
21. 5 U.S.C. Sec. 500 (1977). Only subsection f
appears to apply (indicating that notice to a participant may be sent to his or
her representative).
22. 5 U.S.C. Sec. 500(e) (1977).
Contents
III. PTO Requirements under 35 U.S.C. 31
Title 35, section 31 (Regulations for agents and attorneys) of the U.S. Code provides:
The Commissioner, subject to the approval of the Secretary of Commerce, may
prescribe regulations governing the recognition and conduct
of agents, attorneys, or other persons representing applicants or
other parties before the Patent and Trademark Office, and may require
them, before being recognized as representatives of applicants or other
persons, to show that they are of good moral character and reputation
and are possessed of the necessary qualifications to render to
applicants or other persons valuable service, advice, and assistance in
the presentation or prosecution of their applications or other business before
the Office. [Emphasis added.]
Regulations under that provision were moved to new Part 10 of 37 C.F.R. in
1985. Recognizing limitations on PTO power, Sec. 10.14 provides that
"any individual who is an attorney may represent others before the Office in
trademark and other non-patent cases." However, it is generally
necessary 24 for anyone wanting to prosecute patent cases
to:25 apply, in writing; establish that he or she is of good moral
character, "possessed of the legal, scientific, and technical
qualifications necessary to enable him or her to render applicants for patent
valuable service;"26 and pass an examination that is not
"administered as a mere academic exercise."27 Practice without so
qualifying subjects one to fines of "not more than $1000 for each such
offense."28
The PTO elaborates at length in a "General Requirements Bulletin" (Bulletin)
furnished to those who inquire about admission.29 Upon receiving
it, many would-be practitioners find their most difficult hurdle, aside from
passing the patent exam, to be proving sufficient technical
qualifications to be permitted to sit for the exam.
As provided in the Bulletin, technical qualifications can be established in
only three basic ways.30 First, an applicant can show a bachelor's
degree (or equivalent) in one of twenty-nine specific technical
subjects.31 Second, if the applicant's degree is not listed, he or
she may establish "scientific and technical training equivalent to that
received for a bachelor's degree in one of the subjects listed" by showing a
specified number of semester hours in physics, chemistry, engineering or
biological sciences.32 This may be accomplished with an official
undergraduate transcript and official descriptions for each course potentially
credited or through proof of an apprenticeship with a registered patent
attorney or agent.33 Finally, an applicant may demonstrate
sufficient technical training by taking and passing the Engineer-in-Training
test.34
The Office amends the Bulletin from time to time.35 For example,
one author of this article (Field) recalls that, prior to
Chakrabarty,36 biology was not an accepted degree, and
courses in biology were not recognized. This caused substantial difficulty for
some Franklin Pierce Law Center students who had otherwise demonstrated ample
capacity to prosecute patent applications. More recently, students with
computer science, in contrast with computer engineering, degrees
have faced difficulty.37 Again, Field is aware of highly capable individuals who were not permitted to sit. In
one instance, an applicant's school had changed the name of its degree from
computer science to computer engineering after he had received it (but would
not issue him a new diploma). Moreover, that person had already been
hired by a very prestigious patent firm. Yet, the PTO required him to take
additional courses before being permitted to sit for the exam.
One of the more interesting things about the Bulletin is that it was
promulgated, and is regularly revised, without opportunity for those outside
the PTO to comment, or at least formally.38 However, the PTO, and
heretofore the courts,39 seem to regard its contents as carrying as
much legal authority as 37 C.F.R. or even the patent statute
itself.40 The following discussion questions the propriety of that
approach.
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Skip notes
Notes for PTO Requirements
23. 5 U.S.C. Sec. 500(c) (1977).
24. 37 C.F.R. Sec. 10.9 (1994) permits recognition in a
particular case upon a showing that it is necessary or justifiable.
25. This summarizes 37 C.F.R. Sec. 10.7 (1994).
26. 37 C.F.R. Sec. 10.7 (b) (1994) (emphasis
added); compare italicized language in 35 U.S.C. Sec. 31,
supra.
27. 37 C.F.R. Sec. 10.7 (b) (1994). Subsection
b also provides that the exam may be waived for those who served at
least four years as a patent examiner. See, e.g., Leeds v. Mosbacher,
732 F.Supp. 198 (D.D.C. 1990).
28. 35 U.S.C. Sec. 33 (1994).
