BAILII is celebrating 24 years of free online access to the law! Would you consider making a contribution?
No donation is too small. If every visitor before 31 December gives just £1, it will have a significant impact on BAILII's ability to continue providing free access to the law.
Thank you very much for your support!
[Home] [Databases] [World Law] [Multidatabase Search] [Help] [Feedback] | ||
England and Wales High Court (Chancery Division) Decisions |
||
You are here: BAILII >> Databases >> England and Wales High Court (Chancery Division) Decisions >> Jaguar Land Rover Ltd v Bombardier Recreational Products Inc [2016] EWHC B37 (Ch) (08 November 2016) URL: http://www.bailii.org/ew/cases/EWHC/Ch/2016/B37.html Cite as: [2016] EWHC B37 (Ch), [2016] EWHC 3266 (Ch), [2017] FSR 20 |
[New search] [Printable RTF version] [Help]
CHANCERY DIVISION
INTELLECTUAL PROPERTY
SHORTER TRIALS SCHEME
The Rolls Building 7 Rolls Buildings Fetter Lane London EC4A 1NL |
||
B e f o r e :
____________________
JAGUAR LAND ROVER LIMITED |
Claimant |
|
- and - |
||
BOMBARDIER RECREATIONAL PRODUCTS INC. |
Defendant |
____________________
MR. TOM ALKIN (instructed by Bristows LLP) for the Defendant
____________________
Crown Copyright ©
MR. JUSTICE NUGEE:
"Motor land vehicles and parts and fittings therefor; all included in class 12"
and an EU trade mark, number EU 13 315 833, filed in October 2014 for various goods and services in classes 12, 28 and 37, including, in class 12:
"Land vehicles; motor vehicles; motor land vehicles".
"... capable of 'work horse' agricultural and estate applications such as towing and carrying".
It is not road legal, nor designed for on road use. This vehicle is marketed under the name "Defender" as shown, for example, by a screenshot of a website "Introducing the All New Defender". It has recently been introduced into the UK and European markets.
"... entitled to prevent all third parties not having his consent from using in the course of trade, in relation to goods or services, any sign where:
(a) the sign is identical with the EU trade mark and is used in relation to goods or services which are identical with those for which the EU trade mark is registered".
"A person infringes a registered trade mark if he uses in the course of trade a sign which is identical with the trade mark in relation to goods or services which are identical with those for which it is registered".
This is for obvious reasons known as a "double identity" claim.
I need not refer to the latter two claims in any detail as the argument was focused on the first head of claim.
"Save that the Registered Trade Marks [which is a reference to both the EU and UK marks] ... are and have at all material times been valid and/or liable to revocation for the reasons set out in the Counterclaim, Paragraph 5 of the Particulars of Claim is admitted [paragraph 5 being the pleading that the claimant is the owner of the marks]".
"27. The Claimant has, on its own case, used the term
'DEFENDER' since about 1990 in relation to a single car product whose essential features have remained the same since 1948 (although that production of that car was in fact discontinued in early 2016).
28. The Claimant has not used the term 'DEFENDER' in relation to any other land vehicle, motor vehicles, motor land vehicle or in relation to any parts or fitting for any other motor land vehicle.
29. At the date each Registered Trade Mark was filed, the Defendant infers that the Claimant did not have any intention to use the term 'DEFENDER' in relation to any other land vehicle, motor vehicle, motor land vehicle or in relation to any parts or fittings for any other motor land vehicle; alternatively, any other type of land vehicle, motor vehicle, motor land vehicle or in relation to any parts or fittings for any other type of motor land vehicle.
30. In the premises, save in respect of that part of its specification which is supported by the use described in paragraph 27 above, UK 593 (as that term is defined in paragraph 5(1) of the Particulars of Claim) is liable to be revoked for non-use from the date five years after the completion of its registration.
31. In the further premises, save in respect of that part of its specification which is supported by the Claimant's intended use of the term 'DEFENDER' as described in paragraph 28 above, each Registered Trade Mark is invalid on the ground that the application for it was made in bad faith."
(1) to revoke the United Kingdom trade mark to the extent set out above.
(2) for a declaration that the United Kingdom trade mark is invalid to the extent set out above;
and (3) for a declaration that [it says the United Kingdom trade mark but it means the EU mark] is invalid to the extent set out above.
