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I. Patentierbarkeit

Übersicht

I. PATENTIERBARKEIT

A.Patentfähige Erfindungen

1.Patentschutz für technische Erfindungen
2.Vorliegen einer Erfindung nach Art. 52 (1) EPÜ
3.Technischer Charakter als Voraussetzung für eine Erfindung
4.Zwei-Hürden-Ansatz G 1/19
5.Beurteilung des technischen Charakters
5.1.Beurteilung unabhängig vom Stand der Technik
5.2.Begriff des technischen Charakters in der Rechtsprechung
5.2.1Vorrichtungen
5.2.2Verfahren
 a) Verfahren umfasst technische Mittel
 b) In einem technischen Verfahren, das auf eine physikalische Erscheinung angewandt wird, verwendete Methoden
5.2.3Technische Überlegungen und technische Ausführungsformen
6.Nichterfindungen nach Artikel 52 (2) und (3) EPÜ
6.1.Rechtsgrundlage
6.2.Anwendungsbereich
6.3.Entdeckungen, wissenschaftliche Theorien und mathematische Methoden
6.3.1Entdeckungen und wissenschaftliche Theorien
6.3.2Mathematische Methoden
6.4.Ästhetische Formschöpfungen
6.5.Computerimplementierte Erfindungen
6.5.1Begriff der computerimplementierten Erfindung
6.5.2Abgrenzung zu Computerprogrammen
6.5.3Umfang des Patentierungsverbots nach Artikel 52 (2) c) EPÜ
6.5.4Patentierbarkeit von Computerprogrammen: G 3/08
6.5.5Patentierbarkeit von Computerprogrammen: technischer Charakter
6.5.6Feststellung des technischen Charakters
 a) Weitere Wirkungen von Computerprogrammen und G 1/19
 b) Direkte Verbindung zur physischen Realität
 c) Potenzielle technische Wirkungen
 d) Virtuelle oder berechnete technische Wirkungen
 e) Greifbare Wirkung
 f) Technische Überlegungen: Programmierung eines Computers
 g) Technische Überlegungen: Ausführung einer Funktion auf einem Computersystem
 h) Von einem Computer ausgeführte Verfahren
 i) Computergestütztes Simulationsverfahren
6.6.Pläne, Regeln und Verfahren für gedankliche Tätigkeiten, für Spiele oder für geschäftliche Tätigkeiten
6.6.1Geschäftliche Tätigkeiten
6.6.2Gedankliche Tätigkeiten
6.6.3Textverarbeitung
6.7.Wiedergabe von Informationen
6.7.1Benutzeroberflächen

B.Ausnahmen von der Patentierbarkeit

1.Einleitung
1.1.Änderungen des Artikels 53 EPÜ im Zuge der EPÜ-Revision
1.2.Grundlegende Prinzipien
2.Verstoß gegen die öffentliche Ordnung oder die guten Sitten
2.1.Regel 28 EPÜ
2.1.1Umfang der Ausschlussbestimmung nach Regel 28 c) EPÜ
2.1.2Umfang der Ausschlussbestimmung nach Regel 28 d) EPÜ
2.1.3Zeitpunkt der Prüfung
2.2.Artikel 53 a) EPÜ
2.2.1Zeitpunkt der Prüfung
2.2.2Prüfung eines Einwandes nach Artikel 53 a) EPÜ
 a) Unterschiede zur Prüfung nach Regel 28 d) EPÜ
 b) Begriff der "guten Sitten" und der "öffentlichen Ordnung"
 c) Zustimmung von Spendern
3.Patentierbarkeit biologischer Erfindungen – Artikel 53 b) EPÜ
3.1.Pflanzen und Pflanzensorten
3.1.1Definition von "Pflanzensorte"
3.1.2Grenzen der Patentierbarkeit
3.2.Tiere und Tierarten
3.3.Im Wesentlichen biologische Verfahren
3.3.1Im Wesentlichen biologische Verfahren zur Züchtung von Tieren
3.3.2Im Wesentlichen biologische Verfahren zur Züchtung von Pflanzen
 a) G 2/07 und G 1/08
 b) Patentierbare technische Verfahren
3.3.3Erzeugnisansprüche auf Pflanzen oder Pflanzenmaterial
 a) G 2/12 und G 2/13
 b) G 3/19 – dynamische Interpretation des Artikel 53 b) EPÜ
3.4.Mikrobiologische Verfahren und daraus entstehende Produkte
3.4.1Der Begriff "mikrobiologische Verfahren"
3.4.2Mikrobiologische Verfahren in Abgrenzung zu gentechnischen Verfahren
4.Medizinische Methoden
4.1.Einleitung
4.2.Unterschiede und Gemeinsamkeiten bei der Prüfung, ob ein Verfahren zur chirurgischen oder therapeutischen Behandlung, oder ein Diagnostizierverfahren vorliegt
4.3.Beteiligung eines Mediziners nicht notwendig
4.4.Chirurgische Verfahren
4.4.1Chirurgischer Verfahrensschritt in einem mehrstufigen Verfahren
4.4.2Chirurgische Behandlung nicht auf chirurgische Eingriffe zu therapeutischen Zwecken begrenzt
4.4.3Entwicklung eines neuen Konzepts der "chirurgischen Behandlung"
4.4.4"Chirurgische Behandlung" in der Rechtsprechung im Anschluss an G 1/07
 a) Chirurgischer Charakter eines Verfahrensschrittes
 b) Bewertung "erheblicher Gesundheitsrisiken"
 c) Chirurgischer Schritt als Teil des beanspruchten Verfahrens oder lediglich vorbereitender Schritt?
 d) Chirurgischer Schritt nicht im Anspruch, aber von ihm umfasst?
 e) Der Vorrichtungsanspruch ist kein verkappter Verfahrensanspruch
 f) Nicht patentierbare Ansprüche auf Erzeugnisse, die nur durch einen chirurgischen Schritt hergestellt werden können
4.4.5Wie Verfahren zur chirurgischen Behandlung dem Ausschluss vom Patentschutz nach Artikel 53 c) EPÜ entgehen
 a) Anspruch, der keinen chirurgischen Verfahrensschritt umfasst
 b) Disclaimer
 c) Verfahren zum Betreiben eines Geräts
4.4.6Daten, die während eines chirurgischen Eingriffs gewonnen wurden
4.5.Therapeutische Verfahren
4.5.1Begriff der "therapeutischen Behandlung"
 a) Bedeutung des Begriffs
 b) Prophylaktische Behandlungen
 c) Abgrenzung zur Leistungsförderung
 d) Abgrenzung zu kosmetischen Verfahren
 e) Beispiele aus der Rechtsprechung
4.5.2Verfahren mit sowohl therapeutischer als auch nicht therapeutischer Wirkung
 a) Unweigerliche und untrennbar verknüpfte therapeutische Wirkung des beanspruchten Verfahrens
 b) Unterscheidbare therapeutische und nicht therapeutische Wirkungen
4.5.3Disclaimer zur Vermeidung des Ausschlusses vom Patentschutz nach Art. 53 c) EPÜ
4.6.Diagnostische Verfahren
4.6.1Stellungnahme G 1/04 und ihre Anwendung in der Rechtsprechung
 a) Was ist ein "Diagnostizierverfahren"?
 b) Das Kriterium "am menschlichen oder tierischen Körper vorgenommen"
 c) Klarheit eines auf ein Diagnostizierverfahren gerichteten Anspruchs
 d) Für die Diagnose relevante Zwischenergebnisse

C.Neuheit

1.Allgemeines
2.Stand der Technik
2.1.Allgemeines
2.2.Zeitranggleiche Anmeldungen
2.3.Maßgeblicher Zeitpunkt von Dokumenten
2.4.Ältere Rechte – Artikel 54 (3) EPÜ
2.4.1Ältere europäische Rechte
2.4.2Anwendbarkeit von Artikel 54 (3) EPÜ bei potenziell kollidierenden europäischen Stamm- und Teilanmeldungen
2.4.3Ausschluss älterer nationaler Rechte
2.4.4PCT-Anmeldungen als Stand der Technik
2.5.Unschädliche Offenbarungen nach Artikel 55 EPÜ
2.6.Vor dem Prioritätstag nicht veröffentlichtes firmeninternes Wissen
2.7.In einer Patentanmeldung anerkannter Stand der Technik
2.8.Allgemeines Fachwissen
2.8.1Definition des allgemeinen Fachwissens
2.8.2Patentschriften als allgemeines Fachwissen
2.8.3Fachzeitschriften als allgemeines Fachwissen
2.8.4Datenbanken als allgemeines Fachwissen
2.8.5Nachweis zum allgemeinen Fachwissen
3.Zugänglichmachung
3.1.Allgemeines
3.2.Arten der Zugänglichmachung
3.2.1Veröffentlichungen und andere Druckschriften
 a) Allgemeines
 b) Firmenunterlagen
 c) Werbeprospekt
 d) Bericht aus der Fachwelt
 e) Bücher
 f) Bedienungsanleitung
 g) Patente und Gebrauchsmuster
 h) Handelsnamen
 i) Zusammenfassungen von Dokumenten
3.2.2Vorträge und mündliche Offenbarungen
3.2.3Internet-Offenbarungen
 a) Allgemeines
 b) Öffentliche Zugänglichkeit eines im World Wide Web gespeicherten Dokuments
 c) Veröffentlichungsdatum
3.2.4Offenkundige Vorbenutzung
 a) Allgemeines
 b) Offenkundige Vorbenutzung lag vor
 c) Offenkundige Vorbenutzung lag nicht vor
 d) Innere Struktur oder Zusammensetzung eines Erzeugnisses
3.2.5Biologisches Material
3.3.Begriff der Öffentlichkeit
3.3.1Verkauf an einen einzigen Kunden
3.3.2Zugänglichmachung an Nichtfachperson
3.3.3Beschränkter Personenkreis
3.3.4Öffentliche Bibliotheken
3.4.Geheimhaltungsverpflichtung
3.4.1Allgemeines
3.4.2Teile für Serienproduktion
3.4.3Verteilen von technischen Beschreibungen
3.4.4Geschäftsverbindungen und -interessen von Unternehmen
3.4.5Vorführung von Erzeugnissen
3.4.6Schriftliche Darstellung des Erzeugnisses
3.4.7Überlassung von Proben/Produkten zu Testzwecken
3.4.8Tagungen
3.4.9Öffentliche Zugänglichkeit von zur Normung vorgelegten Dokumenten
3.4.10Joint-Venture-Vertrag und andere geschäftliche Vereinbarungen
3.4.11Wissenschaftliche Arbeit zum Erwerb eines akademischen Grads
3.4.12Medizinisches Gebiet inklusive klinischer Versuche
3.4.13Notar
3.5.Beweisfragen
3.5.1Beweislast
3.5.2Maßstab bei der Beweiswürdigung
 a) Allgemeines
 b) Offenkundige Vorbenutzung
 c) Internet – Nachweis des Datums der Bereitstellung
4.Bestimmung der Offenbarung des einschlägigen Stands der Technik
4.1.Allgemeine Auslegungsregeln
4.2.Kombinationen innerhalb einer Entgegenhaltung
4.3.Berücksichtigung von impliziten Merkmalen
4.4.Berücksichtigung von inhärenten Merkmalen
4.5.Berücksichtigung von Äquivalenten
4.6.Berücksichtigung von Zeichnungen
4.7.Berücksichtigung von Beispielen
4.8.Breite Ansprüche
4.9.Endpunkte
4.10.Fehlerhafte Offenbarung
4.11.Zufällige Offenbarung
4.12.Ausführbarkeit des Offenbarungsgehalts
5.Feststellung von Unterschieden
5.1.Einzelvergleich mit jedem einzelnen Stück aus dem Stand der Technik
5.2.Unterscheidende Merkmale
5.2.1Andere Formulierung
5.2.2Wertunterschiede
5.2.3Unterschied in einem Parameter
5.2.4Unterschied in der Zusammensetzung
5.2.5Funktionelle Merkmale
5.2.6Offenbarung einer allgemeinen Lehre
5.2.7Erzeugnisanspruch mit Verfahrensmerkmalen
5.2.8Nichttechnische Unterscheidungsmerkmale
6.Chemische Erfindungen und Auswahlerfindungen
6.1.Allgemeines
6.2.Neuheit chemischer Verbindungen und Stoffgruppen
6.2.1Neuheitsschädliche Vorwegnahme einzelner Verbindungen
 a) Definition eines Stoffs durch seine Strukturformel oder durch andere Parameter
 b) Auswahl der Ausgangsstoffe aus verschiedenen Listen
 c) Auswahl aus einer allgemeinen Formel
6.2.2Neuheit von Stoffgruppen
6.2.3Neuheit von Enantiomeren
6.2.4Erreichen eines höheren Reinheitsgrads einer Verbindung
6.3.Auswahl aus Parameterbereichen
6.3.1Auswahl eines Teilbereichs
 a) Neuheitserfordernisse: eng, genügend Abstand und Goldstandard
 b) Gezielte Auswahl: Erfordernis der erfinderischen Tätigkeit statt der Neuheit
 c) Frühere Rechtsprechung: drei Neuheitserfordernisse
6.3.2Bereichsüberlappung und mehrfache Auswahl
6.4.Klasse von Gegenständen
7.Erste und zweite medizinische Verwendung
7.1.Erste medizinische Verwendung
7.1.1Einleitung
7.1.2Umfang eines zweckgebundenen Stoffanspruchs
7.1.3Schutz eines als "kit-of-parts" vorliegenden Präparats
7.1.4Zusätzliche technische Informationen gegenüber dem Stand der Technik
7.2.Zweite (bzw. weitere) medizinische Verwendung
7.2.1Einleitung
7.2.2Beschränkung auf Stoffe und Stoffgemische
7.2.3Auslegung des Begriffs "Stoff oder Stoffgemisch"
7.2.4Übergangsbestimmungen
7.2.5Zweckgebundene Erzeugnisansprüche und schweizerische Ansprüche – Schutzumfang
7.2.6Neuheit der therapeutischen Anwendung
 a) Allgemeines
 b) Neue therapeutische Anwendung, die sich auf die Gruppe der zu behandelnden Individuen gründet
 c) Neue technische Wirkung
 d) Identische Krankheit
 e) Neue Dosierungsanleitung
 f) Neue Therapie mit einer anderen Darreichungsform
 g) Zweckangabe "chirurgische Verwendung" für ein bekanntes Gerät
 h) Entdeckung einer bisher unbekannten Eigenschaft eines Stoffs, die der bekannten Wirkung zugrunde liegt
7.2.7Vorliegen eines therapeutischen Verfahrens
8.Zweite (bzw. weitere) nicht medizinische Verwendung
8.1.Neuheitskriterien für Ansprüche auf eine nicht medizinische Verwendung und Verfahrensansprüche, die ein Verwendungsmerkmal enthalten
8.1.1In Entscheidungen der Großen Beschwerdekammer behandelte allgemeine Fragen
8.1.2Nicht therapeutische Behandlung von Tieren
 a) Nicht therapeutische Verwendung
8.1.3Anwendbarkeit von G 2/88 und G 6/88 auf Verfahrensansprüche
 a) Allgemeines
 b) Unterschiedliche Beziehung zwischen Verwendungs- und Verfahrensansprüchen
 c) Auslegung von Verfahrensansprüchen
 d) Verwendung eines bekannten Verfahrens zu einem bestimmten Zweck
 e) Entdeckung neuer Eigenschaften/technischer Wirkungen, die der bekannten Verwendung zugrunde liegen
 f) Verwendung eines Stoffs zur Erreichung einer technischen Wirkung, die nur unter besonderen Umständen eintritt
8.1.4Angabe der Zweckbestimmung in Ansprüchen auf eine nicht medizinische Verwendung im Hinblick auf Artikel 52 (4) EPÜ 1973
8.1.5Neuheitskriterien für Erzeugnisansprüche mit Zweckmerkmalen

