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ESTTA Tracking number: ESTTA824817
Filing date: 06/05/2017
IN THE UNITED STATES PATENT AND TRADEMARK OFFICE
BEFORE THE TRADEMARK TRIAL AND APPEAL BOARD
Proceeding 91211392
Party Defendant
Hallmark Industries, Inc.
Correspondence ERIK M PELTON
Address ERIK M PELTON & ASSOCIATES PLLC
111 PARK PLACE
FALLS CHURCH, VA 22046
UNITED STATES
uspto@tm4smallbiz.com
Submission Other Motions/Papers
Filer's Name Erik M. Pelton
Filer's e-mail uspto@tm4smallbiz.com
Signature /ErikMPelton/
Date 06/05/2017
Attachments 2017-06-05 HALLMARK INDUSTRIES INC - Motion FINAL.pdf(89341 bytes )
EX A and B.pdf(3349139 bytes )
EX C and D.pdf(450223 bytes )
I N TH E UN I TED STATES PATEN T AN D TRAD EM ARK OFFI CE
BEFORE TH E TRAD EM ARK TRI AL AN D APPEAL BOARD
Opposer, 9 1 2 1 1 3 9 2 ( PAREN T)
v.
91215884
Hallm ark I ndust r ies, I nc.,
Applicant .
Reconsiderat ion & Mot ion for Relief From Judgm ent . The j udgm ent at issue is t he
Boards May 3, 2017, grant ing of Pet it ioners Mot ion for Sum m ary Judgm ent . 50
TTABVUE. The Request for Reconsiderat ion is m ade pursuant t o 37 CFR 2.129( c)
and TBMP 543. The Mot ion for Relief from Judgm ent is m ade pursuant t o Fed. R.
To begin, Applicant acknowledges t hat grant ing such m ot ions are rare, and
t hat t hey are grant ed only when t he circum st ances at hand are except ional.
Applicant files t his m ot ion because t he circum st ances here are indeed except ional,
and t he int erest s of j ust ice j ust ify a re- br iefing of t he Mot ion for Sum m ary
The except ional circum st ances here relat e prim ar ily t o t he pr ior counsel of
response t o t he Mot ion for Sum m ary Judgm ent and since March of 2015. See
The circum st ances are except ional because ( A) Applicant s pr ior counsel
Mat t hew Swyers was under invest igat ion by t he USPTOs Office of Enrollm ent and
Discipline ( OED ) and, j ust days aft er filing t he Response t o t he Mot ion for
Sum m ary Judgm ent , signed an Affidavit for Consent Exclusion pursuant t o 37
C.F.R. 11.27 barr ing him from pract icing before t he USPTO for at least five ( 5)
responding t o t he Mot ion for Sum m ar y Judgm ent . See Final Order issued by t he
Direct or of t he U.S. Pat ent and Tradem ark Office, Proceeding No. D2016 - 20,
at t ached heret o as Exhibit A. 2 The Not ice of Exclusion on Consent was also
Mot ion for Sum m ary Judgm ent in t his m at t er on Novem ber 30, 2016, signed an
oversight s, rule violat ions and et hical violat ions in represent ing client s while
pract icing before t he USPTO. The det ails of t hese allegat ions are cont ained in
2
The Board could also t ake j udicial not ice of t he docum ent s from t he proceedings
against Mr. Swyers pursuant t o TBMP 704.12 since t hey are ( a) USPTO or court
records, ( b) public, and ( c) were not available t o Applicant at t he t im e of it s last
filing w it h t he Board.
91211392: Request for Reconsiderat ion & Mot ion for Relief from Judgm ent p. 2
I n Decem ber 2016, at t he t im e of t he filing of Mr. Swyers response t o t he
MSJ and his m ot ion t o wit hdraw in t his proceeding, it appears t hat Mr. Swyers was
consent exclusion or any ot her difficult ies. Rat her, counsel st at ed:
Counsel is no longer receiving direct ives from Applicant as t o lit igat ion
decisions, st rat egy, and t he like required t o cont inue it s represent at ion in t his
m at t er. Despit e num erous at t em pt s t o com m unicat e w it h t he Applicant ,
counsel cert ifies t hat Applicant has denied counsel for t he Applicant t he
cont inued aut hor it y t o proceed in his represent at ive capacit y in t his m at t er.