In argument Mr. Alkin, who appeared for the defendant, accepted that unless he can succeed in that defence there is no other defence to the double identity claim under Article 9(2)(a)/section 10(1) of the Act.
"(1) The registration of a trade mark may be revoked on any of the following grounds—
(a) that within the period of five years following the date of completion of the registration procedure it has not been put to genuine use in the United Kingdom, by the proprietor or with his consent, in relation to the goods or services for which it is registered, and there are no proper reasons for non-use".
"Where grounds for revocation exist in respect of only some of the goods or services for which the trade mark is registered, revocation shall relate to those goods or services only".
"The registration of a trade mark may be declared invalid on the ground that the trade mark was registered in breach of section 3…"
That has to be read with section 3(6) that provides:
"A trade mark shall not be registered if or to the extent that the application is made in bad faith".
It also has to be read with section 47(5) which provides:
"Where the grounds of invalidity exist in respect of only some of the goods or services for which the trade mark is registered, the trade mark shall be declared invalid as regards those goods or services only".
"1. An EU trade mark shall be declared invalid on application to the Office or on the basis of a counterclaim in infringement proceedings: ...
(b) where the applicant was acting in bad faith when he filed the application for the trade mark ...
3. Where the ground for invalidity exists in respect of only some of the goods or services for which the EU trade mark is registered, the trade mark shall be declared invalid as regards those goods or services only".
"(3) The application shall state that the trade mark is being used, by the applicant or with his consent, in relation to those goods or services, or that he has a bona fide intention that it should be so used".
There is no equivalent provision in the Regulation for EU trade marks.
"In the present case the objection under section 3(6) related to the applicant's breach of a statutory requirement. Section 32(3) of the Act required him to be a person who could truthfully claim to have a bona fide intention that DEMON ALE should be used (by him or with his consent) as a trade mark for beer. His application for registration included a claim to that effect. However he had no such intention and could not truthfully claim that he did. That was enough, in my view, to justify rejection of his application under section 3(6)".
"The Defendant infers that the Claimant did not have any intention to use the term 'DEFENDER' in relation to any other land vehicle, motor vehicle, motor land vehicles ...",
save for the ones that it has in fact used it for, a single car product whose essential features have remained the same since 1948. That is the factual basis for the plea that the registered trade mark is invalid on the grounds that the application for it was made in bad faith.
"Is there a requirement of intention to use under the Regulation?
158. As the law presently stands, it appears that there is no requirement under the Regulation that an applicant for registration of a Community Trade Mark must intend to use the mark. Accordingly, a lack of intention to use does not, at least without more, constitute bad faith: see Trillium and Psytech. As Jacob J observed in LA MER, however, it is open to question whether this is correct. Indeed, it would seem arguable that the reasoning of the CJEU in Lindt v Hauswirth at [44]-[45] is applicable: where the applicant has no intention to use the mark, the mark cannot fulfil its essential function of indicating the origin of the applicant's goods or services. Although the CJEU said that there would be bad faith if, in addition to lacking any intention to use the mark himself, the applicant's sole objective was to prevent a third party from entering the market, the purpose of any trade mark registration is to prevent third parties from using the trade mark. Furthermore, it is arguable that this is supported by what the CJEU said in Internetportal v Schlicht at [45]-[48]. Thus the decision of the General Court in Peeters appears to recognise that it may be bad faith to apply to register a trade mark in respect of goods or services which are not 'commercially logical' for the applicant. This is not an issue which arises in the present case".
"(8) The request is unfounded because, under European trade mark law, there was no 'intention to use' requirement, and thus the United Kingdom and CTM systems are different. Under UK law an application for registration of a trade mark is required to contain a statement to the effect that the mark is being used by the applicant, or with his consent, in relation to the relevant goods or services, or that he has a bona fide intention to so use the mark. Any registration applied for without such bona fide intention would be regarded, under Sections 32(3) and 3(6) of the UK Trade Marks Act 1994, as having been applied for in bad faith. In comparison with the CTM system, the UK 1994 Act differs completely because the use in commerce is not a prerequisite for a CTM registration. In general, and as a matter of principle, it is entirely left to the applicant to file a list of goods and services as long as he sees fit, i.e. a list exceeding his actual scope of business activity, and try later to expand his activities in order to be able to show genuine use of his CTM or face revocation under Article 50(1)(a) CTMR and other sanctions, respectively. It is exactly this 'liberal' concept which underlies Articles 15 and 50 CTMR because otherwise a grace period of five years would make little sense, if any.