D.Erfinderische Tätigkeit

1.Einleitung
2.Aufgabe-Lösungs-Ansatz
2.1.Objektive Beurteilung der erfinderischen Tätigkeit
2.2.Abweichen vom Aufgabe-Lösungs-Ansatz
3.Nächstliegender Stand der Technik
3.1.Allgemeines zur Ermittlung des nächstliegenden Stands der Technik
3.2.Ansätze zur Bestimmung des nächstliegenden Stands der Technik
3.3.Mehrere gangbare Wege zur Erfindung
3.4.Gleicher Zweck bzw. dieselbe Wirkung
3.5.Ähnlichkeit der technischen Aufgabe
3.6.Implizierte Merkmale
3.7.Erfolgversprechendster Ausgangspunkt
3.7.1Allgemeines
3.7.2Das erfolgversprechendste Sprungbrett
3.8.Weitere Kriterien zur Bestimmung des nächstliegenden Stands der Technik
3.8.1Mangelhafte Offenbarung
3.8.2Vertraulicher Stand der Technik
3.8.3Spekulativer Charakter
3.8.4Alte Vorveröffentlichungen
3.8.5Verbesserung eines Herstellungsverfahrens für ein bekanntes Produkt
3.9.Folgen der Wahl eines bestimmten Ausgangspunkts
4.Die Technische Aufgabe
4.1.Allgemeines zur Ermittlung der objektiven technischen Aufgabe
4.1.1Objektive Kriterien
4.1.2Technische Wirkung von der technischen Lehre der Anmeldungsunterlagen umfasst und tatsächlich nachgewiesen/erzielt
 a) Entscheidungen vor G 2/21
 b) G 2/21 folgende Entscheidungen
4.1.3Der gesamte beanspruchte Bereich
4.2.Formulierung der objektiven technischen Aufgabe
4.2.1Keine Lösungsansätze
4.2.2Die in der Anmeldung formulierte Aufgabe als Ausgangspunkt
4.2.3Formulierung von Teilaufgaben – mangelnde Einheitlichkeit
4.3.Lösung der technischen Aufgabe
4.3.1Ausreichende Beweise für angebliche Vorteile
4.3.2Vergleichsversuche
4.3.3Nachveröffentlichte Beweismittel und Stützung auf eine behauptete technische Wirkung zum Nachweis erfinderischer Tätigkeit ("Plausibilität")
 a) Allgemeine Grundsätze
 b) Entscheidungen vor G 2/21
 c) G 2/21 folgende Entscheidungen
4.4.Neuformulierung der technischen Aufgabe
4.4.1Neuformulierug bei nicht gelöster Aufgabe
4.4.2Abwandlung der "subjektiven" in eine objektive technische Aufgabe
4.4.3Grenzen der Neuformulierung der technischen Aufgabe
 a) Allgemeine Grundsätze und Zusammenhang mit Artikel 123 (2) EPÜ
 b) Nachträglich geltend gemachte technische Wirkung
4.5.Alternative Lösung einer bekannten Aufgabe
5."Could-would approach" (Naheliegen)
6.Rückschauende Betrachtungsweise
7.Erfolgserwartung, insbesondere auf dem Gebiet der Gen- bzw. Biotechnologie
7.1.Angemessene Erfolgserwartung
7.2.Naheliegender Versuch
7.3.Vom Zufall abhängige technische Gebiete und Elemente der Überraschung
7.4."Try and see"-Situation
8.Die Fachperson
8.1.Bestimmung der Fachperson
8.1.1Definition
8.1.2Der Punkt, an dem die Fachperson ins Spiel kommt
8.1.3Zuständige Fachperson – Personengruppe als "Fachperson"
8.1.4Begriff der Fachperson in der Biotechnologie
8.1.5Bestimmung der Fachperson bei computerimplementierten Erfindungen
8.2.Angrenzende technische Fachgebiete (benachbarte Fachgebiete)
8.3.Wissensstand der Fachperson
8.3.1Allgemeines
8.3.2Kenntnis von der Gesamtheit des relevanten Stands der Technik
8.3.3Handbücher, Fachliteratur und allgemeines Fachwissen
8.3.4Allgemeines zum allgemeinen Fachwissen
8.3.5Technisches Gebiet
8.3.6Sonstiges
8.4.Gegenstände des täglichen Lebens aus einem anderen technischen Fachgebiet
9.Beurteilung der erfinderischen Tätigkeit
9.1.Prüfung der erfinderischen Tätigkeit bei Mischerfindungen
9.2.Der Aufgabe-Lösungs-Ansatz bei Mischerfindungen
9.2.1Der Comvik Ansatz
9.2.2Ausgeschlossene Gegenstände
9.2.3Technische Implementierung ausgeschlossener Gegenstände
9.2.4G 1/19
9.2.5Merkmale, die zum technischen Charakter der Erfindung beitragen
9.2.6Beurteilung nichttechnischer Merkmale
 a) Technischer Beitrag
 b) Zusammenwirken nichttechnischer Merkmale mit einem technischen Gegenstand
9.2.7Angabe einer Zielsetzung auf einem nichttechnischen Gebiet bei der Formulierung der technischen Aufgabe
9.2.8Glaubhafte technische Wirkungen
9.2.9Die fiktive Geschäftsperson
9.2.10Computerprogramme
9.2.11Beurteilung von Merkmalen, die sich auf die Wiedergabe von Informationen beziehen
 a) Visualisierung von Daten
 b) Benutzeroberflächen
 c) Funktionale und kognitive Daten
 d) Benutzerpräferenzen bei der Anzeige von Daten
 e) Datenstrukturen
9.2.12Beurteilung von Merkmalen, die sich auf mathematische Algorithmen beziehen
 a) Entwürfe
 b) Simulationen/Modellieren
 c) Datenbankverwaltungs- und Informationsabfragesysteme
 d) Navigationssysteme
 e) Künstliche Intelligenz und maschinelles Lernen
 f) Linguistik und Klassifizierung von Texten
 g) Bildverarbeitung
 h) Sicherheit
9.2.13Entdeckungen
9.2.14Menschliche Wahrnehmung
9.2.15Spiele
9.2.16Gedankliche Tätigkeiten – technische Ausführungsformen
9.2.17Logistik
9.2.18Wetterbezogene Algorithmen
9.3.Kombinationserfindungen
9.3.1Vorliegen einer Kombinationserfindung
9.3.2Teilaufgaben
9.4.Kombination von Lehren
9.5.Technische Offenbarung in einer Vorveröffentlichung
9.6.Merkmale, die nicht zur Lösung der Aufgabe beitragen
9.7.Austausch von Materialien – analoger Einsatz
9.8.Kombination von Dokumenten
9.9.Chemische Erfindungen
9.9.1Aufgabe-Lösungs-Ansatz bei chemischen Erfindungen
9.9.2Strukturelle Ähnlichkeit
9.9.3Breite Ansprüche
9.9.4Zwischenprodukte
9.9.5Vorhersehbare Verbesserungen durch kristalline Formen gegenüber amorphen Formen
9.9.6Synergieeffekt
9.10.Äquivalente
9.11.Auswahlerfindungen
9.12.Aufgabenerfindungen
9.13.Neuartige Anwendung einer bekannten Maßnahme
9.14.Naheliegende neue Verwendung
9.15.Erforderlichkeit einer Verbesserung von Eigenschaften
9.16.Disclaimer
9.17.Optimierung von Parametern
9.18.Geringe Verbesserung eines großtechnischen Verfahrens
9.19.Analogieverfahren
9.20.Vorstellbare Erzeugnisse
9.21.Beispiele für die Verneinung der erfinderischen Tätigkeit
9.21.1Vorhersehbare nachteilige bzw. technisch nicht relevante Änderungen
9.21.2Für die Fachperson naheliegende Änderung des nächstliegenden Stands der Technik
9.21.3Technische Normen
9.21.4Umkehr von Verfahrensschritten
9.21.5Gezielte Auswahl
9.21.6Automatisierung
9.21.7Überlegene Wirkung
9.21.8Vereinfachung komplizierter Technologien
9.21.9Auswahl einer von mehreren naheliegenden Lösungen
 a) Willkürliche Auswahl aus mehreren möglichen Lösungen
 b) Auswahl aus naheliegenden Alternativen
9.21.10Mehrere naheliegende Schritte
9.21.11Umsetzung der Vorrichtung aus dem nächsten Stand der Technik in die Praxis
9.21.12Tierversuche und klinische Prüfung am Menschen
10.Sekundäre Beweisanzeichen für das Vorliegen erfinderischer Tätigkeit
10.1.Allgemeines
10.2.Vorurteil in der Fachwelt
10.2.1Beleg eines Vorurteils
10.2.2Vereinzelte Beispiele für das Vorliegen eines Vorurteils
10.2.3Entwicklung der Technik in eine andere Richtung
10.3.Alter der Entgegenhaltung – Zeitfaktor
10.4.Befriedigung eines lange bestehenden Bedürfnisses
10.5.Kommerzieller Erfolg
10.6.Marktkonkurrenten
10.7.Einfache Lösung
10.8.Unerwarteter Bonuseffekt
10.8.1Allgemeines
10.8.2Einbahnstraßen-Situation (zwangläufige Wirkung)
10.8.3Abgrenzung von entscheidenden Wirkungen von rein zufälligen Wirkungen
10.8.4Beurteilung der erfinderischen Tätigkeit, wenn die unerwartete Wirkung eine weitere technische Aufgabe löst

E.Erfordernis der gewerblichen Anwendbarkeit nach Artikel 57 EPÜ

1.Begriff der "gewerblichen Anwendbarkeit"
1.1.Erfindung und gewerbliche Anwendbarkeit
1.2.Irgendein gewerbliches Gebiet
1.2.1Im privaten, persönlichen Bereich angewandte Verfahren
1.2.2Kosmetik- und Schönheitssalons
2.Ausführbarkeit und ausreichende Offenbarung
3.Hinweis auf eine gewinnbringende wirtschaftliche Verwendung der Erfindung
Neue Entscheidungen
T 2387/22

In T 2387/22 claim 1 according to auxiliary requests 9 to 11 defined the use of a Vacuum Metallised Pigment (VMP) in a flexographic ink formulation for providing the following technical effects: "fewer print defects, higher hiding and stronger colour and allowing a lower volume anilox". The respondent (patent proprietor) submitted that according to G 2/88, when a use claim defined technical purposes or effects, these were to be interpreted as functional features restricting the scope of protection.

According to the appellant (opponent) these functional features did not meet the requirement of clarity under Art. 84 EPC, since they were defined using relative terms as well as diffusely defined concepts. The respondent replied that it was a well-established practice of the boards to allow the definition of effects or purposes in non-medical use claims using broad and/or relative terms.

The board observed that there was no basis – be it in the case law or in the EPC – for concluding that the limiting functional features of a use claim are exempt from the clarity requirement under Art. 84 EPC or somehow exposed to lower standards in this respect. It however emphasised that – irrespective of whether a claim was directed to a use or to any other category of subject-matter – the mere breadth of protection did not in itself imply a lack of clarity. The decisive consideration was whether the feature(s) in question gave(s) rise, or could plausibly give rise, to legal uncertainty when assessing whether a particular subject-matter falls within or outside the scope of protection conferred by the claim.