As such, Counsel for Applicant s abilit y t o r epresent Applicant has been
com prom ised t o t he ext ent t hat he can no longer effect ively repr esent
Applicant .
As a result of t he foregoing circum st ances which are ext rem ely except ion al
and which prej udiced Applicant s abilit y t o r eceive a fair hear ing on t he m erit s in
t his m at t er, Applicant hereby request s t hat t he Board grant t he r equest for
reconsiderat ion or relief from j udgm ent and allow Applicant t o re- brief t he m ot ion
3
Mr. Sw yers m ay have been counsel for dozens upon dozens of applicant s in int er part es or
ex part e m at t ers before t he TTAB in Nov em ber and Decem ber of 2016 when t he k ey event s,
nam ely t he m ot ion for sum m ary j udgm ent and t he conclusion of t he OED invest igat ion,
were t aking place. How ev er, searching such cases in TTABVUE is not possible because if Mr.
Swyers filed t o wit hdraw he w ould no longer be list ed as counsel and t here is no m echanism
t o search for cases where he used t o be counsel.
91211392: Request for Reconsiderat ion & Mot ion for Relief from Judgm ent p. 3
On m ot ion a n d j u st t e r m s, t h e cour t m ay r e lie ve a pa r t y or it s le ga l
r e pr ese nt a t ive fr om a fin a l j u dgm e n t , or de r , or pr oce e din g for t h e
follow in g r e a son s:
( 1) m ist ake, inadvert ence, surprise, or excusable neglect ;
( 2) newly discovered evidence t hat , w it h reasonable diligence, could not have
been discovered in t im e t o m ove for a new t r ial under Rule 59( b) ;
( 3) fraud ( whet her previously called int r insic or ext rinsic) , m isrepresent at ion,
or m isconduct by an opposing part y;
( 4) t he j udgm ent is void;
( 5) t he j udgm ent has been sat isfied, released, or discharged; it is based on
an earlier j udgm ent t hat has been reversed or vacat ed; or applying it
prospect ively is no longer equit able; or
( 6 ) a n y ot h er r e a son t h a t j u st ifie s r e lief .
m odificat ion under 37 CFR 2.129( c) is t hat , based on t he evidence of record and
t he prevailing aut hor it ies, t he Board erred in reaching t he decision it issued. The
request m ay not be used t o int roduce addit ional evidence, nor should it be devot ed
sim ply t o a reargum ent of t he point s present ed in t he request ing part ys br ief on
t he case. Rat her, t he request norm ally should be lim it ed t o a dem onst rat ion t hat ,
from grant ing a m ot ion for reconsiderat ion in ext raordinary circum st ances when t he
PROCEDURAL H I STORY
This Mot ion com es before t he Board aft er t he grant ing of Opposers Mot ion
for Sum m ary Judgm ent for t he consolidat ed proceedings Nos. 91211392 ( parent )
91211392: Request for Reconsiderat ion & Mot ion for Relief from Judgm ent p. 4
and 91215884 on May 3, 2017. 50 TTABVUE. The procedural hist ory of t his m at t er
These proceedings began when Opposer served t he Not ice of Opposit ion on
pending disposit ion of a civil act ion in t he U.S. Dist r ict Court for t he West ern
March 5, 2014, t he Board grant ed Applicant s counsels Mot ion t o Wit hdraw, 12
TTABVUE. Applicant subsequent ly appoint ed Mat t hew H. Swyers of The Tradem ark
I n No. 91215884, Opposer served t he Not ice of Opposit ion on April 14, 2014,
91215884 on May 16, 2014, appoint ing Mr. Swyers as counsel. No. 91215884, 4
TTABVUE.
On Sept em ber 24, 2014, Opposer not ified t he Board t hat t he civil act ion had
TTABVUE. Follow ing a var iet y of ot her procedural filings including re- appoint m ent of
Mr. Swyers as counsel and t he grant ing of Opposers m ot ion t o com pel, Opposer
m oved for sum m ary j udgm ent on Oct ober 26, 2016. 42 TTABVUE. Applicant served
served it s Reply on Decem ber 15, 2016. 45 TTABVUE. The next day, Decem ber 16,
91211392: Request for Reconsiderat ion & Mot ion for Relief from Judgm ent p. 5
On Decem ber 20, 2016, Mr. Swyers subm it t ed an Affidavit For Consent
37 C.F.R. 11.27, and was subsequent ly excluded from USPTO pract ice for no less
t han five years by t he Direct or on January 26, 2017. I n re Mat t hew H. Swyers, No.