29. The Bulletin distributed in advance of the April 1992 exam, had a
cover bearing a much longer title: General Requirements for Admission to the
Examination for Registration to Practice in Patent Cases before the U.S. Patent
and Trademark Office. One recent Bulletin is very similar but lacks the cover
bearing the longer title.
30. Id. at 2.
31. Id. The following are listed: biology, biochemistry,
botany, electronics technology, aeronautical engineering, agricultural
engineering, biomedical engineering, ceramic engineering, chemical (including
electrochemical) engineering, civil engineering, computer engineering,
electrical engineering, engineering physics, geological engineering, industrial
engineering, mechanical engineering, metallurgical engineering, mining
engineering, nuclear engineering, petroleum engineering, food technology,
general chemistry, marine technology, microbiology, molecular biology, organic
chemistry, pharmacology, physics, and textile technology.
32. Id. Four options are listed: (1) 24 semester hours in
physics, (2) a combination of 24 semester hours in biological sciences and
either 8 semester hours (two sequential semesters) of chemistry with a lab or 8
semester hours (two sequential semesters) of physics with a lab, (3) 30
semester hours in chemistry, or (4) a combination of 40 semester hours of
chemistry, physics, biological sciences, or engineering which includes at least
8 semester hours two sequential semesters) of chemistry with a lab, or 8
semester hours (two sequential semesters) of physics with a lab.
33. Id. at 3.
34. Id. at 4.
35. The discussion of the second option (supra note 31) is
now longer than it was in April 1992. Also, it is interesting to compare the
present and 1962 versions. The latter is quoted in part in Gager v. Ladd, 212
F.Supp. 671, 673 (D.D.C. 1963).
36. Diamond v. Chakrabarty, 447 U.S. 303 (1980).
37. See supra note 30. See also infra Appendix.
38. Id.
39. See, e.g., Gager, supra note 34.
40. See, e.g., In re Doe, 27 U.S.P.Q.2d 1934 (Comm'r 1993)
(Decided Dec. 7, 1992; released June 10, 1993).
Contents
IV. APA Rule Making and its Exceptions
Professor Kenneth C. Davis, long a, if not the, leading federal
administrative process scholar, has called rule making under the Administrative
Procedure Act (APA) 41 "one of the greatest inventions of modern
government."42 Also, as discussed by Wamsley in his seminal
article,43 the Office has long used rule making even when not
required:44
While most of the Patent and Trademark Office rules of practice may have been
exempt from the APA rulemaking requirement under [an] exemption..., the Office
chose to follow the requirements of APA Sec. 4 for its rule making and
has done so ever since.
The APA defines a rule as "the whole or a part of an agency statement of
general or particular applicability and future effect designed to implement,
interpret, or prescribe law or policy or describing the organization, procedure
or practice requirements of an agency .... "45 APA Sec.
4, now 5 U.S.C. Sec. 553, provides the primary process for making rules.
This process is also known as "informal" or "notice and comment" rule making.
Basically, Sec. 553 requires that before a rule can be effective, a
proposal must be published in the Federal Register,46 an opportunity
must be afforded for interested persons to participate and, after consideration
of relevant matter so presented, adopted rules must incorporate a concise
general statement of their basis and purpose.47 Finally, it
provides that "[e]ach agency shall give an interested person the right to
petition for the issuance, amendment, or repeal of a rule."48
As suggested above, Sec. 553 contains exceptions. For present
purposes, the most significant appears to be that "this subsection does not
apply ...to interpretative rules, general statements of policy, or rules of
agency organization, procedure, or practice .... " These exceptions are
construed narrowly,49 but the line between exempt and non-exempt
rules has been described as "blurred," "tenuous" and "fuzzy."50
Nevertheless, let's consider them in order.
"Interpretative" rules are defined as "rules or statements issued by an agency
to advise the public of the agency's construction of the statutes and rules
which it administers."51 However, these interpretations cannot add
substantive content to the authorizing legislation, even when the rule is
"based on an agency's power to exercise its judgment as to how best to
implement a general statutory mandate."52 Interpretive rules should
not be binding on the public because they set forth only what the agency
believes existing laws or regulations to mean. They should not impose new
obligations, even if these obligations are designed to implement a
statute.53
General statements of policy are considered to be "statements issued by an
agency to advise the public prospectively of the manner in which the agency
proposes to exercise a discretionary power."54 The statements are
issued to indicate what course the agency intends to take in the future. This
is done by "announc[ing] [the] motivating factors the agency will consider, or
tentative goals toward which it will aim, in determining the resolution of a
substantive question of regulation."55 These statements are not
meant to impose any new rights or obligations on the regulated parties, but
instead to allow the agency to explain its intended future
actions.56 Thus, if the announcement states a change in substantive
rights, it is not a general statement of policy.