Moreover, the board stated that, where the invention was based on the discovery of a new technical effect of a known entity (as in G 2/88 and G 6/88), it was generally accepted in practice to define that effect in correspondingly broad terms, provided the effect was sufficiently distinct to clearly delimit the scope of protection with respect to the prior art. The situation in the present case was, however, fundamentally different. The use claim did not seek to define distinct technical effects, but rather relative improvements in the achievement of such effects..

The board held that where a claimed invention is defined by the use of a known entity to achieve a known technical effect or purpose, and the alleged technical contribution lies in a relative improvement or enhancement of that effect or purpose, the requirement of clarity under Art. 84 EPC generally demands that the feature defining such relative improvement or enhancement be expressed in objectively verifiable terms, thereby ensuring legal certainty regarding the scope of protection. In these "relative-improvement" scenarios, any imprecise functional language could blur the distinction between claimed and known uses, giving rise to the very legal uncertainty that the clarity requirement is intended to prevent.

In the present case, the board concluded that no objective criteria were available for determining when the number of print defects, the degree of hiding, the colour intensity or the anilox volume could be regarded as sufficiently low or high for other uses to fall within or outside the scope of the claim. As a result, the subject-matter of claim 1 could not be assessed objectively in relation to the prior art, which gave rise to legal uncertainty and therefore failed to meet the clarity requirement of Art. 84 EPC.

T 0799/24

In T 799/24 the invention concerned a method and device for analysing optimisation of vehicle body joint position. The aim of the invention was to provide an analysis apparatus for determining an optimal location of an additional welded point to be added to a portion to join a part to an assembly of parts in consideration of the load acting on the automotive body and of the inertia force acting on a fitting or lid component of the automobile during driving. Claim 1 of the main request concerned an "arithmetic processing unit" or a CPU together with a display device including elements which were computer-implemented or performed a "computer-implemented" method. The board noted that the first hurdle mentioned in decision G 1/19, which requires that the claimed subject-matter as a whole must not fall under the "non-inventions" defined in Art. 52(2) and (3) EPC, was overcome since claim 1 related to an "arithmetic processing unit" together with a display device.

The second hurdle, mentioned in decision G 1/19, is where, as part of the inventive step assessment, it must be established which features of the invention contribute to its technical character, by providing a technical effect in the context of the invention as a whole..

According to the board, the formulation in claim 1 of the main request that additional welded point(s) were "to be added" to the automotive body to improve its stiffness during driving at least implicitly specified a further technical use. The board considered it implicit from claim 1 that the additional welded points of which the locations were determined would be added to the automotive body.

In the board's view, since the use of the analysis results was defined in the claim as being "for automotive body designing", leaving it open which further steps, technical or not, were to be performed with the analysis results, a potential further selection of a particular automotive body might also be based on the visual characteristics or appearance of the automotive body. However, the board was of the opinion that the selection of the automotive body was, in addition, also restricted to the selected additional welded points to be added to the automotive body.

The board noted that the optimisation analysis on the welding candidates applied at least one of the load, of which magnitude and direction were different at each joining portion. An additional welded point or an additional welded location that satisfied the optimisation analysis conditions, including maximising absorbed energy, was selected.

The analysis results used in the automotive body designing were, for example, "automotive body displacement amount". The possible use by the user of the displayed analysis results might be a cognitive exercise such as selecting the automotive body corresponding to the lowest displacement amount (G 1/19), but the board considered that the step of selecting the additional welded points contributed to the technical character of the invention.

The board further noted that the additional welded points of which the locations were determined or selected were "to be added to the automotive body" ("to improve the stiffness of the automotive body during driving"). In the board's view this wording at least implicitly specified a further technical use (G 1/19)..

The board considered that, even if the automotive body was a "prototype" and the additional welded points were added to this "prototype", this "prototype" would still be a physical object having at least some of the features of an automotive body.

The board noted that the Enlarged Board in G 1/19 required a simulation to be "accurate enough" or a simulation that reflects "reality" "accurately enough". In the present case, the automotive model constituted by the automotive body frame model and the chassis model together with the welded points at the joining portion(s) was considered by the board to reflect an automotive body (as "reality") "accurately enough". The board concluded that the subject-matter of claim 1 and dependent claim 2 of the main request involved an inventive step.

T 0136/24

In case T 136/24, the therapeutic effect of claim 1 was the treatment of prostate cancer in the specified patient group. Claim 1 was intended to define a new treatment option for mCRPC patients in the form of a cabazitaxel-based combination treatment.

The phase III clinical study (TROPIC) presented in the application was addressed with very detailed reasons in respect of assessment of sufficiency of disclosure, novelty and inventive step. Concerning inventive step, given the TROPIC study as the starting point and the formulation of the technical problem in view of the claimed therapeutic effect being credible, the issue decisive for obviousness was whether the person skilled in the art would have had a reasonable expectation of success with regard to the experimental arm of the TROPIC study.

The opponents argued that, for a second medical use claim, where the prior art disclosed that a clinical study with the same active agent(s) for the same therapeutic indication had been proposed or was underway, a reasonable expectation of success was generally implied by the mere fact that the study had been authorised, unless there was some evidence of a dissuading teaching in the prior art. In other words, the announcement of a clinical study established a legal presumption of reasonable expectation of success. No dissuading element (negative pointer) was known in the prior art. In addition, the opponents mentioned positive pointers..

The board was not convinced. The skilled person's expectation of success had to be considered in particular in relation to the TROPIC study's primary endpoint, which was overall survival. Success in the context of a clinical study means meeting the primary endpoint. The board reviewed the large body of decisions dealing with reasonable expectation of success, including in cases of second medical use where clinical studies were announced in the prior art. This case law mainly focused on balancing positive and negative pointers. The probative value of a clinical study announcement always depended on the particular circumstances of the case. Thus, contrary to the opponents' argument, the analysis of the jurisprudence of the boards did not lead to the conclusion that ongoing clinical studies automatically establish a legal presumption of success..

The approval of a clinical study does, therefore, not necessarily imply an expected positive outcome. As a consequence, the question of whether there was a reasonable expectation of success must be answered on the basis of the specific circumstances of the case. The case in hand related to a new cancer drug used in a new indication, and the situation was complicated by the further issue of resistance to taxanes. The crucial issue was whether, in view of the available information in the prior art, the skilled person had a reasonable expectation that cabazitaxel in combination with prednisone would be effective to improve overall survival..

The board examined in detail the positive pointers (a) to (f) and on this occasion inter alia addressed that under usual circumstances, the fact that a phase III clinical trial was carried out might indeed provide a pointer indicating a successful development path of a new drug/new drug application, however in the case in hand, the usual path of drug development was only poorly reflected. The board also stated that the fact that a study was nearing completion per se, in the absence of knowledge of the parameters selected for monitoring, was neither a positive nor a negative pointer when assessing expectation of success. In conclusion, the facts brought forward by the opponents as positive pointers would not have given rise to a reasonable expectation of success.

T 0412/23

In case T 412/23, the invention related to a method for determining a suitable colour variant for painting a car without the need for expensive equipment and extensive colour fans. The only state of the art discussed by the appellant was the prior art discussed in the impugned patent itself (E0, E00, E15). Both parties agreed that E0 was the closest state of the art. The formulation of two partial problems was not appropriate.

According to the opponent (appellant), the skilled person would combine the teachings of the prior art discussed in the impugned patent in paragraphs [0002], [0005] and [0007] and therefore arrive at the subject-matter of claim 1. That is to say the skilled person would combine the teachings of E0, E00 and E15 especially because these different teachings were discussed in close relation to each other in the impugned patent, reflected the general common knowledge of the skilled person and could be easily combined with each other without technical difficulty.

The board essentially agreed with the reasoning of the opposition division. When solving a single objective technical problem, the skilled person could not combine in the present context the teachings of three documents at a single stroke, but must first combine the teaching of E0 with the teaching of one of the documents E15 and E00 and then, in a second step, combine the result of this combination with the teaching of the other one of the documents E15 and E00..

In other words, when the teachings of three documents are combined, this has to be done – in circumstances such as the present ones – step by step, i.e. in a first step, the teaching of another document is combined on the basis of the teaching or embodiment of the closest state of the art. In a second step, it must then be examined whether the skilled person would also combine the result of this combination with the teaching of the third document. In doing so, the context of the initial situation as well as the complexity and specific technical context of each document or embodiment has to be taken into account (see Catchword).

In the present case E15 taught the examination of texture only by using complex image processing software, while E0 and E00 taught the examination of colour only with the human eye from only one or two angles. The board noted that the reference to E15 and its content in paragraph [0005] was added during examination proceedings and was not part of the original application documents. Furthermore, E15 did not relate to the method described in paragraph [0007] at all. The observation that metallic effect paints presented particular challenges in colour matching and that texture must be considered to improve matching accuracy, originated from the patent itself and could not be regarded as prior art. Furthermore, from the context of the contested patent, it was clear to the board that E00 and E0 referred to different evaluation methods. E00 related to a basic method and involved a method with examination of a single angle and a single visual property. E0 related to a different, more sophisticated method with examination from two different angles and two visual properties. The board could not see how the skilled person would arrive at a combination of all claimed features by combining the teachings of E0, E00 and E15.

The board agreed with the opponent only insofar as the skilled person might combine the teaching of E0 with the teaching of E00 or E15. However, in a second step, the skilled person would not take into account the teaching of the other document, since, depending on whether the skilled person would first turn to a simpler or more complex teaching, they would not consider the more complex or overly simplified teaching in a second step. The board came to the conclusion that the person skilled in the art would not combine the teaching of E0 at the same time with the teachings of both E00 and E15, since in the latter the context was different from that in E0, being significantly more complex in one case (E15) and simpler in the other (E00).

T 1465/23

In case T 1465/23, the opposed patent addressed the problem of securing wireless communications for hearing devices. The board was not satisfied that the technical effects mentioned by the respondent (proprietor) were credibly achieved by the claimed features over the whole scope of claim 1 as granted.

Given that the alleged technical effect was not credibly achieved and the board could not identify an effect either, it was not possible for the board to formulate an objective technical problem that was directly and causally related to the claimed invention, in particular to the alleged distinguishing features (b) to (h). The board recalled the principles established in G 1/19, that the problem-solution approach may be "terminated" at this stage if the distinguishing features do not credibly achieve any technical effect over the whole scope claimed. The introduction of a distinguishing feature having no credible technical effect may then be considered to be no more than an arbitrary modification of the design of a known subject-matter which, being arbitrary, cannot involve an inventive step.

The respondent argued that the principles of G 1/19 were limited to computer-implemented simulations and that the board should instead have applied the "ab initio implausibility" standard addressed in the referral case underlying G 2/21. This line of argument was not persuasive. Recalling the purpose of Art. 112(1) EPC, the board observed that the Enlarged Board in G 1/19 itself designated its findings in point 82 of the Reasons as a "general principle" and this confirmed that a technical effect must be achieved over the whole scope of a claim to be considered as the basis for the objective technical problem. The respondent further argued that the expressions "substantially all embodiments" in G 1/19 and "substantially the whole scope of the claims" in T 814/20 allowed for a more lenient application of the test "credibly achieved over the whole scope claimed". However, the board noted the concept of "substantially over the whole scope claimed" appeared to provide merely a "narrow safe harbour" for well-defined inventions that may have isolated, peripheral flaws; it could not rescue a claim that was fundamentally deficient such that the distinguishing features were considered to have no effect at all.

The respondent also raised specific doubts in view of the board "terminating" the problem-solution approach after the conclusion that there was no credible technical effect over the whole scope claimed. Reflecting on the two paths provided for in the established practice to overcome such an objection: amendment of the claim to a narrower scope by the patentee, or reformulation of the objective technical problem to a less ambitious one by the board, the board noted that in some instances there may be no credible technical effect whatsoever that could be attributed to the distinguishing features. In such a case, the board considered these distinguishing features to be an arbitrary or non-functional modification of the prior art, which cannot support an inventive step. Consequently, this particular way of applying the problem-solution approach did not represent a "failure" or an "incomplete application" of the problem-solution approach, rather it was its logical endpoint: the demonstration that the claimed differences provided no technical effect at all, i.e. no contribution over the prior art, constituted the very proof of their "obviousness". Overall, the board stated that if there was no technical effect that was credibly derivable from the wording of a claim on the basis of its distinguishing features, it was usually unnecessary to – artificially – formulate an (unsolved) objective technical problem, such as finding an "alternative way to achieve a (non-existent) technical effect". In such cases, the distinguishing features simply constituted arbitrary or non-functional modifications of the available prior art which could not involve an inventive step within the meaning of Art. 56 EPC.

T 0521/24

In T 521/24, betraf die Anmeldung gemäß Hauptantrag ein Verfahren (Ansprüche 1 bis 5) und eine Behandlungsvorrichtung (Anspruch 6) zur kosmetischen Verbesserung der körperlichen Erscheinung sowie der Beschleunigung der nicht therapeutischen Regeneration nach körperlicher Belastung. Durch die körperliche Belastung insbesondere nach einer sportlichen Aktivität kommt es zu einer Ermüdung. Die Beseitigung dieses Ermüdungszustands wird durch das beanspruchte Verfahren beschleunigt. Bei den beanspruchten Verfahren wird mindestens eine Extremität einer Person von einer mit mindestens einer Strömungsmaschine verbundenen Kammer aufgenommen. Die Kammer wird anschließend gasdicht verschlossen. Der Druck in der Kammer wird gegenüber dem atmosphärischen Umgebungsdruck alternierend auf einen negativen Druck abgesenkt und auf einen Überdruck erhöht, wobei die Druckdifferenz zwischen dem negativen Druck und dem Überdruck zwischen 30 mbar und 80 mbar beträgt.