I n t he Decem ber 20, 2016, t welve- page Affidavit For Consent Exclusion 4 , Mr.
Swyers acknowledged t he violat ion of m any sect ions of t he code of conduct . See
Exhibit A. These violat ions include direct ing or allow ing Mr. Swyers em ployees t o
sign or forge his elect ronic signat ure; failing t o review docum ent s before t hey were
91211392: Request for Reconsiderat ion & Mot ion for Relief from Judgm ent p. 6
non- pract it ioner in t he unaut horized pract ice of law before t he Office) ;
10.48 ( sharing legal fees wit h a non- pract it ioner) ; 10.77( b) ( handling
a legal m at t er w it hout preparat ion adequat e under t he circum st ances) ;
10.77( c) ( neglect ing client m at t ers) ; 10.84( a) ( 1) ( int ent ionally failing
t o seek t he lawful obj ect ives of a client ) ; 10.84( a) ( 3) ( int ent ionally
prej udicing or dam aging t he client dur ing t he course of a professional
relat ionship) ; 10.89( c) ( 6) ( int ent ionally or habit ually violat ing any
provision of t he USPTO Code of Professional Responsibilit y while
appearing in a professional capacit y before a t r ibunal) ; 10.112( a)
( failing t o deposit legal fees paid in advance int o a separat e client t rust
account ) ; and 10.23( b) ( 6) ( engaging in ot her conduct t hat adversely
reflect s on t he pract it ioners fit ness t o pract ice before t he Office) .
Furt herm ore, in a filing m ade last year by t he Assist ant U.S. At t orney on
behalf of t he USPTO in a case st em m ing fr om t he OED invest igat ion int o Mr.
Swyers pract ice before t he USPTO, t he governm ent not ed t hat :
Aft er an invest igat ion int o his conduct as a t radem ark pract it ioner , and
a finding of probable cause t o believe he had engaged in subst ant ial
m isconduct by an independent com m it t ee of USPTO officials, t he OED
Direct or has filed a lengt hy com plaint against plaint iff t hat present s
eight separat e count s of violat ions of USPTOs professional
responsibilit y r ules.
See Mem orandum of Law in Support of Unit ed St at es Pat ent & Tradem ark Offices
Mot ion t o Dism iss at p. 1, Civ. Act ion 1: 16cv15, ED. VA ( Filed March 22, 2016) ,
counsel and t he pending OED invest igat ion and subsequent exclusion from pract ice
did not afford Applicant t he opport unit y t o provide a full, com plet e, and fair
response t o Opposers Mot ion for Sum m ary Judgm ent . Wit hout subm it t ing
addit ional evidence here given t he nat ure of t his m ot ion and t he relief request ed 5 ,
5
Alt hough, upon request from t he Board, Applicant would be glad t o subm it such
evidence as part of a supplem ent al br ief.
91211392: Request for Reconsiderat ion & Mot ion for Relief from Judgm ent p. 7
Applicant not es t hat t he response t o t he m ot ion was lacking in t he follow ing
m anners:
Mr. Swyers response t o t he MSJ did not reference evidence t hat could
predecessor - in- int erest , Diast ar , I nc., for HALLMARK RI NGS and HALLMARK
o The prior opposit ion was dism issed against Hallm ark w it h prej udice on
TTABVUE.
Mr. Swyers response t o t he MSJ did not reference t he possible abandonm ent
DI AMONDS regist rat ions, and Opposer filed no evidence t o show cont inuous
owned t he right s t o t hose m arks and t he corresponding regist rat ions t hereof.