Rules relating to agency organization, practice or procedure are "technical
regulation[s] in the form of agency action and proceedings [and] ...should
not be deemed to include any action which goes beyond formality and
substantially affects the rights of those over whom the agency exercises
authority."57 The purpose of this exception was to provide agency
latitude in the governing internal operations.58 A two-part test
recently recommended by the Administrative Conference states that for a rule to
fall under this exception, it should:59
relate solely to agency methods of internal operations or of interacting with
regulated parties or the public, and [should] not significantly affect conduct,
activity, or a substantive interest that is the subject of agency jurisdiction,
or affect the standards for eligibility for a government
program.
Examples of non-exempt rules given by the Administrative Conference include
criteria for determining the severity of enforcement sanctions or application
requirements for benefits, contracts, licenses, permits and loan
guarantees.60
Also, an argument might be made that the word, "practice," in the Sec. 553
exception 61 is a distinct basis for exclusion encompassing rules that govern, e.g., admission to "practice" law before administrative agencies, but it seems more likely that the word is used as in "practice and procedure." Indeed, in 37
C.F.R., practically all of the rules in patent and trademark cases are
called rules of "practice!"
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Notes for APA Rule Making
41. Primarily 5 U.S.C. Secs. 551-559, 701-706
(1977) originally enacted as P.L. 404, 60 Stat. 237 (1946) and replaced by P.L.
89-554, 80 Stat. 237 (1966) as part of a general revision of Title 5.
42. See, e.g., KENNETH CULP DAVIS, ADMINISTRATIVE LAW TEXT
142 (3d ed. 1972).
43. Herbert C. Wamsley, The Rulemaking Power of the Commissioner
of Patents and Trademarks, 64 J. Pat. & Trademark Off. Soc'y, 490 (Part
1), 539 (Part 2) and 605 (Part 3) (1982).
44. Id. at 503-4. APA Sec. 4 is the same as 5 U.S.C.
Sec. 553 (1977).
45. 5 U.S.C. Sec. 551 (1977).
46. 5 U.S.C. Sec. 553 (b) (1977).
47. 5 U.S.C. Sec. 553 (c) (1977). Once a rule is adopted, it
should be possible for any interested person to challenge it, at least on
process grounds -- an interested person being one who participated in the
rulemaking proceeding; see, e.g., Gage v. AEC, 479 F.2d 1214 (D.C. Cir.
1973).
48. 5 U.S.C. Sec. 553 (d) (1977).
49. See, e.g., Air Transport Ass'n America v. Dep't Transp.,
900 F.2d. 369, 375 (D.C. Cir. 1990), judgment vacated as moot, 111 S. Ct. 944
(1991).
50. Robert A. Anthony, Interpretive Rules, Policy Statements,
Guidances, Manuals, and the Like - Should Federal Agencies Use Them to Bind the
Public? 41 DUKE L.J. 1311, 1321 (1992).
51. Attorney General's Manual on the Administrative Procedure Act 30,
n.3 (1947), reprinted in Sourcebook, supra note 16, at 96.
See also, Robert A. Shwarts, Delineation in the Exceptions to the
Notice Comment and Provisions of the Administrative Procedure Act, 56 GEO.
WASH. L. REV. 1069, 1073 (1989).
52. Supra note 49, at 1313.
53. See, e.g., American Hospital Ass'n v. Bowen, 640 F.Supp.
453, 460 (D.D.C. 1986).
54. Supra note 50.
55. Brown Express, Inc. v. U.S., 607 F.2d. 695, 701 (5th Cir.
1979).
56. American Business Ass'n v. U.S., 627 F.2d. 525, 529 (D.C. Cir.
1980).
57. Pickus v. U.S. Board of Parole, 507 F.2d. 1107, 1113 (D.C. Cir.
1974).
58. Air Transp. Ass'n America v. Dept. Transp., 900 F.2d. 369, 376
(D.C. Cir. 1990).
59. Jeffrey S. Lubbers & Nancy G. Miller, The APA Procedural
Rule Exemption: Looking for a Way to Clear the Air, 6 AM. U. L. REV. 481,
491 (1992).