Die Prüfungsabteilung kam zum Schluss, dass die Ansprüche 1 bis 5 des vorliegenden Hauptantrags auf Verfahren zur therapeutischen Behandlung des menschlichen oder tierischen Körpers gerichtet seien. Die Kammer war anderer Meinung. Eine Therapie im Sinne des Art. 53 c) EPÜ ist zwar nicht auf die erfolgreiche Behandlung einer Krankheit begrenzt, sondern kann symptombezogene und präventive Behandlungen umfassen. Allerdings setzt sie einen pathologischen Zustand voraus (Rechtsprechung der Beschwerdekammern des EPA, 11. Aufl. 2025, I.B.4.5.1).

Eine Therapie wird in den Verfahrensansprüchen des Hauptantrags, die ausdrücklich auf die Regeneration nach körperlicher Belastung gerichtet sind, nicht erwähnt. Die ursprüngliche Anmeldung offenbart keine Therapie, die geeignet ist, einen pathologischen Zustand eines Menschen oder Tiers zu behandeln. Der Prüfungsabteilung ist zwar insoweit zuzustimmen, dass die reine Erwähnung einer "nicht therapeutischen" Regeneration nicht ausreicht, eine Therapie aus dem Schutzbereich der Ansprüche auszuschließen. Allerdings ist mit körperlicher Belastung, die laut der Beschreibung typischerweise als Folge einer sportlichen Aktivität auftritt, in der ursprünglichen Anmeldung kein pathologischer Zustand gemeint.

Die Behauptung der Prüfungsabteilung, dass die Verfahrensschritte zwangsläufig therapeutische Effekte erzeugen würden, ist nicht begründet. Solche Effekte sind in der Anmeldung weder erwähnt noch impliziert. Sie sind auch nicht aus anderen sich im Verfahren befindlichen Dokumenten herleitbar. Die Annahme der Prüfungsabteilung, dass die ursprüngliche Anmeldung eine Therapie offenbare, die auf die Anwendung bei schwachen Venen, Lymphgefäßen und Bindegewebe erweitert werde, ist ebenfalls unzutreffend. Die ursprüngliche Anmeldung offenbart lediglich, dass das erfindungsgemäße Verfahren so schonend ist, dass seine Anwendung auch bei schwachen Venen, Lymphgefäßen und Bindegewebe, sowie bei Orangenhaut möglich ist. Eine Therapie zur Behandlung eines pathologischen Zustands ist damit nicht gemeint.

Die Tatsache, dass sich die ursprüngliche Anmeldung auf eine "intermittierende [...] Vakuumtherapie" und eine "intermittierende [...] Kompressionstherapie" bezieht, impliziert auch nicht, dass der Schutzbereich der Verfahrensansprüche eine therapeutische Behandlung des menschlichen oder tierischen Körpers im Sinne des Art. 53 c) EPÜ umfasst. In dieser Hinsicht ist es nicht relevant, dass eventuell Vakuum oder Unterdruck mit bestimmten Parametern zu therapeutischen Zwecken geeignet sind, denn es gibt keinen Hinweis darauf, dass solche Parameter denjenigen entsprechen, die in den Ansprüchen 1 bis 5 definiert sind.

Aus diesen Gründen waren die Ansprüche 1 bis 5 des Hauptantrags nicht von der Patentierbarkeit (Art. 53 c) EPÜ) ausgenommen. Die angefochtene Entscheidung war aufzuheben.

T 1065/23

In case T 1065/23, the purpose of the invention was the provision of a pea protein composition comprising pea proteins having a low solubility. Such protein extracts had superior properties when used in processes for manufacturing bakery products and beverages.

Opponent 2 argued that as solubility was a relative property, it should not be taken into account for selecting the closest prior art. In the board’s view, this argument was not convincing. From the patent and the documents used for formulating the inventive-step attacks, it was evident that before the relevant date, the skilled person distinguished pea proteins having a "high" versus a "low" solubility. Thus, even in the absence of precise thresholds, the skilled person distinguished these protein forms. The board found that D2, which aimed to obtain proteins having a high solubility, did not represent the closest prior art. D12 could be considered the closest prior art..

Relying on the submission in opponent 1's statement of grounds of appeal, opponent 2 argued that experimental report D30 provided evidence that the alleged effects could not be achieved across the entire scope claimed. The desired nitrogen solubility index of less than 15% was thus not achieved across the entire scope claimed. The board stated, however, that opponent 1's new allegation of facts based on D30 was not only late filed but also raised new complex issues which should have been addressed during the opposition proceedings (not admitted – Art. 12(4) and (6) RPBA).

Opponent 2 considered that the underlying technical problem was merely the provision of an alternative method for extracting pea proteins and an alternative pea protein extract. The board did not agree. Starting from D12 and taking into account the effects shown in the patent, the underlying technical problem was the provision of a pea protein extract and a method for its manufacture, where the extract had a combination of a lower nitrogen solubility index, gel strength and viscosity, resulting in improvements in processes (for bakery products and beverages).

As to obviousness, opponent 2 also argued that the selection of the cut-off values 4.0 and 5.8 defining the claimed pH range was arbitrary and could thus not involve an inventive step. The experimental report D15 showed that the preferred low nitrogen solubility index of less than 15% mentioned in claim 11 was obtained not only when the pH was inside, but also when it was outside the claimed pH range, e.g. at a pH of 6.2. For this reason alone, the claimed subject-matter was obvious over the teaching of D12. The board was not convinced by this argument; Table 2 of D15 showed that all protein extracts heated at a pH of 6.2, i.e. above the claimed range, had a higher nitrogen solubility index than those heated at a pH within the claimed range. The results showed a clear pattern indicating the advantage of working within rather than outside the claimed pH range. For claim 1 to be inventive, it was not necessary to achieve a nitrogen solubility index lower than 15%. This was not an absolute threshold required for the method to be inventive. What was relevant was that the nitrogen solubility index obtained was lower than that obtained at pHs outside the range..

The fact that the cut-off values 4.0 and 5.8 of the claimed pH range might exclude lower or higher pH values suitable for achieving advantageous effects was not, as such, a reason to consider the selection of the claimed cut-off values as "arbitrary" and the claimed subject-matter as obvious in view of the prior art. It would be illogical if a claim defining a feature by reference to a range was considered to lack an inventive step for the sole reason that the invention could have been claimed more broadly, specifying a broader range. This would lead to the absurd situation that a claim defining a broad range involved an inventive step, whereas a claim defining a narrower range, falling within that broad range, did not (see also Catchword). What counts is that the available evidence makes it credible that subjecting a slurry containing precipitated pea protein at a pH within the claimed range to the claimed heating step induces effects which go beyond those obtainable by carrying out the method of the prior art.

T 0095/23

Im Fall T 95/23 ging es um eine Durchgangsschleuse mit einem Eingang und einer Ausgangstüre, sowie einem Display und einer Aufnahmevorrichtung zur Erfassung biometrischer Merkmale einer Durchgang begehrenden Person, die frontal gegenüber dem Eingang in der Ausgangstüre integriert sind. Die Beschwerdeführerin (Einsprechende) hatte Argumentationslinien vorgebracht, die von D1 bis D6 als nächstliegendem Stand der Technik ausgingen. Die Kammer befand, dass ausgehend von D1, D3, D2 oder D5 der Gegenstand des Anspruchs 1 jeweils erfinderisch sei. In Bezug auf D4 führte sie aus, dass sich der beanspruchte Gegenstand von der aus D4 bekannten Vorrichtung dadurch unterscheide, dass die Kamera und ein Bildschirm in die Türe integriert seien.

Die Beschwerdeführerin hatte zur Frage des Naheliegens argumentiert, dass die Fachperson von einem allgemeinen generischen Ausführungsbeispiel ausgehen würde, das nicht unbedingt zwei separate Ausgänge hinter den Türen (von D4 Figur 1) haben müsse. In D4 werde die Erfindung sehr allgemein dargestellt und insbesondere beschrieben, dass die Ausgänge zu Zoll/Sicherheitskontrolle bzw. direkt zum Flugzeug verschiedene, rein optionale Varianten seien. Folglich könnten beide Türen auch zu ein und demselben Raum führen. Die Fachperson würde die allgemeine Lehre der Dokumente D1 und D2 aufnehmen und kleine Kameras und Displays in den Türen integrieren. Die Beschwerdegegnerin hatte argumentiert, dass dies nicht möglich sei, weil dann eine zu schleusende Person nicht wisse, durch welchen Durchgang sie zu gehen habe, während sich in D4 nach der Kontrolle nur die "richtige" Türe abhängig vom Ergebnis der Zugangskontrolle öffne.

Die Kammer war der Meinung, dass die Fachperson die Lehre der D1 und/oder D2 zwar in Betracht ziehen, aber aus folgenden Gründen nicht implementieren würde.

Bei der Prüfung der erfinderischen Tätigkeit sollte vorzugsweise von einem konkreten Ausführungsbeispiel ausgegangen werden, da die Fachperson bei einem generischen und unspezifischen Ausführungsbeispiel noch zusätzlichen technischen Aufwand für eine spezifische Ausarbeitung dieses Ausführungsbeispiels aufwenden müsste. Bei dieser Ausarbeitung würde der Fachmann letztendlich doch wieder auf die konkrete Lehre der detaillierten Ausführungsbeispiele im selben Dokument zurückgreifen. Die Fachperson würde sich also in der Regel für ein detailliertes Ausführungsbeispiel als Ausgangspunkt für die Prüfung der erfinderischen Tätigkeit entscheiden (s. Orientierungssatz). Die Kammer analysierte das einzige in D4 in den Figuren gezeigte und in der Beschreibung behandelte spezifische Ausführungsbeispiel und kam zu dem Schluss, dass der Durchgang eher verlangsamt würde, wenn der biometrische Abgleich durch Kameras (und Bildschirme) in jeder der beiden Türen stattfände, da die zu kontrollierende Person nicht im Voraus wüsste, bei welcher der beiden Türen sie herausgelassen werde.

Ferner sei es nicht unbedingt ohne technische Schwierigkeiten möglich, eine Kamera und einen Bildschirm, wie sie in D1 (bzw. D2) gezeigt sind, in die schwenkbaren Türen (von D4 Fig. 1) zu integrieren. Die in D1 gezeigten Kameras seien in den Zeichnungen relativ voluminös dargestellt. Die Kamera könne zwar in ein Display integriert werden, zum relevanten Zeitpunkt der Beurteilung der erfinderischen Tätigkeit (Anmeldetag des Patents im Jahre 2009) seien jedoch Kameras und Displays noch deutlich voluminöser und schwerer gewesen als zum Zeitpunkt der mündlichen Verhandlung vor der Kammer. Die Türen von D4 ließen die Fachperson darauf schließen, dass es sich um rahmenlose Türen handele. Eine Befestigung von Kameras und Displays in solchen rahmenlosen Glastüren sei technisch nicht einfach. Die Kameras und Displays in D1 hätten einen anderen technischen Kontext (massive Türen) und seien nicht unbedingt für die in D4 gezeigten Türen geeignet..

In Anbetracht der komplexen Umsetzung und insbesondere in Anbetracht der spezifischen Ausführungen in D4, die bei einer Integration von Kameras/Displays in die Türen den Durchgang eher schwieriger machen würden als vereinfachen, würde die Fachperson von solch einer Lösung absehen, insbesondere, da Komplikationen und Konfusion an einem Flughafen vermieden werden sollten. Der Gegenstand von Anspruch 1 sei erfinderisch gegenüber D4 in Kombination mit D1 oder D2. Gleiche Argumente gelten ausgehend von D6.

T 1650/23

In T 1650/23, the invention concerned controlling the display of content items provided by a website or an application. In the system according to the invention, the content of a content item to be displayed is reduced to an amount that enables a user "to understand the target content item within the display duration".

According to the board, the distinguishing features related in part to the way information was displayed (i.e. presented) to the user. Presentation of information is as such not patentable under Art. 52(2) and (3) EPC. According to the case law of the Boards of Appeal, presentation of information as such, as non-technical subject-matter, cannot contribute to inventive step. Where a claim refers to an aim to be achieved in a non-technical field, this aim may legitimately appear in the formulation of the problem as part of the framework of the technical problem that is to be solved, in particular as a constraint that has to be met (T 641/00).

The appellant had argued that the distinguishing features related to technical concepts directed at determining in advance how and which information to provide in accordance with the display duration. Hence, these features were directed at the internal processing of the claimed information processing system and not at the mere presentation of information. The distinguishing features achieved the technical effect of reducing processing loads, quickly changing the content amount of the target content item, and causing the target content item to be displayed, as was recited in the description. By storing in advance multiple content variants corresponding to possible display durations, the processing was improved.

The appellant had further argued that all the distinguishing features contributed to these technical effects, since they were involved in the steps leading to the improved processing. They could thus not be considered to be mere "constraints" included in the objective technical problem. The objective technical problem had to be formulated as how to improve the processing of displaying a target content item, possibly with the addition of "such that it enables the visitor to understand display content thereof" to take into account the board's assessment that the present invention contained a part that was based on non-technical considerations.

The board could not recognise any improved processing compared to the conventional prior-art system, since changing the displayed information involved additional processing. The only effect of this additional processing was in the mind of the user, who was presented with different information than in the conventional prior-art system.