Mr. Swyers failed t o disclose t o Applicant t hat he was being invest igat ed by
91211392: Request for Reconsiderat ion & Mot ion for Relief from Judgm ent p. 8
Mr. Swyers failed t o disclose t o Applicant t hat he was being barred from
pract icing before t he USPTO. Mr. Swyers t old Applicant via em ail on Oct ober
128, 2017: Please accept t his correspondence as not ice t hat aft er a
dist inguished 20- year career I will be ret ir ing from t he pract ice of law
effect ive lat er t his m ont h. I t has been m y dist inct honor and pr ivilege t o have
especially you. 6
Mr. Swyers failed t o deliver copies of all proceeding docum ent s t o Applicant ,
Pelt on & Associat es, PLLC, Mr. Pelt on had t o cont act Mr. Swyers num erous
Exhibit D. Mr. Pelt on cannot be sure t hat he received all of t he files, including
discovery docum ent s produced by t he part ies, as t he docum ent s event ually
m anner.
Ar gu m en t
Ext rem e rem edies are appropr iat e only w it h t he circum st ances ar e indeed
ext rem e. The Board rules and Federal Rules of Civil Procedure feat ure m echanism s
for such rem edies when t he circum st ances and t he int erest s of j ust ice m er it
t hem . I n handling of dozens of m at t ers before t he Board over m ore t han fift een
6
Applicant will make this email available to the Board under seal if requested to guard against any waiver of
privilege or other issues.
91211392: Request for Reconsiderat ion & Mot ion for Relief from Judgm ent p. 9
( 15) years, t he undersigned firm has cert ainly never seen circum st ances m ore
except ional t han t he present case. Here, Applicant request s t he Board t o grant it
relief from t he sum m ary j udgm ent ordered a few weeks ago so t hat Applicant m ay
properly br ief t he m ot ion. The circum st ances are aberrant because Applicant s pr ior
counsel acknowledged, w it hin weeks of his last subst ant ive fling in t his m at t er t o a
lit any of professional and et hical short com ings. These short com ings direct ly
im pact ed Applicant s abilit y t o seek a fair and j ust result in t his m at t er on t he act ual
ext raordinar y relief is appropriat e. The relief request ed, nam ely vacat ing t he ent ry
of sum m ary j udgm ent and allow ing t he par t ies t o re- br ief t he Mot ion for Sum m ary
Jj udgm ent , would be in t he int erest s of j ust ice. Following t he event s and
circum st ances surrounding Applicant s pr ior counsel in Decem ber 2016 , t he current
decision of t he Board ent ering sum m ar y j udgm ent on May 3, 2017 , does not serve
The relief request ed by Applicant here would not significant ly prej udice
j udgm ent , and even if sum m ary j udgm ent was event ually denied Opposer would
st ill be perm it t ed t o pursue t he com plet ion of t he opposit ion process seeking t o
Rule 60( b) ( 6) grant s federal court s aut hor it y t o relieve a part y fr om a final
j udgm ent upon such t erm s as are j ust . Lilj eberg v. Healt h Servs. Acquisit ion
Corp., 486 U.S. 847, 86364 ( 1988) ; see Fed. R. Civ. Proc. 60( b) ( [ T] he Court
m ay relieve a part y fr om a final j udgm ent for ( 6) any ot her reason t hat j ust ifies
91211392: Request for Reconsiderat ion & Mot ion for Relief from Judgm ent p. 10
relief. ) . A m ovant is ent it led t o relief under Rule 60( b) ( 6) t he cat ch- all
provisionif such act ion is appropr iat e t o accom plish j ust ice and only in
ext raordinar y circum st ances. I d. at 86364 ( quot ing Klapprot t v. Unit ed St at es,
335 U.S. 601, 61415 ( 1949) ( int ernal quot at ion m ar ks om it t ed) ) .
m at t ers where a default j udgm ent was ent ered, or wher e a decision was eligible for
an appeal but none w as filed. Since t his case does not involve a m ovant who
deliberat ely st opped pursuing it s rem edies, t here is scant precedent available.
To j ust ify relief under subsect ion ( 6) , a part y m ust show ext raordinary
circum st ances suggest ing t hat t he part y is fault less in t he delay. ) ; Lilj eberg v.
Healt h Servs. Acquisit ion Corp. at 863- 64 ( [ W] e have previously not ed t hat [ Rule
60( b) ( 6) ] provides court s wit h aut hor it y adequat e t o enable t hem t o vacat e
j udgm ent s whenever such act ion is appropr iat e t o accom plish j ust ice, while also
caut ioning t hat it should only be applied in ext raordinary circum st ances. ( cit at ion
om it t ed) .