60. Id.
61. 5 U.S.C. Sec. 553(b) (exception A) (1977).
Contents
V. Conclusion:
PTO Requirements Should not be Regarded as Law until Properly Promulgated
Both the PTO and courts reviewing refusals to permit applicants to sit
for the patent exam have treated the criteria set forth in the General
Requirements Bulletin as though they were part of the statute. Thus, they have
been clearly "determinative of the issues or rights addressed and foreclose[d]
alternate courses of action or conclusively affect[ed] rights of private
parties."62 There is no doubt that they are intended to and have
substantively bound many individuals.63 It was to prevent precisely
this type of situation that led to inclusion of the rule-making provisions in
the APA.
In that respect, the following is particularly instructive: 64
As this court has previously stated, the Commission's "characterization of its
statement as an exposition of its policy or interpretation of the standard does
not preclude our finding that it is something more." Such a distinction
between "interpretative rules" and "something more," i.e., "substantive" or
"legislative" rules, is not always easily made. Nonetheless, courts are in
general agreement that interpretative rules simply state what the
administrative agency thinks the statute means, and only "remind" affected
parties of existing duties. In contrast, a substantive or legislative rule,
pursuant to properly delegated authority, has the force of law, and creates new
law or imposes new rights or duties.
The distinction between interpretative and legislative rules is significant
because...the Administrative Procedure Act, exempts "interpretative rules . . .
" from the process of notice and comment. Legislative rules which fail to
satisfy such procedural requirements must be set aside.
In deciding whether proposed Sec. 1501.20 is an interpretative rule,
this court should consider the Commission's "intent in authoring it, as
ascertained by an examination of the provision's language, its context, and any
available extrinsic evidence." Here, the language of the statement and related
comments establishes that more is involved than mere "interpretation," because
the proposed statement has the clear intent of eliminating a former exemption
and of providing the Commission with power to enforce violations of a new rule.
For example, the statement gives the Commission authority to impose the full
range of civil and criminal penalties provided by Congress .... For these
reasons, the Commission's contention that the rule does not "command
performance" is simply incredible. Its proposal that, instead, the statement
"only expects" and "urges" compliance, and merely provides guidance to the
public and its staff, ignores the statement's plain language.[Citations
omitted.]
Thus, it is difficult to understand how the detailed, and ever more lengthy
and specific,65 provisions in the Bulletin could be regarded as
merely interpretations of 37 C.R. Sec. 10.7 or ultimately 35 U.S.C.
Sec. 31. Indeed, given the long-standing, generally favorable PTO
attitude toward notice and comment rule making,66 it is difficult to
imagine why the contents of its Bulletin were not long ago promulgated in
accordance with the notice and comment rule-making provisions of the APA. The
most likely explanation seems to be that the Office apparently has parallel
requirements for examiners and attorneys or agents.67 While it need
not seek public comment before establishing qualifications for examiners,
qualifications for outsiders are another matter altogether.68
As we see it, the situation is ripe for a rule-making petition under
Sec. 553(d) if not an action to require rule making.69 Only
general unfamiliarity with the APA among patent lawyers seems to explain why
something along this line wasn't pursued long ago.70 Meanwhile,
unlike the situation in cases where this issue has not been raised much less
decided, the courts should refuse to treat the provisions of the Bulletin as
though they were properly promulgated under the APA. Until such time as the
PTO properly promulgates its requirements, any statement in its Bulletin should
carry no more weight than if it were in an OED decision 71 or a
Solicitor's brief. That is, it should be judged on the quality of its
reasoning. Much of the contents of the Bulletin, in contrast, comprise
criteria without any justification or reasoning whatsoever. An example is the
inclusion of computer engineering but not computer science. For
that reason, the Appendix below is most instructive.
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Skip notes
Notes for Conclusion
See supra note * regarding a decision that rejects a similar argument.
62. Batterton v. Marshall, 648 F.2d. 694, 702 (D.C. Cir. 1980).
63. See In re Doe, supra note 39.
64. Jerri's Ceramic Arts, Inc. v. Consumer Product Safety
Commission, 874 F.2d 205, 207-08 (4th Cir. 1989).
65. See supra note 28.
66. See supra, at note 41. See also, e.g., the
account of amendments to Part 10 discussed in In re Teicher, 14 U.S.P.Q.2d 1573
(Comm'r 1989).
67. See infra Appendix, particularly italicized language in
the second paragraph of Discussion and in the Commissioner's response.