The concept of the invention was that of displaying, for a display duration below a threshold, a version of the target content item with a reduced content amount that enabled the visitor to visually understand the target content item within the display duration. The versions to be displayed should be "mutually related in display content but mutually different in content amount". This concept of the invention was based on non-technical considerations about a reduction of the cognitive burden of the user. It was thus a non-technical concept that could be included in the formulation of the technical problem.

In view of this, the distinguishing features solved the technical problem of modifying the conventional prior-art system to display, for a display duration below a threshold, a version of the target content item with a reduced content amount that enabled the visitor to visually understand the target content item within the display duration. The board held, that the skilled person facing the above formulated technical problem would immediately recognise the need to estimate the display duration and change the version of the target content item to be displayed if the estimated display duration is below a threshold. The board found that this was obvious and the subject-matter not inventive within the meaning of Art. 56 EPC.

T 1632/22

In T 1632/22, In ex parte case T 1632/22, the application related to liveness detection in relation to authentication, e.g. when unlocking a phone based on a face image. The application proposed to categorise the images as a function of their "quality" and to use different liveness detectors for each quality type. The examining division concluded there was a lack of inventive step over D1 (face authentication).

With an amendment in substance to define the quality parameter used to define the quality type, the new feature of claim 1 was not disclosed in D1. The board saw only two differences between claim 1 and D1 which might support the presence of an inventive step, namely that the claimed method was used for liveness detection and that it considered also quality parameters other than those disclosed for the "specialized classifiers" of D1. For the appellant, D1 did not qualify as the closest prior art as it was concerned with authentication rather than with liveness detection.

In the board’s view, the novelty requirement provides that no patent can be granted for anything that is already known. The inventive step requirement raises the bar to a patent by also excluding matter which is obvious over what is known. That which is obvious to the skilled person cannot depend on anything that the skilled person does not know yet. In particular, what is obvious at the filing date of a patent application cannot depend on the content of that patent application. Conversely, an argument that a skilled person having regard to some piece of prior art will find something to be obvious cannot be rebutted on the basis of what the application says. In particular, the application cannot be invoked to limit the prior art under consideration or the expertise of the skilled person (their "art") on the basis of the stated "field of the invention". That essentially any piece of prior art can be considered in an inventive step analysis has been stated several times in the case law. The definite articles in the phrase "the person skilled in the art" in Art. 56 EPC are not meant to limit the relevant "arts". Any successful rebuttal of an inventive step objection must address the obviousness argument directly, without reference to the application.

It is a matter of efficiency when assessing inventive step to consider only persons skilled in arts related to the claimed invention, and, consequently, only prior art which such a person may have regard to. The board considered that a person skilled in some art may well have regard to prior art from a field which is not, in a narrow sense, their "own field". It is reasonable to assume, for instance, that persons skilled in one field will typically keep themselves informed about developments in related fields, and in this sense have regard to prior art in related fields. The board disagreed with T 646/22 and held that in principle, all problems which the skilled person would have addressed (or been asked to address) based on the prior art alone are valid ones. In the present case, the board assumed a person skilled in liveness detection methods. Such a person was, generally, interested in improving, or finding alternatives to, known liveness detection methods, based on the knowledge that known methods have known pitfalls. Liveness detection for authentication and authentication were closely related technical areas. The board noted that it was typical to try adapting developments in neighbouring fields to the own area of interest. It was certainly common practice in image processing, in particular when the images were of the same type. Thus, in the board's judgement, the person skilled in the art in liveness detection would have regard to D1 and would have reason to adapt its solution to liveness detection in a way leading to the invention according to claim 1 of the main request before the examining division. The current requests differed from that request ("quality parameter").

Finally, the board noted that during examination a relatively large number of documents were cited, some of them concerned with liveness detection, but were not discussed in the decision. A positive decision on inventive step could not be issued before at least these documents have been discussed (Remittal).

T 0646/22

In T 646/22, the invention concerned input/output circuits and devices having physically corresponding status indicators. It followed from the conclusions on novelty that claim 1 as granted differed from D7 in that the two status indicators were capable of displaying different statuses and that the second status indicator comprised a transparent or translucent portion which surrounded the terminal opening (feature [1.9]).

The parties did not agree whether or not these features provided together a synergistic technical effect over D7. The opponent was of the opinion that the features distinguishing claim 1 from D7 were to be assessed separately as no synergistic technical effect was apparent. It would have been obvious to the skilled person to provide an additional status indicator in D7 to display a second status, if they so desired.

The board did not follow the opponent’s argument, mainly because it did not accept the formulated technical problem. The formulation of the technical problem took for a given that the skilled person wished to display a second terminal status of the terminal in D7 and that the only problem was how to do that. However, D7 did not envisage the display of any second status different from the status it already displayed. Hence, it could not be accepted that the only problem the skilled person would be faced with was how to display such a second status. In the board's opinion, in order to arrive at the claimed invention the skilled person when starting from D7 would first have to find a motivation for displaying a second status of the terminal, then to find a way to modify the described light sources such that they were capable of displaying different statuses and would only then have to start contemplating here to place an additional status indicator. The board considered that such activities went beyond what could be considered obvious for the skilled person in the present context.

Regarding feature [1.9], the opponent pointed to the description of D7, and argued that it would thus have been obvious for the skilled person to increase the size of given indicators if they wanted to improve visibility from all sides even further. The board did not follow the opponent in this respect, either. The formulated technical problem of improving the visibility of the status indicator was not related to the claimed invention..

The board stated that in the so-called "problem-solution-approach", the formulated objective technical problem should be one that corresponds to the technical effect obtained by the features distinguishing the claimed invention from the prior art. In other words, these distinguishing features should provide a technical advantage to the claimed invention that the prior art has not. In the present case, the terminal block of the claimed invention had no curved surface and there was no technical advantage related to the visibility of the status indicators from all sides. The problem of improving the visibility of the status indicators concerned only D7 and the I/O block it described, but was not a problem to be solved which related to any technical effect the distinguishing features provided to the claimed invention with respect to the prior art. The board, hence, found the opponent's argument not convincing.

The board proposed the following Catchword: The objective technical problem formulated in the context of the problem-solution approach should stem from a technical effect the distinguishing features provide to the claimed invention with respect to the closest prior art and not from a possible improvement of the prior art itself. 

T 2192/22

In T 2192/22, the claims related to improved processes for purifying polypeptides of interest, by increasing the amount of a polypeptide of interest bound to a cation-exchange matrix relative to the amount of one or more impurities bound to the ion-exchange matrix..

The patent proprietor was of the view that the claim was such that its subject-matter should be recognised as novel under G 2/88 since it related to the use of a known compound for a new purpose not made available in the prior art – i.e. "the reduction of host cell proteins (HCPs) in the purification of a polypeptide of interest by cation-exchange chromatography".

The board however, concurred with the findings in T 892/94, that applying the concept of novelty developed in G 2/88 to claims for processes of producing a product, even when drafted as use for achieving a technical effect that results in an improved product could potentially result in a permanent monopoly of the use of a known substance for a known purpose. Such a permanent monopoly would arise from the repeated drafting of claims for a process of production including a new, possibly only subtly different, technical effect associated with this known process (T 1179/07).

In the present case, drafting the claim as a "use" of a chemical compound could not mask the fact that the claim defined a production/purification process and the new technical effect could only take place in the context of this process. The mere formatting of the claim to give the appearance that its subject-matter falls under the principles established by G 2/88 could not circumvent the fact that on analysis, the claim was directed to a use or process for the production of a product, here one having the "improved" property of having "reduction of host cell proteins".

Moreover, the alleged new technical effect of reduction of host cell proteins pertained to the product (the polypeptide) and could not be considered a technical limiting feature of the "use" according to G 2/88. Indeed, where an invention relates to a new technical effect of a physical entity that can only occur as part of a process for the production or manufacture of a product, such that this effect is inextricably linked to and cannot occur in isolation from the production process, a claim directed to that "use" of the physical entity to achieve that effect must be regarded as directed to the production process per se (T 1913/21).

The assessment of novelty in the present case was therefore done by answering the question of whether or not there was a disclosure forming part of the state of the art of a process having the same physical steps as the claimed process, i.e. purifying a polypeptide of interest by CEX chromatography, wherein at least one of the equilibration, loading and/or washing fluids contained a chemical structure with amino groups and/or cationic amino acid polymers, in a concentration of at least 7 mM. No other features were explicitly or implicitly implied by the wording of the claim. The board found that the prior art anticipated the claimed subject-matter and denied novelty.

T 1078/23

In ex parte case T 1078/23, the decision of the examining division refused the European patent application for, at least, lack of inventive step; the examining division considered prior-art document D1 "to be the prior art closest to the subject-matter of claim 1". The appellant submitted that document D1 failed to disclose at least feature (c) of claim 1. So, document D1 – in spite of belonging to the same technical field as the present application – was not an appropriate starting point; the skilled person would rather choose document D5.

In the board’s view, the appellant's argumentation was not convincing. First, the board considered, in agreement with T 787/17, T 967/97, T 1112/19, T 449/23, and contrary to e.g. T 2057/12, T 2759/17 or the conclusions drawn in the first-instance decision of the Unified Patent Court UPC_CFI_1/2023 of the Central Division Munich (point 8.6), that no specific justification for the choice of a starting point for the assessment of inventive step is necessary if inventive step is to be denied, since the claimed subject-matter must be inventive over any state of the art according to Art. 56 EPC. Moreover, it is not the task of the skilled person, who is the person qualified to solve the underlying objective technical problem according to the problem-solution approach, to "choose a document as the closest prior art" (see e.g. T 1450/16). Selection criteria such as the "intended purpose" of the claimed subject-matter thus constitute merely a matter of efficiency for the deciding body.

The board added that a selected starting point might indeed turn out to not be suitable for denying inventive step if, for example, the resulting objective technical problem formulated on the basis of that starting point was an unrealistic or artificial one. But this did not mean that a starting point was to be disqualified as unsuitable right from the outset. Nor was it relevant in that context whether other pieces of prior art, such as document D5, were "relatively closer" to the claimed subject-matter, as argued by the appellant. 

Document D1 belonged to the application's technical field; specifically it disclosed features (a) and (b). The fact that D1 did not disclose feature (c), did however not preclude it from being an appropriate starting point for the assessment of inventive step.

G 0001/23

In G 0001/23 the Enlarged Board answered the referred questions as follows:

"1. A product put on the market before the date of filing of a European patent application cannot be excluded from the state of the art within the meaning of Article 54(2) EPC for the sole reason that its composition or internal structure could not be analysed and reproduced by the skilled person before that date.

2. Technical information about such a product which was made available to the public before the filing date forms part of the state of the art within the meaning of Article 54(2) EPC, irrespective of whether the skilled person could analyse and reproduce the product and its composition or internal structure before that date.

3. In view of the answers to Questions 1 and 2 an answer is not required."

The Enlarged Board decided that in interpreting the referred questions, it was not needed to treat analysability independently from reproducibility. The questions turned on the requirement of reproducibility and whether this was indeed a valid condition of an available product for forming part of the state of the art. The Enlarged Board highlighted that the prior art status of non-reproducible man-made products put on the market and non-reproducible naturally occurring materials can be assessed similarly. In addition, the term "reproduce" could cover two possibilities: obtaining again a product put on the market in its readily available form, as well as for the skilled person to manufacture the product themselves. In the context of the referral, the EBA understood the term "reproduce" in the latter, more limited sense. In any event, "reproducibility" was to be understood as being only on the basis of the common general knowledge the skilled person has before the filing date.

The EBA concluded that both interpretations of G 1/92 proposed by the referring board and existing case law lead to absurd results. The first interpretation postulated that non-reproducible but otherwise existing and commercially available products do not belong to the state of the art. The EBA saw this interpretation as establishing a legal fiction overriding facts and which was not explicitly stated in the law. The second interpretation, according to which only the composition of a non-reproducible product is excluded from the prior art, was also seen to lead to absurd results. All starting materials used by the skilled person must be selected on the basis of their desired properties, which in turn are determined by the composition of the material. Also the very first raw material in the production chain inevitably had to come from a natural source. Its composition must be known and consciously exploited by the skilled person, even where they would not be able to reproduce the composition by a different route. The non-reproducible property, the composition, could not be ignored or disregarded, or else there would be no material left for the skilled person to work with.

The EBA therefore provided the correct interpretation of G 1/92 and held that the expected reproducibility of the product must be understood in a broader sense, namely as the ability of the skilled person to obtain and possess the physical product. This meant that the requirement would be inherently fulfilled by a product put on the market. The proper reading of the answer of G 1/92 was set out as follows: "The chemical composition of a product is part of the state of the art when the product as such is available to the public and can be analysed by the skilled person, irrespective of whether or not particular reasons can be identified for analysing the composition."

In turn, this meant that all analysable properties of a product put on the market become public alone by the possibility that they can been analysed, because the product was physically accessible. If the composition can be analysed, this becomes part of the state of the art as well, also if the skilled person is not in the position to reproduce it on their own.

The EBA also explained that prior art that is not considered relevant does not mean that the prior art does not exist. Something that belongs to the existing state of the art need not be relevant for any invention and for all provisions of the EPC where the state of the art is to be taken into account. That a non-reproducible product belongs to the state of the art does not necessarily mean that the product or its features must be taken into account equally when assessing novelty or inventive step.