(9) There may be cases where an applicant files a list of goods and services where all or part of it does not have the slightest connection with his actual economic activity, and where it might even appear unimaginable that said applicant would ever be able to expand. If in such case the holder of the CTM immediately took action based on 'remote' goods and services, against third parties, it might be worth considering Article 51(1)(b) CTMR. But this can be left undecided because it is not the case in the present proceedings before us. The CTM is registered, in class 9, for computer software, and the actual activities of the proprietor relate to software".
"First, according to the applicant, the bad faith is due to the fact that the number of goods and services in respect of which the intervener applied for and obtained registration is too large and that the intervener had no intention of using the mark at issue for the entire list of goods and services for the application for registration".
"In the present case it must be pointed out, first, that neither Regulation 40/94 nor the case law provides a basis which enables the Court to find that there is bad faith in view of the size of the list of goods and services in the application for registration, with the result that the argument must be rejected".
"In any event, an examination of the goods and services in respect of which the intervener applied for and obtained registration shows that they are precisely the kind of goods and services which it provides in the context of its commercial activities".
But it seems clear to me from the way in which they express themselves that that is not the ground of the decision in [88] which appears to be a decision in principle, that the law does not provide a basis to find that the size of the list of goods and services amounts to bad faith.
"Whether the applicant is acting in bad faith, within the meaning of art.51(1)(b) of Regulation No.40/94, must be the subject of an overall assessment, taking into account all the factors relevant to the relevant case".
At [41] they said:
"41. Consequently, in order to determine whether there was bad faith, consideration must also be given to the applicant's intention at the time when he files the application for registration.
42. It must be observed in that regard that, as the Advocate-General states in point 58 of her Opinion, the applicant's intention at the relevant time is a subjective factor which must be determined by reference to the objective circumstances of the particular case.
43. Accordingly, the intention to prevent a third party from marketing a product may, in certain circumstances, be an element of bad faith on the part of the applicant.
44. That is in particular the case when it becomes apparent, subsequently, that the applicant applied for registration of a sign as a Community trade mark without intending to use it, his sole objective being to prevent a third party from entering the market.
45. In such a case the mark does not fulfil its essential function, namely that of ensuring that the consumer or end user can identify the origin of the product or service concerned by allowing him to distinguish that product from those of different origin, without any confusion (see, inter alia, Joined Cases, Henkel v OHIM (C-456/01 P & C-457/01 P) [2004] ECR I-5089 at [48]".
"The issue of whether an applicant is acting in bad faith [which also applied in the domain name Regulation] must be the subject of an overall assessment, taking into account all the factors relevant to the particular case (see by way of analogy, Case C-529/07 Chocoladefabriken Lindt & Sprungli [2009] ECR I0000, paragraph 37)".
"The fact of applying for registration of a mark without the intention of using it as such but the sole purpose of subsequently registering, on the basis of the right to that mark, a.eu top level domain name during the first part of the phased registration provided for in Regulation No 874/2004 may, under certain circumstances, indicate conduct in bad faith within the meaning of Article 21(1)(b) of that regulation.
47. In the present instance, it is apparent from the order for reference that, although the appellant registered the word mark & R & E & I & F & E & N & in Sweden for safety belts, it actually intended to operate an internet portal for trading in tyres, which it intended to register.
48. Consequently, according to the national court's findings, and as the appellant in the main proceedings itself admits, the latter had no intention of using the mark which had first thus registered for the goods covered by that registration".
"In essence, the applicant alleges that the intervener was acting in bad faith at the time of filing the application for registration of the mark at issue. The intervener's sole objective in making that application was to prevent the applicant from continuing to market agricultural goods under the mark BIGA - despite the fact that the applicant had an earlier right over that mark".
Then after reference to Lindt, they said this at [24]:
"24. Moreover, it cannot be claimed that the intervener registered the mark at issue with no intention of using it and with the sole objective of preventing a third party from entering the market, since the goods have been marketed under that mark in a great many areas of the European Union since that date of registration.