68. See supra, at note 56.
69. Compare Animal Legal Defense Fund v. Quigg, 18 U.S.P.Q.2d
1677 (1991). That case is easily distinguished but raises a potentially
troublesome problem of standing. Still, it is difficult to imagine that only
prospective practitioners would have standing in this instance given the lack
of restriction in 5 U.S.C. Sec. 553(d) or 5 U.S.C. Sec. 553
generally.
70. See infra Appendix.
71. Generating rules through decisions seems to be the only
acceptable (and even then not without criticism) alternative to 5 U.S.C.
Sec. 553 for promulgating substantive rules of binding effect. See,
e.g., National Labor Relations Board v. Wyman-Gordon Co., 394 U.S. 759
(1969). See online discussion of decisions rendered after this paper was written.
Contents
Appendix
Explanation regarding the appendix. What follows is the text and Discussion of Resolution 701-1 of the American Bar Association,
Section of Patent, Trademark and Copyright Law, Subcommittee on Software Patent Protection to the Computer Law Committee. The resolution is indicated to have passed 54-2, but the date does not appear. A
Westlaw search did not indicate further action by the Subcommittee. This substantially abbreviated material, with emphasis added both in the Discussion and in the quotation from Commissioner Quigg, is reprinted
from DAVID BENDER, CURRENT DEVELOPMENTS IN SOFTWARE PATENTS, Appendix 2 (PLI 1990).
RESOLVED, that the Section of Patent, Trademark and Copyright Law supports in principle the amendment of the requirements for being hired as a patent examiner and for admission to the examination for registration as a patent attorney to permit the hiring of patent examiners and the admission of patent attorneys with bachelor's degrees or the equivalent in computer science. Past Action. None.
Discussion
Recently, concern has been mounting that the... Office is incapable of
adequately handling software patent applications because patent examiners have
insufficient training with respect to computer software and related
mathematics. Some people have argued that a solution for this problem may be
to establish an institute... wherein new hires would be trained in computer
software by private sector experts. The... Office is actively investigating
this possibility.
The Committee agrees that most examiners are inadequately trained in computer
software, but disagrees with the proposed solution.... The simple reason why
patent examiners have inadequate computer software training is that the
rules for admission to the patent bar, which are the same as the rules for
qualification as a patent examiner, have not been updated to permit
admission of attorneys who have undergraduate degrees in computer science....
As of July 5, 1989, the chairman of this subcommittee wrote a letter to Donald
J. Quigg,... then Commissioner... advocating that the rules for admission to
the patent bar be amended to permit admission of attorneys with computer
science degrees. This letter indicated that there has been a recent explosion
of patents being issued referencing Class 364, Subclass 3, which includes
software systems (programs) used in programmable digital data processing
systems or computers for operators upon digital data. It further recited the
statistic that [w]hile the total number of new patents granted per year have
increased by 37% between 1978 and 1987, the number of software patents granted
per year has increased by 470% over the same period.... It additionally related
that the chairman of this subcommittee had privately discussed this matter with
a highly placed member of the examining staff, who indicated recognition of the
problem and agreement with the solution proposed....
The former Commissioner... responded... on July 11, 1989, and stated...:
I appreciate your advocacy for changing the registration requirements to permit
admission for attorneys with undergraduate degrees in computer science.
However, no change in the registration requirements is contemplated at this
time. The scientific and technical training qualification requirements for
registration as a patent attorney or agent are the same as the qualifications
for being hired as a patent examiner. Both patent examiners and registered
practitioners must deal with and understand the same subject matter in patent
applications and their communications. Thus, ability to do so would appear to
involve similar education and training. Clearly, it is appropriate and
reasonable that a person seeking registration under 37 CFR 10.6 have comparable
training to a patent examiner.
This response somewhat missed the point, in one sense, and yet in another
sense it actually supports the breadth of the proposed resolution. It is not a
justification for the current rules concerning attorney admission to the patent
bar that the rules concerning qualifications to be a patent examiner are the
same, or vice versa. The rules should be updated in both instances. It would,
in the Committee's view, be a waste of time and expense to create an institute
to train patent examiners lacking an educational background in computer
software and related mathematics. The simple and direct solution to the
problem... is to update the rules to permit the hiring of patent examiners and
admission of patent attorneys who already have had this training.
Contents

Revised 7/1/97 tgf
URL: http://www.piercelaw.edu/tfield/ptoexam.htm
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