The Nint h Circuit has found t hat gross negligence by a part ys counsel m ay
const it ut e ext raordinary circum st ances under Rule 60( b) ( 6) . Com m unit y Dent al
Services v. Tani, 282 F.3d 1164, 1170 ( 9t h Cir. 2002) ( When an at t orney is
grossly negligent , as counsel was here, t he j udicial syst em loses credibilit y as well
suffer drast ic consequences. ) Several ot her court s have reached sim ilar
conclusions; see, e.g. L.P. St euart , I nc. v. Mat t hews, 329 F.2d 234, 235 ( D.C. Cir.
1964) ( st at ing t hat R. 60( b) ( 6) " is broad enough t o perm it relief when as in t his
91211392: Request for Reconsiderat ion & Mot ion for Relief from Judgm ent p. 11
case personal problem s of counsel cause him grossly t o neglect a diligent client s
The lit any of professional and et hical short com ings of Applicant s prior
response filed t o Opposers Mot ion for Sum m ary Judgm ent . Despit e Applicant s
previous cont ent ions regarding ownership of t he HALLMARK t radem ark and t he
validit y of t he purport ed assignm ent from a credit or t o Opposer, Mr. Swyers failed
t o provide any evidence or t o disput e any of t he fact s alleged in t he Mot ion for
Sum m ary Judgm ent . I nst ead, he offered m inim al, cut - and- past e argum ent s about
m at t er, t he proper ownership of t he HALLMARK t radem arks, Mr. Swyers effect ively
abandoned his client . The response t o m ot ion for sum m ary j udgm ent did not
by t he Nint h Circuit , m onet ary dam ages recovered in a m alpract ice lawsuit do not
provide adequat e rem edy t o a lit igant who loses it s t radem ark r ight s. Com m unit y
Dent al Servs., 282 F.3d at 1171. Thus, relief under Rule 60( b) ( 6) m ay oft en
const it ut e t he only m echanism for affording a client act ual and full relief from his
counsels gross negligence t hat is, t he opport unit y t o present his case on t he
m erit s. I d. at 1172.
affect ed well beyond it s right s t o achieve t he benefit s of regist rat ion of t he m arks at
issue. B&B Hardware, I nc. v. Hargis I ndust r ies, I nc. , 575 U.S.____; 135 S.Ct . 1293
91211392: Request for Reconsiderat ion & Mot ion for Relief from Judgm ent p. 12
( 2015) ( holding t hat a finding by t he Boar d m ay be given preclusive effect where
Exclusion signed a m ere t hree weeks aft er t he response t o t he m ot ion for sum m ar y
j udgm ent det ail Mr. Swyers m alfeasance, poor j udgm ent , poor counsel, lack of
oversight , and et hical wrongdoings. To m ake m at t ers worse, prior counsel failed t o
properly and fully inform Applicant why he was ret ir ing when he t old Applicant via
em ail, j ust days befor e t he Mot ion for Sum m ary Judgm ent was filed, t hat he could
dem onst rat ion t hat , based on t he evidence properly of record and t he applicable
law , t he Boards ruling is in error and requires appropriat e change, t here is not hing
reasons. See, e.g., St eiger Tract or I nc. v. St einer Corp. , 221 USPQ 165 ( TTAB
1984) , rehg grant ed, 3 USPQ2d 1708 ( TTAB 1984) . Again, t he circum st ances here
are not norm al; t hey are ext rem ely except ional. Applicant is not seeking t o ent er
t he law or erred in it s opinion, rat her Applicant asks t he Board t o t ake j udicial
not ice of t he Direct ors order of January 26, 2017, and t he Affidavit on Consent
Exclusion bot h of w hich were ent ered during t he pendency of t he m ot ion for
sum m ary j udgm ent and in t he int erest s of j ust ice and equit y vacat e t he j udgm ent
and allow Applicant t he opport unit y t o file a new response t o t he Mot ion for
91211392: Request for Reconsiderat ion & Mot ion for Relief from Judgm ent p. 13
Applicant has not delayed in br inging t his m ot ion. Grant ing Applicant s
m ot ion and allow ing r e- briefing of t he Mot ion for Sum m ary Judgm ent will not
prej udice Opposer as it s m ot ion, and if applicable t he ent ire case, would st ill be
det erm ined on t he m erit s. Applicant should not be penalized for t he ext rem e
circum st ances regarding it s pr ior counsel, Mr. Swyers, given t hat Applicant was not
even aware of t he OED invest igat ion or t he Affidavit for Consent Exclusion at t he
t im e. 7
Applicant 60 days t o file a response t o t he m ot ion for sum m ar y filed on Oct ober 26,
2016.