25. In that connection it should be noted that, as a rule, it is legitimate for an undertaking to seek registration of a mark, not only for the categories of goods and services which it markets at the time of filing the application, but also for other categories of goods and services which it intends to market in the future.
26. In the present case, it has not been shown in any way that in so far as the application for registration of the mark at issue concerned the goods in Class 7 - in particular, cranes - it was artificial and not commercially logical for the intervener. That is all the more so because it is not disputed that the goods in that class were marketed by the intervener, even if under another mark. Accordingly, the mere fact that the application covered goods in Class 7, to which the goods marketed by the applicant belong, does not demonstrate that the application was motivated solely by the intervener's intention of preventing the applicant from continuing to use the mark BIGA.
"There is no justification for protecting EU trade marks or, as against them, any trade mark which has been registered before them, except where the trade marks are actually used".
"The Division says that in general, and as a matter of principle, 'it is entirely left to the applicant to file a list of goods and services as long as he sees fit'".
Then he refers to them pointing out that:
"... there may be cases where an applicant files a list of goods and services which 'does not have the slightest connection with his actual economic activity'".
He adds this:
"I have some difficulty with this approach. What does 'not have the slightest connection with his actual economic activity' mean?"
Then having referred to the subjective nature of bad faith, he says at 31:
"This may be thought to be anomalous when one is considering the intended and actual use of the mark and a suitable specification of goods. In my judgment, the validity of registrations should not, in this context, depend upon subjective considerations. In my judgment, the underlying objection might well be thought to be far closer to the idea that the proprietor should lose his registration to the extent to which a reasonable person in his position would know that the specification of goods as applied for was too wide".
Then having said that it was desirable for there to be consistency between the UK and OHIM, he said at [35]:
"If this view is right, it is improbable (but not impossible) that a decision as to the width of a specification of goods would lack good faith".
"... it seems fairly plain that the registration is vulnerable to an attack as one made in bad faith (section 3(6) of the UK Act implementing Article 3(2)(d) of the Directive). There is no such requirement in the case of Community Trade Mark Applications (see the requirements for the content of the application in rule 1 of the Implementing Regulation 2868/95). An applicant for a CTM does not expressly have to say he uses or intends to use the mark applied for. So, unless the mere making of an application is taken as an implicit statement of an intention to use, then a bad faith attack based on any lack of intention to use (under Article 51(1)(b) of regulation 40/94) may fail. The First Cancellation Division of OHIM so held in Trillium Trade Mark (Case C000053447/1, March 28, 2000). The decision is not particularly satisfactory (see the criticisms in Kerly's Law of Trade Marks and Trade Names (13th ed.) at para. 7-230). If it is right, however, there is simply no deterrent to applicants seeking very wide specifications of goods or services for CTMs - with all the greater potential for conflict that may give rise to. I understand that in practice OHIM are quite content to permit such very wide specifications - indeed often all the goods or services within a class are asked for and granted. The Trillium point will undoubtedly come up again - for it seems bizarre to allow a man to register a mark when he has no intention whatever of using it. Why should have one to wait until five years from the date of registration before anything can be done? Whatever the width of the 'umbra' of the specification, it should also be remembered that the holder's rights to stop infringement or prevent registration of a later similar mark extend to the 'penumbra' of 'similar goods' (section 10(2) of the UK Act, Article 5(1)(b) of the Directive and Article 9(1)(b) of the Regulation). A wide umbra means there is an even wider penumbra. Other traders with a similar mark may not go into either the umbra or penumbra, whether by use or registration".
He did however go on to say at [20]:
"Thus it is that the jurisdiction to remove for non-use is very important. It may be the only way of dealing with covetous specifications, albeit it can only come into play after five years from the date of registration".
"For the purposes of all legal proceedings any question as to the meaning or effect of any of the Treaties, or as to the validity, meaning or effect of any EU instrument, shall be treated as a question of law (and, if not referred to the European Court, be for determination as such in accordance with the principles laid down by and any relevant decision of the European Court)".
Schedule 1 to that Act defines the European Court as meaning the Court of Justice of the European Union. Article 19(1) of the Treaty on European Union provides:
"The Court of Justice of the European Union shall include the Court of Justice, the General Court and specialised courts. It shall ensure that in the interpretation and application of the Treaties the law is observed.
Member States shall provide remedies sufficient to ensure effective legal protection in the fields covered by Union law".