T 1816/22

In T 1816/22 the appellant's objection of lack of novelty of claim 1 as granted was based on the disclosure provided in D1 and a sentence which referred to D2 by stating: "Perfumes are generally described in U.S. Patent No. 7,186,680 at column 10, line 56, to column 25, line 22". In the opinion of the appellant, this sentence disclosed all the perfumes mentioned in the portions of this document that were specifically identified above, thus also "ethyl vanillin", listed for example at the top of the table in column 13 of D2, which was also present in both of the only two fully formulated examples "Enduring Perfume A" and "Enduring Perfume B" disclosed in D2. Accordingly, a single selection — if any — among the perfumes implicitly disclosed in D1 (through its reference to D2) would be sufficient to arrive at the laundry product of claim 1 of the opposed patent.

For the board, the reference to D2 was so vague that it could not be equated to a (albeit implicit, but nevertheless) direct and unambiguous disclosure that the "perfume" components of the prior art fabric treatment composition described in D1 could be any one of the specific perfumes disclosed in the cited portion of D2.

According to the board, already upon reading the wording "generally described" in the reference to D2 per se, a skilled person might expect that such a reference pertains exclusively to the general definitions of groups/ classes of perfumes (e.g., in terms of their chemical classes, origin, type of scent, or other properties) possibly provided in D2.

This at least seemingly possible — if not more probable — interpretation of the reference to D2 made in D1 appeared also consistent with the actual disclosure in the specific portions of D2 identified in D1.

Even when considering the entire portion of D2 identified in D1, the board found the reference to D2 too vague, as it remained at least possible that the intention was to refer only to the groups or classes of perfumes described in general.

Since the reference to D2 did not render part of the direct and unambiguous disclosure of the prior art in D1 the possible use of any specific perfumes disclosed in D2 (including the "ethyl vanillin" cited by the appellant), the subject-matter of claim 1 was not anticipated in D1.

T 2010/22

In T 2010/22, the opposed patent concerned a headphone. It aimed at providing a headphone that does not completely shield the wearer off from the outside acoustic environment (referred to by the appellant as an "open headphone"). Given that the appealed decision only concerned novelty in relation to claim 1 of the main request, the board conducted its own inventive-step analysis.

The technical problem as formulated by the parties could not, according to the board actually be derived from effects directly and causally related to the technical features of the claimed invention.

The technical problem as formulated by the opponent relied on the implicit assumption that the closer "high-frequency driver" position as per feature (d1) directly translated to a closer acoustic source as perceived by the user’s ear. This assumption was reasonable in a basic, direct-radiating open headphone, but this was not explicitly required by claim 1.

In relation to the technical problem as formulated by the appellant, the board found that none of the other features specifically concerned an open headphone, contrary to the proprietor’s allegations. The proprietor claimed that some limitations that both drivers are located "off of the ear" of the user necessitated an open arrangement.

While the board acknowledged that it was a plausible understanding that there may be an open arrangement, it was not the only one that was technically sound. The skilled reader would in particular be aware that the phrase "off of the ear" did not necessarily exclude the presence of circumaural or supra-aural earcups. The board wished to clarify that the derivability of a credible technical effect (for the purposes of assessing inventive step) from the original description may, if at all, only be seen as a necessary requirement but not a sufficient one in view of e.g. G 1/19, point 124 of the Reasons (in particular the sentence: "[...] only those technical effects that are at least implied in the claims should be considered in the assessment of inventive step"). This means that the conclusions of G 2/21 cannot be used to bypass the fundamental requirement that the claimed features must credibly achieve the asserted technical effect: the decisive question remains whether the claimed features themselves, as understood by the skilled person, credibly bring about the technical effect over the entire scope claimed.

The board found it difficult to discern a technical effect which feature (d1) would credibly achieve over the whole scope claimed. As indicated by the board during the oral proceedings before it, this feature provided, at most, a practical arrangement of the high- and low-frequency acoustic drivers in terms of their relative positions. This meant however that the objective technical problem could, at best, be formulated as "how to practically arrange the high- and low-frequency acoustic drivers in the 'alternate embodiment' of D1 in terms of their relative positions". After its assessment of obviousness, the board concluded that the claims lacked inventive step.

T 1468/21

In T 1468/21 the differentiating features solved the technical problem of providing a fully autonomous locker. Feature [C] related to a particular way of creating or determining the opening code and of storing it in the locker. Features [E], [F], [G] and [H] related to the specific set-up of an autonomous locker and its relationship with the remote server / central control system in order to correctly distribute the valid opening code to the user and synchronise the autonomous locker with the central control system. Although the locker was autonomous with respect to other structural units like a telecommunication network or the central control system, the opening codes in the locker and the remote server needed to be updated and synchronised after the delivered goods had been collected from the autonomous locker (or delivered to the locker). The new opening codes had to be generated and synchronised in both the locker and the remote server.

The five differentiating features [C], [E], [F], [G] and [H] were at least partially linked to the objective technical problem of rendering the locker autonomous; however, according to the board these features solved three separate technical "sub-problems" related to the cited technical problem. The first sub-problem related to the question of how the opening codes are created or selected. The second sub-problem related to the question of how to provide the same opening codes in the locker and the remote server. The third sub-problem related to the question of how to synchronise both separate units.

With regard to the examining division's reasoning regarding the "broken technical chain fallacy", the board held that it was true that the locker and the "one or more terminals (4, 4')" were not technically linked to each other. The user's intervention was required to inform the remote server, via the "one or more terminals (4, 4')", that the locker door had been opened and/or closed; however, in the present case, contrary to cases T 1670/07 and T 1741/08, there was no "broken technical chain", since the user only enters a single piece of objective information on the "one or more terminals (4, 4')" without any subjective choice or specific mental activity on their part.

In contrast to this, case T 1670/07 concerned optimising a shopping itinerary in which the vendors visited are selected according to the customer's user profile. The deciding board found that "the possible final technical effect brought about by the action of a user cannot be used to establish an overall technical effect because it is conditional on the mental activities of the user". In the deciding board's view, the technical effect, if present at all, depended on the user's reaction to the itinerary. The deciding board further explained, with reference to T 1741/08, that a user's reaction to a piece of (non-technical) information was considered to be a "broken technical chain fallacy".

T 1741/08 concerned a graphical user interface (GUI) designed to assist the user in making choices on the GUI. The user's reaction is not a simple confirmation of a status quo by the user to the technical system, but instead the user responds subjectively to the information provided on the GUI. The board in the case in hand found that in contrast to these decisions, it becomes evident that a "user's reaction to information" is more than simple "feedback" in response to an actual situation. A "user's reaction to information" involves a subjective mental act performed by the user that is clearly distinct from simple feedback. Moreover, the user will recognise the simple feedback as an essential element for correctly using a technical system, as in the present case in which the user has no choice (apart from deciding whether or not to provide the expected input). For example, case T 1741/08 was in contrast to this, in which a user's reaction to information consisted of a selection from several given and offered possibilities. It could be argued that the entire process is stopped by a missing or incorrect user input (i.e. simple "feedback"); however, in the present case, this process interruption should not be interpreted as a possible "broken technical chain" since it is not the technical chain that is broken by subjective intervention of a user involving its reaction to information; the technical chain is merely broken by the claimed technical system being incorrectly used by the user.

Therefore, inputting a single piece of information, which represents feedback on a factual, objective situation from a user within a technical process and does not require any mental activity on the part of the user, i.e. no specific reaction by the user to information, does not immediately lead to a "broken technical chain fallacy". The board therefore concluded that the examining division's decision was incorrect and that the subject-matter defined in claim 1 was inventive.

T 2412/22

In T 2412/22 the invention related to continuous learning of a deep learning model for a specific autonomous vehicle and the appeal lay from the decision of the examining division to refuse the application for lack of inventive step over D1. In its communication the board indicated to the appellant that it tended to agree with the examining division that all differences were obvious starting from D1.

The appellant argued that the examining division's (and the board's) analysis was ex post facto. Without knowledge of the invention the skilled person had no reason to modify D1 in a way so as to arrive at the claimed invention. D1 and the claimed invention were conceptually different and pursued different objectives. The claimed invention focused on continuous learning for a specific autonomous vehicle, the model retrained with specific video data and stored in a library for efficient fine-tuning. The selection step ensured the proper model was selected and updated. In contrast, D1 focused on real-time adaptation, where a (single) generic stock model was adapted to a driver on the vehicle itself during operation of the vehicle. The appellant disputed that storing a stock model implied a library, and even if that were the case, there was no need for a selection step from a "library" with a single entry.

The board noted that the appellant's description of the invention differed from the claimed invention, which was broader and less detailed. The continuous learning aspect was not part of the claim, and the library's content was not defined as dynamic. The selection of a model from the library was broadly formulated, including methods such as basing selection on vehicle type alone. The claim therefore covered providing a deep learning model to an autonomous vehicle based on a static library, where a managing device selected and retrained a model using vehicle video data before transmitting it to the vehicle. Although the library might not be strictly necessary, it was something that the person skilled in the art would certainly consider.

For inventive step, however, the question was not what D1 disclosed, but how the person skilled in the art would modify it, e.g. in order to improve it. In general, the person skilled in the art would consider well-known alternatives and in the case in hand the board was convinced that the person skilled in the art would consider the alternative of performing the adaptation on a central server rather than onboard the vehicle. It concluded that the person skilled in the art would arrive in an obvious manner at subject matter falling within the scope of the claimed invention. Therefore, claim 1 of the main request lacked inventive step.

With regard to the auxiliary requests, the appellant had also submitted that to arrive at the invention starting from D1 a number of modifications were needed. There was no reason for the person skilled in the art to perform all of them. The added features, in particular in the fourth auxiliary request, further increased the already large number of differences over D1.

The board remarked that the number of differences over a certain piece of prior art was neither decisive nor a reliable indicator for the presence of an inventive step.

First, the number of differences itself might be deceiving. One modification might imply or make obvious several other differences. For instance, as in the case in hand, performing the computations on a server instead of on the user vehicle, implied data transmission, and with it a host of other associated "differences" which might or might not be specified in a claim, like an antenna, a transmission protocol, etc. A library implied storage, indexing, a retrieving mechanism and so forth. Also, in complex systems it was very easy to accumulate a large number of individual differences while simply considering the different options available to the person skilled in the art.

Secondly, whether several modifications combined to provide an inventive overall contribution did not depend on their number. For instance they might be obvious solutions to independent, "partial problems".

Ultimately, the board held that the claimed invention had to contain a (new and) non-obvious technical teaching, which it did not see reflected in any of the requests on file. The abord thus concluded that the auxiliary requests, as the main request, were not allowable for lack of inventive step.

T 0746/22

In T 746/22 both the opponent and the patentee had appealed against the interlocutory decision of the opposition division maintaining the European patent in amended form.

Regarding independent claim 15 of the main request, both parties agreed with the board's finding that feature F2 was the only distinguishing feature in view of the objective lens described in table 1 of D4 (closest prior art). F2 defined a mathematical relation between the focal length of a "first rear positive lens" (f3) and the total focal length (f) of the five lenses of the claimed objective lens system.

The board was unable to see any effect of feature F2 other than to arbitrarily define a mathematical relationship between the focal length f3 of one of the lenses of the objective lens system with respect to the total focal length f of the objective lens system. However, in the present case, where the optical parameters of the claimed objective lens system were only very incompletely defined, the selection of a maximum value of f3 when f was fixed, or the selection of a minimum value of f when f3 was fixed, did not provide a technical effect relevant to the claimed invention.

In view of the absence of any relevant technical effect related to the feature F2, the board found that no objective technical problem solved by feature F2 could be defined, and as was explained in T 176/97 , if the distinguishing feature of a claim has no effect of technical relevance on the claimed subject-matter and does not credibly solve an objective technical problem, then no inventive step can be based on it. In the present case, the objective lens system of claim 15 was considered to be no more than an arbitrary modification of the objective lens system of D4, which did not involve an inventive step within the meaning of Art. 56 EPC.

The patentee argued that starting from the precise lens design in Table 1 of document D4, a skilled person would have a “perfect” lens design and thus no reason to modify any parameters without using hindsight from the invention. However, the board found this argumentation unconvincing because it assumed that, starting from the objective lens system disclosed in table 1 of D4, the skilled person would need a concrete incentive to modify it in a certain direction. This overlooked the point that the difference between the lens systems of claim 15 and of D4 was only an arbitrary modification of the lens design of D4. The question of whether there was a motivation to change the lens design of D4 did not arise in the present case. An arbitrary change to the lens design resulting in no relevant technical effect was in itself devoid of any inventive step.

Claim 1 of the first auxiliary request also lacked an inventive step in view of D1 in combination with D4. The patentee had argued that D1 already disclosed a perfectly optimised lens system and that the objective lens system of D4 was no better than that of D1. Again, the board was unable to follow the patentee’s argument that only with hindsight would the skilled person consider replacing the lens of D1 with the lens of D4. D1 merely disclosed a general lens without further details of its optical characteristics. Thus, it was not hindsight, but simply the fact that the teaching of D1 was put into practice that leads the skilled person to search for a specific lens design and eventually find the objective lens system of D4. As with claim 15, the feature at issue in claim 1 provided no technical effect other than arbitrarily modifying the lens design of D4. Therefore, this distinguishing feature did not contribute to inventive step. The subject-matter of claim 1 of the second and the third auxiliary requests lacked an inventive step in view of D1 in combination with D4 for the same reasons.

T 0201/21

In T 201/21, the prior art disclosed a system for verifying authentication and ownership of a physical article. Each article included a label having a unique authentication code, pre-stored on a server database. The authentication code can be used to verify authenticity of an item by sending a query to a manufacturer's server. When a transaction takes place, the merchant registers ownership of the item by sending a registration request to the server including the article's unique code and a generated unique number. The registration only takes place if the code and number are not already associated with another sale.