Erik M. Pelt on
Erik M. Pelt on & Associat es, PLLC
At t orney for Applicant
Ex h ibit s
Exhibit A: Final Order issued by t he Direct or of t he U.S. Pat ent and Tradem ark
Office, Proceeding No. D2016- 20
Exhibit B: Not ice of Exclusion on Consent published in t he March 28, 2017 Official
Gazet t e
Exhibit C: Mem orandum of Law in Support of Unit ed St at es Pat ent & Tradem ark
Offices Mot ion t o Dism iss at p. 1, Civ. Act ion 1: 16cv15, ED. VA ( Filed March
22, 2016) w it h exhibit s om it t ed
Exhibit D: March 7, 2017 let t er from Pelt on t o Swyers
7
Not e t he even if Applicant was t o m ake a claim of m alpr act ice and t o succeed, it
would not rem edy or affect t he t radem ark r ight s at issue in t his proceeding.
91211392: Request for Reconsiderat ion & Mot ion for Relief from Judgm ent p. 14
CERTI FI CATE OF SERVI CE
I hereby cert ify t hat a t rue and accurat e copy of t he Request for
Reconsiderat ion & Mot ion for Relief from Judgm ent has been served on t he
follow ing by deliver ing said copy on June 5, 2017, via em ail, t o counsel for Opposer
at t he follow ing address:
By:
Erik M. Pelton, Esq.
91211392: Request for Reconsiderat ion & Mot ion for Relief from Judgm ent p. 15
I N TH E UN I TED STATES PATEN T AN D TRAD EM ARK OFFI CE
BEFORE TH E TRAD EM ARK TRI AL AN D APPEAL BOARD
v.
EXH I BI T A
UNITED STATES PATENT AND TRADEMARK OFFICE
BEFORE THE DIRECTOR OF THE
UNITED STATES PATENT AND TRADEMARK OFFICE
In the Matter of )
)
Matthew H. Swyers, ) Proceeding No. D2016-20
)
Respondent )
FINAL ORDER
Pursuant to 37 C.F.R. 11.27(b), the Director of the United States Patent and
Trademark Office ("USPTO" or "Office") received for review and approval from the
Director of the Office of Emollment and Discipline ("OED Director") an Affidavit For
For Consent Exclusion to the USPTO for the purpose of being excluded on consent
For the reasons set forth herein, Respondent's Affidavit For Consent Exclusion
shall be approved, and Respondent shall be excluded on consent from practice before the
Office in trademark and non-patent matters commencing on the date of this Final Order.
Jurisdiction
Commonwealth of Virginia and the District of Columbia and has practiced before the
Director has the authority to approve Respondent's Affidavit for Consent Exclusion and
to exclude Respondent on consent from the practice of trademark and non-patent matters
1 The USPTO Code of Professional Responsibility applies to conduct prior to May 3, 2013, and
the USPTO Rules of Professional Conduct apply to conduct on or after May 3, 2013.
2
d. Respondent failed to deposit client funds paid in advance into a
client trust account and improperly split legal fees with his non-
practitioner employees.
Exclusion that:
1. His consent is freely and voluntarily rendered, and he is not being subjected
to coercion or duress.