It follows from that, and I accept that this is the position, that decisions of the General Court are binding on UK courts, including me.
"Bad faith is a narrow legal concept in the CTMR system. Bad faith is the opposite of good faith, generally implying or involving, but not limited to, actual or constructive fraud, or a design to mislead or deceive another, or any other sinister motive. Conceptually, bad faith can be understood as a 'dishonest intention'. This means that bad faith may be interpreted as unfair practices involving lack of any honest intention on the part of the applicant of the CTM at the time of filing".
"It seems to me clear that, in normal usage, the concept of bad faith implies a subjective mental state of a general nature."
At [58], she said:
"In both its written and its oral submissions, the commission has suggested that, while the applicant's intention is a central element in determining bad faith, that subjective intention should be determined by reference to the objective circumstances of the case. I agree that - other than in the perhaps unlikely case of an admission of bad faith on the part of a trade mark proprietor - the presence or absence of bad faith must normally be inferred from all the relevant objective circumstances".
It is that passage in [58] which was approved by the Court. Then in [60], under the heading "Conclusion on the nature of bad faith" she said this:
"I thus reach the view that the concept of bad faith on the part of the trade mark applicant within the meaning of the Community legislation:
(i) cannot be confined to a limited category of specific circumstances such as the existence of a particular kind of prior right, a lack of intention to use the mark or actual or constructive knowledge of the existing use of a similar mark; and
(ii) relates to a subjective motivation on the part of a trade mark applicant - a dishonest intention or other 'sinister motive' - which will none the less normally be established by reference to objective criteria (of which circumstances such as those listed under (i) may well form part); it involves conduct which departs from accepted principles of ethical behaviour or honest commercial and business practices, which can be identified by assessing the objective facts of each case against such standards".
"Bad faith includes not only dishonesty, but also 'some dealings which fall short of the standards of acceptable commercial behaviour observed by reasonable and experienced men in the particular area being examined."
"An allegation that a trade mark has been applied for in bad faith is a serious allegation. It is an allegation of a form of commercial fraud. A plea of fraud should not lightly be made (see Lord Denning M.R. in Associated Leisure v Associated Newspapers [1970] QB 450 at 456) and if made should be distinctly alleged and distinctly proved. It is not permissible to leave fraud to be inferred from the facts (see Davy v Garrett (1878) 7 ChD 473 at 489). In my judgment precisely the same considerations apply to an allegation of bad faith made under section 3(6). It should not be made unless it can be fully and properly pleaded and should not be upheld unless it is distinctly proved and this will rarely be possible by a process of inference".
That seems to me to be equally applicable to an allegation of bad faith under the EU Regulation.
"The task of the court is to arrive, in the end, at a fair specification and this in turn involves ascertaining how the average consumer would describe the goods or services in relation to which the mark has been used, and considering the purpose and intended use of those goods or services".
"So here, in circumstances where it must have been within the contemplation of the Claimant that the UK trade mark was over-broad in the light of the non-use provisions, to come along and say, 'That is okay. I can fix that by just filing an EU mark with a very broad specification', rather than saying, 'What I should probably do is file my EU mark with a narrower specification in respect of which I can establish use', that is a particular fact in this case which is absent in the other cases that we have looked at and which I rely on as part of the broad assessment of the facts."
Page 39 of the brochure shows some of the Professional Vehicles referred to and, again, many of those could not fairly be called "cars". They include vehicles such as the 130 Quadtech 4 and the 110 Hydraulic Platform, which by no stretch of the imagination would be regarded as "cars". A similar exercise can be done in the 2013 brochure.
I therefore reject as unarguable the suggestion that a fair specification for the claimant's vehicles would have been "cars". That means that the defendant is seeking to allege that the claimant has acted in bad faith in effect by applying for too broad a specification, but has not successfully identified any narrower specification which the claimant should have applied for instead, the only suggestion being one which seems to be manifestly unsustainable. Given the serious nature of an allegation of bad faith, and the obligation to plead such an allegation fully and properly, that seems to me by itself a reason for concluding that the defendant has not shown that there is any real prospect of success on the point. I am conscious that under Part 24 the ultimate onus is on the applicant (in this case the claimant) to show that the defendant has no real prospect of success, but in practice the defendant has to point to something which is fit for trial.