Claim 1 differed from the prior art essentially in that card numbers are pre-stored in the central database and provided to the merchant on a brand property card (BPC), in that the database is populated with point of sale data upon entry of the numbered cards at a point of sale, in that a BPC card is provided to the user and its number is combined by the merchant with the unique identifier code in a registration request, and in that the registration is only possible if both the BPC card number and unique identifier code match a number and a code stored on the server and not associated with a sold physical article.

The appellant had argued that these features increased the security of the authentication method by providing a second authentication factor. In particular, it was argued that "... the combination of ... pairing [of the unique card and article numbers] in the database and the use of numbered cards that are not initially paired with particular physical items, results in ... strong authentication of physical articles". Moreover, they guarantee that the merchant has the authority to register the sold articles in the database.

The board found these arguments unconvincing. It regarded the general idea of protecting a transaction, here a registration, with a password as non-technical and also well known. The board further considered that the idea of using a predefined set of one-time passwords for user or merchant authentication also lacked technicality. Even when considered technical, this feature could not support an inventive step, as it corresponded to the well-known transaction authentication number (TAN) authentication procedure commonly used in online transactions. Making use of a server to store and verify the passwords or TAN numbers and of cards for distributing these to the merchant and customers was a straightforward implementation of this known procedure on well-known means.

The appellant had argued that the invention addressed the sales of luxury goods where customers appreciate tangible objects, such as certificates on elegant cards, and formulated the objective problem as "how to make the use of security tokens more attractive to a given population".

The board did not consider this an objective technical problem, as its formulation depended on the user's subjective preferences or expectations. From a technical point of view, the cards of claim 1 were merely a support for providing the merchant with the unique numbers to be used for the registration procedure. This was considered to be an obvious implementation possibility. Accordingly, the board concluded that claim 1 of the sole request lacked an inventive step over the prior art.

T 1439/21

In T 1439/21 the application related to an automated elderly insurance scheme. The board emphasised that for deciding whether a feature is technical or not for assessing inventive step under the EPC, it is not relevant which person makes the contribution in real life. In real life, a person skilled in financial mathematics will have some notions of technical aspects, and the computer expert working for an insurance company will have some notions of business aspects of insurance schemes.

Instead, it is relevant whether the feature provides a technical effect and thus contributes to the solution of a technical problem or not or, in other words, whether it falls into the realm of the fictitious business person or the fictitious technically skilled person.

The board also noted that the use of technical terminology did not confer technical character. The terms "components", "measurement parameters" or "triggers" may sound technical. Similarly, the "dynamic monitoring" of these parameters or triggers by means of "measurement systems" conveys the impression that physical parameters are measured by technical devices.

In the context of the application, however, these terms do not represent any technical features. For instance, the "risk exposure components" are, in the context of the application, insured persons. In a similar manner, the "measurement systems" are not technical measuring devices. Instead, they may simply be hospital entities reporting patient data to the insurer.

Thus, the terms used in the application that in a technical context would have had a technical meaning instead have, in the insurance context of the application, a non-technical meaning. Therefore, the "technical" terminology used in the application for some aspects of the insurance scheme does not lend any technical character to the respective features in substance. Instead, it only creates a misleading appearance or perception of technical character.

As a result, the board could not see any interaction between the features defining the dynamic insurance scheme and the networked computer system used to automate it. However, an interaction between these features such that a technical problem is solved would have been required in order to acknowledge a contribution to technical character by non-technical features (G 1/19).

It follows from the above that the networked computer system is the only technical feature of claim 1.

T 1865/22

In T 1865/22 the board determined that the objective technical problem was to provide an alternative stripping composition.

Considering obviousness, the board found that arbitrarily varying the concentrations of components in a composition, including changing the concentration of one component in favour or to the detriment of the other components, was routine for the skilled person. Such a measure did not involve an inventive step.

The respondent (patent proprietor) had also argued that the skilled person would not have reduced the amount of the coupling agent monoethylene glycol in example 2 of D7, because according to D7 high concentrations of the coupling agent were essential for the stripping composition to have an appropriate tolerance to water. Mainly because of this argument, the opposition division had acknowledged an inventive step based on D7 as the closest prior art.

The board stated that the mere fact that claimed subject-matter excluded a technical feature (here: the higher concentration of the coupling agent monoethylene glycol) disclosed in the closest prior art as being essential or advantageous for a technical effect (here: the advantageous effect of the higher concentration of the coupling agent monoethylene glycol on the tolerance to water) could not in itself establish the existence of an inventive step. Rather, in situations such as the present one, where the exclusion of the technical feature in question was the only feature distinguishing the claimed subject-matter from the closest prior art, it must be shown that the claimed subject-matter achieved said technical effect to an extent comparable to that of the closest prior art, even without this feature. Without such proof, the claimed subject-matter merely resulted in an obvious deterioration of the technical effect described in the closest prior art.

It followed that the subject-matter of claim 1 of the main request was not based on an inventive step over D7 alone and that the main request was not allowable.

At the oral proceedings before the board, the respondent had also submitted for the first time in the appeal proceedings that the distinguishing feature was associated with technical effects. The stripping composition (i) had a lower viscosity and, as a consequence of this, was easier to filter and (ii) caused less damage to the substrate upon incorporation of water during use. In other words, the stripping composition was more tolerant to water. The board decided not to admit these submissions (Art. 13(1) and (2) RPBA). The respondent's submissions at the oral proceedings constituted an amendment to its appeal case and there existed no exceptional circumstances in the case in hand (Art. 13(2) RPBA). The change of representative approximately three weeks before the oral proceedings does not qualify as an exceptional circumstance.

The board also noted that the respondent’s submission raised a complex issue. The application as filed did not mention anything about a reduction in viscosity or an improvement in filterability raised by the respondent in its submission. Against this background, the complex issue arose as to whether the respondent could rely on these effects at all for the assessment of inventive step (in light of G 2/21). In the board's view, this and a further complex issue also clearly spoke against the admittance of the respondent's submissions (Art. 13(1) RPBA).

Lastly, the respondent should have filed its submissions on the additional distinguishing feature "non-aqueous" and the two technical effects much earlier and not only at the oral proceedings before the board, i.e. at the latest possible stage of the appeal proceedings. Admitting these submissions would clearly have been contrary to procedural economy (Art. 13(1) RPBA).

In addition to the above, the board found that none of the auxiliary requests were allowable. The board ordered that the decision under appeal be set aside and that the patent be revoked.

T 0449/23

In T 449/23, regarding claim 1 of auxiliary request 1 (claims 1 and 2 being identical to claims 2 and 3 of the main request, after claim 1 of the main request was deleted following a finding of lack of inventive step over D5), the board came to the conclusion that the alleged effects of the distinguishing features were not credible, contrary to the arguments of the patent proprietor. Hence, any alleged effects arising from this comparison could not be taken into account in the formulation of the objective technical problem. The patent proprietor also argued that the burden of proof lay with the opponent to demonstrate that the alleged technical effects were not present. The board disagreed, stating:

(a) that the legal burden of proof was the duty of a party to persuade the deciding body of allegations of facts on which the party’s case rested. In principle, a party must prove alleged facts (assertions) from which it infers a legal consequence, i.e. which establish the basis for the party's legal claims. Thus, the allocation of the burden of proof depends on a party’s substantive case.

(b) that to discharge its legal duty of persuasion, a party must prove the alleged facts by appropriate evidence to the required standard of proof. The party with whom the legal burden of proof lies therefore bears the risk that the alleged facts remain unproven, and thus that the deciding body will decide against that party and reject its legal claims. Thus, the legal burden of proof requires the production of appropriate evidence to persuade the deciding body to the required standard.

(c) that in principle the legal burden of proof does not shift. References in the case law to a shift of burden of proof relate to the so-called evidentiary/evidential burden of proof (see for this distinction T 741/91), the notion of which relates to the state of the evidence produced in the course of proceedings. Once the party bearing the legal burden of proof has adduced sufficient evidence to support its allegations of facts to the required standard of proof, the onus is on the adverse party to rebut the asserted facts with appropriate evidence. Otherwise, the adverse party risks that the deciding body is persuaded of the existence of the facts and allows the claims. Thus, if the party having the legal burden of proof has made a "strong case" by filing convincing evidence, the onus of producing counter-evidence shifts to the adverse party. However, this does not mean that the legal burden of proof is on the adverse party to prove the non-existence or the contrary of asserted factual allegations. It is sufficient that the adverse party raises substantiated doubts that prevent the deciding body from being persuaded of the existence of the alleged facts.

(d) that in opposition and opposition-appeal proceedings, each of the parties carries the legal burden of proof for the asserted allegations of facts on which their respective substantive case rests. As regards an alleged lack of inventive step, the burden is on the opponent to adduce appropriate prior art which – when following the established substantive test, i.e. the problem-solution approach – persuades the opposition division or the board of the obviousness of the solution provided by the subject-matter claimed. On the other hand, if the patent proprietor asserts that, in comparison to the prior art, there is an advantage or effect giving rise to a more ambitious formulation of the objective technical problem than that presented by the opponent and hence to an inventive step, the burden of proving this advantage or effect to the required standard of proof is on the patent proprietor. The mere assertion in the patent specification of an advantage or effect cannot be regarded as evidence of such an assertion.

The board listed a number of decisions (T 97/00, T 355/97, T 1097/09, T 1392/04), in which the underlying circumstances were comparable, confirming these principles. The board also observed that T 1797/09 submitted by the patent proprietor remained a singular decision not followed. The subject-matter of claim 1 of auxiliary request 1 lacked inventive step.

T 1272/22

In T 1272/22 the appellant (opponent) and respondents (patent proprietors) disputed whether there was a synergistic effect between the distinguishing features, even if it were considered they served the same purpose. The board, applying Headnote II of G 2/21, could not see that the skilled person would have derived the synergistic technical effect referred to by the respondents when considering the application as originally filed. There was no explicit mention of any relationship between the two features and the position of the critical section for the efficiency of the connection, which the respondents had also relied on in its arguments in support of there being synergy, was not defined in the contested patent. The alleged synergy did not appear to the board to be derivable by the skilled person from the application as originally filed and it therefore held the partial problem approach was thus justified in the case in hand.

T 0356/22

In T 356/22 the invention sought to provide dosage forms of pomalidomide having advantageous physical and pharmaceutical properties, amongst these being stability. Starting from the pomalidomide composition of claim 22 of closest prior art D1, the differentiating feature was the presence of both mannitol and starch. The decision under appeal was that of the opposition division finding that the patent in suit met the requirements of the EPC.

The respondent (patent proprietor) effectively considered that, since there were no stable dosage forms shown in D1 which could serve as comparator, the achievement of a certain level of stability independently of any comparison with the prior art could be taken into account for the assessment of inventive step. The board did not agree; the circumstances of the case did not justify that the respondent be exonerated from their burden to properly demonstrate that the purported technical effect of the claimed invention had successfully been achieved in comparison with the prior art. That the disclosure of D1 was generic in some respects did not mean that it was speculative or insufficient, nor allowed the assumption that the formulations of D1 suffered from a lack of stability. The mere fact that D1 did not contain any prepared and tested specific formulations of pomalidomide did not change this conclusion; for the purposes of inventive step, the teaching of the prior art is not limited to prepared and tested examples.

The board confirmed that an inventive step could be acknowledged to a selection if this selection was connected to a particular technical effect, and if no hints existed leading the skilled person to the selection. This however supposed that this particular technical effect was convincingly shown for the entire selected subset of formulations by a meaningful comparison with other formulations falling within the ambit of D1.

The respondent cited several decisions to support their view that, when the prior art was unspecific, the achievement of a technical effect per se could be taken into account for the assessment of inventive step. The board firstly noted that in all the cited cases, experimental data were presented in respect of a differentiating feature (citing T 1193/18, T 2342/19, T 2200/17, T 1126/19). But more importantly, the board did not agree that D1 was unspecific; the claimed active ingredient and two excipients were explicitly recited and part of a limited number of emphasised alternatives in D1.

It had to thus be assessed whether the evidence on file convincingly demonstrated that the selection was associated with a technical effect over the pomalidomide formulations of D1, and whether this effect credibly arose over the whole claimed scope. The board did not consider that the application as filed credibly demonstrated the technical effects of improved stability or improved suitability for clinical use for the claimed selected formulations in comparison with D1.

The problem to be solved was thus seen in the provision of an alternative pomalidomide oral dosage form. Since the claimed selection was not shown to be associated with any technical effect, the board found that this selection was arbitrary and did not involve an inventive step. The board noted that considering the problem was only formulated as the provision of an alternative, the lack of preference expressed in D1 for the features selected in present claim 1 did not establish an inventive step, because the chosen alternative was not shown to be any more suitable than the others considered in D1.

T 0295/22

In T 295/22 claim 1 of "Main request A" was formulated in the "compound for use" format of Art. 54(4) and (5) EPC, wherein the utility as a medicament was further specified as the use as a medicament which is administered orally. The Guidelines G-VI, 6.1.2 – March 2024 version (see example 2: "Composition comprising X for use in therapy by topical administration") suggest with reference to T 51/93 that in a claim which only defines the mode of delivery but no specific therapeutic effect, the definition of the mode of delivery is merely illustrative and not a restrictive technical feature capable of establishing novelty. However, the board in this case held that the requirement underlying the specificity of the use within the meaning of Art. 54(5) of the EPC 2000 was according to the explicit conclusion in G 2/08 (see point 5.10.3 of the Reasons) to be construed merely by contrast to the generic broad protection conferred by the first claimed medical application of a substance or composition, and was in principle not confined to a particular medical indication.

Contrary to the suggestion in the Guidelines, the board stated that the decision in T 51/93 actually recognized without reference to any requirement regarding the definition of a specific medical condition that the definition of the mode of administration of a medicament represented a characterizing feature of a claim formulated in the so-called "Swiss-type" format as approved according to G 5/83 for defining inventions relating to new medical uses of known pharmaceuticals under the provisions of the EPC 1973 (see T 51/93, point 3.1.2 of the Reasons).

According to the board, the decision in T 51/93 further confirmed that in a claim formulated as a "Process for making X for use Y comprising the steps of..." the definition of a specific medical purpose under Y illustrated what X could be used for, but did not further characterize the claimed subject-matter under the provisions of the EPC 1973 (see T 51/93, point 2.2.2 of the Reasons). However, the format of the claim discussed in this part of T 51/93 neither corresponded to the "Swiss-type" format as approved according to G 5/83 for defining inventions relating to new medical uses nor to the format outlined in Art. 54(5) EPC 2000.

In line with the considerations in G 2/08 (see point 5.10.3 of the Reasons) the board therefore considered that the oral administration as defined in claim 1 of "Main request A" represented, in accordance with Art.54(5) EPC, a characterizing feature of the claimed subject-matter.

T 2463/22

In T 2463/22 the opposition division had held that the prior uses had not been proven beyond reasonable doubt (up to the hilt), in particular with regard to whether the products of the prior uses had actually been delivered. The parties before the board focused on which standard of proof had to be applied in view of G 2/21 and T 1138/20 and whether the applicable standard had been met. In the respondent-proprietor’s view, T 1138/20 was an isolated decision, not compatible with G 2/21.

On the required standard of proof, the present board observed that G 2/21 recognised that different concepts as to the standard of proof had been developed in the case law. According to T 1138/20 only one standard should be applied, namely "the deciding body must be convinced, taking into account the circumstances of the case and the relevant evidence before it, that the alleged fact occurred".

In the present board's view, under the principle of free evaluation of evidence, it was always decisive in the evaluation of evidence that the members of the deciding body were personally "convinced". Moreover, they had to always be convinced of whether, as stated in T 1138/20, "the alleged fact has occurred". The board stated this was true regardless of which standard of proof was applied. The standard of proof refers to the nature or degree of conviction that the members of the deciding body must have to be satisfied that an alleged fact occurred (see T 832/22).

According to the board, and with reference to a UK House of Lords decision, two important aspects had to be stressed. Firstly, that the standard of proof is related to the required degree of conviction of the members of the deciding body. Secondly, that it is not related to what is evaluated by the deciding body. Hence, also when a lower standard of proof such as the balance of probabilities is applied, the deciding body must assess whether or not the alleged fact indeed occurred. In other words, also when such a standard of proof is applied, the question is not whether the alleged fact might have occurred with some probability. The board considered G 2/21 (points 31 and 45 of the Reasons) consistent with this understanding.

The more specific question as to whether there was only a single standard of proof or more than one could be left unanswered according to the board. The board held that if the deciding body was convinced beyond reasonable doubt that an alleged fact had occurred, there was no need to decide how many standards of proof there were and which one was applicable (see T 832/22).

The board then gave some consideration to the assessment of factual allegations using the beyond reasonable doubt standard of proof. The European Patent Organisation being an independent international organisation, the board stated the standard had an autonomous meaning within this autonomous legal order. Secondly the board agreed with T 832/22 that it seemed expedient to focus on the term "reasonable".

The board then considered the prior uses, focusing especially on prior use relating to the sale of product 5 (sample of a powder mix from a specific lot number), the content of the sample and whether it was available to the public. In view of all the information (including invoices, affidavit, emails, test report, excerpt from database), which also involved evidence provided by a third party (the buyer), the board was convinced beyond reasonable doubt that product 5, with a specific lot number, was sold prior to the effective date of the patent. Since it had also been shown that product 5 disclosed all features of claim 1, lack of novelty prejudiced the maintenance of the patent as granted. Concerning the third auxiliary request, product 5 was suitable for use as closest prior art. The board referred to the reluctance sometimes in the case law to treat an object of a prior use as the closest prior art. Often, there was neither information on what the object did and what properties it had in the technical environment in which it was applied nor on how the process for its manufacture could be modified. These considerations indeed spoke against regarding a prior use as a suitable starting point for assessing inventive step. In the case in hand however, the skilled person was faced with a different situation. The board concluded that the third auxiliary request did not involve an inventive step. The decision of the opposition division was set aside and the patent revoked.

T 1612/21

In T 1612/21 hatte die Einspruchsabteilung auf Grundlage der ihr zur Verfügung stehenden Beweismittel zutreffend festgestellt, dass es deutliche Hinweise auf das Bestehen einer Geheimhaltungsverpflichtung gab – insbesondere durch die Aussage des Zeugens der Beschwerdeführerin, Herrn Trick, wonach die Beschwerdeführerin grundsätzlich eine Geheimhaltung mit ihren Kunden vereinbart.

Der von der Beschwerdeführerin selbst angebotene Zeuge, Herr Trick, hatte vor der Einspruchsabteilung zudem ausdrücklich erklärt, dass die Generation 2 der CBC-200 für den Auftrag der Daimler AG entwickelt worden war. Dazu war die Maschine verändert worden. Dies möge vorrangig die Prozessentwicklung betroffen haben, wie es die Beschwerdeführerin vortrug, dies führte jedoch laut der Aussage des Zeugens auch zu Veränderungen an der Maschine. Es handelte sich bei der an die Daimler AG gelieferten Anlage CBC-200 also nicht von Anfang an um eine Standardmaschine der Beschwerdeführerin, sondern diese war das Ergebnis der Kooperation mit der Daimler AG.

Vor diesem Hintergrund ließ die Aussage des Zeugens, dass grundsätzlich eine Geheimhaltung mit den Kunden bestand, ob schriftlich oder üblicherweise in mündlicher Form zu den Verfahrensparametern, wie es die Beschwerdeführerin angab, ausreichend Zweifel an der Behauptung der Beschwerdeführerin entstehen, dass die Lieferung der Anlage CBC-200 nicht einer Geheimhaltungsvereinbarung unterlag, so dass sich die Beweislast zur Existenz der Geheimhaltungsverpflichtung auf die Beschwerdeführerin verlagerte.

Vor diesem Hintergrund waren die von der Beschwerdeführerin angeführten Entscheidungen T 2210/12 und T 2273/11 für den gegebenen Fall nicht einschlägig, da diese jeweils Sachverhalte betrafen, in dem sich keinerlei Anhalt für eine Geheimhaltungsverpflichtung bot, bzw. eine solche explizit verneint wurde. Die Beschwerdeführerin war hingegen an der geltend gemachten Vorbenutzung als Verkäuferin beteiligt. Folglich lagen praktisch alle Beweismittel zu der Offenkundigkeit in ihrer Verfügungsmacht und ihrem Wissen. Es oblag auch deshalb im gegebenen Fall der Beschwerdeführerin, die durch ihren eigenen Zeugen aufgebrachten Zweifel an der Offenkundigkeit der Vorbenutzung in überzeugender Weise auszuräumen.

Da aber auch die weiteren im Verfahren befindlichen Beweismittel nicht geeignet waren, diese Zweifel auszuräumen, sondern im Gegenteil zu der Geschäftspraxis schwiegen und insbesondere der von der Beschwerdeführerin selbst angebotene Zeugenbeweis die Existenz einer Geheimhaltungsverpflichtung als geschäftsüblich nahelegte, schließ sich die Kammer der Feststellung der Einspruchsabteilung an, dass die geltend gemachte Vorbenutzung CDC-200 nicht offenkundig war und somit nicht dem Stand der Technik zugerechnet werden konnte.

T 0733/23

In T 733/23 the opposition division had concluded that there had been insufficient evidence to prove that the data sheets D2, D4, and D7 to D9 had been made available to the public before the filing date. Rather than concluding that, as a result of the data sheets not being considered state of the art under Art. 54 EPC, the subject-matter of the claims was novel, the opposition division decided not to admit them into the opposition proceedings. The board concluded that not admitting these data sheets, filed in due time, constituted a substantial procedural violation (see details as from point 4 of the Reasons including discussion on D19, an affidavit).

The board, in support of its decision, presented some key considerations on public availability of advertising brochures and data sheets, as well as the standard of proof to be applied. The board stated that when a document was clearly intended to be publicly distributed, as was the case with advertising or commercial brochures, the absence of a specific publication or distribution date, a situation quite common in this type of document, was not in itself sufficient to conclude that the document did not constitute prior art. As with any other type of evidence, the key question was not whether the exact date of publication could be determined, but whether it could be established that the relevant subject-matter was made available to the public before the priority or filing date.

Data sheets often represent an intermediate case between internal documents and advertising brochures. Where no publication date is present, the board held it should first be assessed whether the document was intended for public distribution. If so, additional sources must be examined to establish whether the relevant subject-matter was publicly accessible before the patent’s filing or priority date. Here, the opposition division had failed to provide a reasoned decision on public availability, giving no weight to the dates printed on their front pages.

As to the standard of proof, the present board concurred with the position in T 1138/20 that there is only one standard of proof: the deciding body must be convinced, based on the underlying circumstances.

According to the present board, this did not imply that all cases were to be treated identically, as in practice the degree of proof required to establish credibility (i.e. to persuade the board) might vary depending on the specific circumstances. In other words, it was not the standard of proof that adjusted with the circumstances, but rather the credibility of the arguments made by the different parties. For example, when the evidence was exclusively controlled by one party, any gaps in the relevant information might significantly undermine that party's credibility. Conversely, when the information was equally accessible to both parties but only one party submitted evidence, merely raising doubts might not be sufficient to challenge the credibility.

In the present case, the conclusions of the opposition division suggested that the standard of proof "up-to-the-hilt" was applied to determine the public availability of the data sheets. Even if the board agreed that different standards should be applied, this would not be justified in the case in hand, as the relevant information to prove the public availability of the data sheets was not within the exclusive sphere of the appellant (opponent). In this instance, the relevant information would more likely be within the sphere of the patentee. Therefore, there was no basis for applying the strict standard of "up-to-the-hilt" or for questioning the credibility of the appellant (opponent) solely on the grounds that some information was missing.

The patentee argued that, when in doubt, the patent should be upheld. The board disagreed. Fact-finding boiled down to a binary exercise: either something had been proven, or it had not. In addition, there was no presumption of patent validity in proceedings meant to re-assess the validity of this very patent.

T 1249/22

In T 1249/22 the application related to the development – including the training – of an analytical model (e.g. a machine learning model) and the deployment of the trained analytical model on a "compute engine" so as to process live incoming data. The examining division found that the independent claims of the main request lacked an inventive step in view of common general knowledge evidenced by D5.

D5 was a book comprising a collection of individual papers on grid computing, all from different groups of authors, referred to as "chapters" by the editors of the book. The appellant argued that D5 was not evidence of common general knowledge and that each of the chapters of D5 represented a separate piece of prior art; the examining division combined several distinct elements from these chapters without providing any reasoning. The board agreed with the appellant that each of the "chapters" represented a separate piece of prior art, as they appeared to be self-contained papers which did not build on each other, unlike chapters of a textbook. Definitions given in one of these papers did not necessarily apply to the others. D5 rather resembled a conference proceedings volume including a collection of separate papers on a common topic. The mere fact that the papers were published in the same book with a single ISBN did not imply that the whole content of the book formed a single piece of prior art.

As to whether D5, or its individual chapters, were generally suitable as evidence for common general knowledge, the board noted that an allegation that a teaching was common general knowledge might be supported by specific evidence. The deciding body evaluates such evidence by applying the principle of free evaluation of evidence on a case-by-case basis (G 2/21). The board explained that while it might be relevant that the cited evidence was a "book" or a "textbook", this could not, on its own, be decisive, as no firm rules dictate which types of evidence are convincing.

The board further observed that information often appears in a textbook because it was common general knowledge when the book was drafted. However, this did not mean that all textbook content necessarily was common general knowledge or became so upon publication. In the decision under appeal, the examining division referred to Part G, Chapter VII, 3.1 of the Guidelines, in which it was stated that "[i]nformation does not become common general knowledge because it has been published in a particular textbook, reference work, etc.; on the contrary, it appears in books of this kind because it is already common general knowledge (see T 766/91). This means that the information in such a publication must have already become part of common general knowledge some time before the date of publication". The board noted however, that the cited decision T 766/91 only described what is "normally" accepted and what is "usually" the case. In a statement according to Art. 20(2) RPBA, the board explained that the Guidelines had lost this nuance when saying "must" in the passage cited above.

Regarding the examining division's reliance on chapters of D5 as evidence of alleged common general knowledge, the board considered the examining division's reasoning to be insufficient regarding what alleged common general knowledge it was relying on (R. 111(2) EPC). For instance, the examining division referred merely to the "known paradigm of message-based grid computing" without indicating which features of this paradigm were considered to be common general knowledge, despite appearing to rely on more than the knowledge of the existence of that paradigm when considering that all the features relating to the processing pipeline "form part of the common general knowledge of the skilled person".

Thus, the board concluded that the first-instance decision was not sufficiently reasoned within the meaning of R. 111(2) EPC. The case was remitted to the examining division for further prosecution under Art. 111(1), second sentence, EPC and Art. 11 RPBA and the appeal fee was reimbursed under R. 103(1)(a) EPC.

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