No. D2016-20) alleges that he violated the following Disciplinary Rules of the USPTO
3
Trademark Examining Attorneys would rely on the
declarations when examining trademark applications and
issuing registrations and when he knew or reasonably should
have known that the validity of an applicants' applications
and registrations were jeopardized by the false and/ or forged
declarations; and/ or (ii) he knew or should have known his
employees did not have adequate knowledge to aver, "The
mark has become distinctive of the goods/ services through
the applicant's substantially exclusive and continuous use in
commerce that the U.S. Congress may lawfully regulate for at
least the five years immediately before the date of this
statement;" engaging in disreputable or gross misconduct by,
inter alia: (i) failing to adequately supervise his employees or
adequately review their work, thus permitting them to create
false or fraudulent specimens and/ or digitally altered images
of marks that did not depict the actual mark as used in
commerce and file these specimens with the Office, and as a
result, in some cases, the USPTO issued trademark
registrations based on the false or fraudulent specimens or
digitally altered marks, putting the validity of the resulting
trademarks in jeopardy, (ii) failing to inform his clients that
their trademark registrations or applications were potentially
invalid and/ or take timely and effective remedial action on
their behalf and/ or offer or provide restitution to them,
and/ or (iii) failing to inform the USPTO of the potentially
invalid applications and/ or registrations that resulted from
the filing of false or fraudulent specimens or digitally altered
marks; engaging in disreputable or gross misconduct by, inter
alia: (i) not informing clients who purchased trademark legal
services from The Trademark Company that their
applications and other trademark documents were not
prepared or reviewed by an attorney prior to being filed with
the Office; and/ or (ii) collecting fees from clients for
trademark legal services that were supposed to be performed
by an attorney when their applications and other trademark
documents were not prepared or reviewed by an attorney
prior to being filed with the Office);
4
by an attorney prior to being filed with the Office; engaging
in conduct involving dishonesty, fraud, deceit, or
misrepresentation by, inter alia: (i) not personally
electronically signing trademark applications and trademark
documents filed with the USPTO and, instead, directing or
allowing his employees to sign or forge his electronic
signature to the documents, thereby misleading the USPTO,
his clients, and the public into believing that Respondent had
actually signed the trademark application or trademark
document; and/ or (ii) not affirmatively informing the
Trademark Examining Attorney that the actual signatory, the
employee, was not identified on the document; engaging in
conduct involving dishonesty, fraud, deceit, or
misrepresentation by, inter alia: directing or allowing his
employees to sign or forge his name to 2(f) declarations and
file the 2(f) declarations with the Office, when (i) he knew
that the Trademark Examining Attorneys would rely on the
declarations when examining trademark applications and
issuing registrations, and/ or (ii) he knew or should have
known his employees did not have adequate knowledge to
aver, "The mark has become distinctive of the goods/ services
through the applicant's substantially exclusive and
continuous use in commerce that the U.S. Congress may
lawfully regulate for at least the five years immediately before
the date of this statement;" engaging in conduct involving
dishonesty, fraud, deceit, or misrepresentation by, inter alia:
(i) failing to adequately supervise his employees or
adequately review their work, thus permitting them to create
false or fraudulent specimens and/ or digitally altered images
of marks that did not depict the actual mark as used in
commerce and file these specimens with the Office, and as a
result, in some cases, the USPTO issued trademark
registrations based on the false or fraudulent specimens or
digitally altered marks, putting the validity of the resulting
trademarks in jeopardy, (ii) failing to inform his clients that
their trademark registrations or applications were potentially
invalid and/ or take timely and effective remedial action on
their behalf and/ or offer or provide restitution to them,
and/ or (iii) failing to inform the USPTO of the potentially
invalid applications and/ or registrations that resulted from
the filing of false or fraudulent specimens or digitally altered
marks; engaging in conduct involving dishonesty, fraud,
deceit, or misrepresentation by, inter alia: (i) not informing
5
clients who purchased trademark legal services from The
Trademark Company that their applications and other
trademark documents were not prepared or reviewed by an
attorney prior to being filed with the Office; and/ or (ii)
collecting fees from clients for trademark legal services that
were supposed to be performed by an attorney when their
applications and other trademark documents were not
prepared or reviewed by an attorney prior to being filed with
the Office);
6
distinctive of the goods/ services through the applicant's
substantially exclusive and continuous use in commerce that
the U.S. Congress may lawfully regulate for at least the five
years immediately before the date of this statement;" and/ or
(iii) he knew that (a) the actual signatory, the employee, was
not identified on the document and (b) the actual signatory,
the employee, did not have the knowledge to support the
factual contentions found in the declaration; engaging in
conduct prejudicial to the administration of justice by, inter
alia: (i) failing to adequately supervise his employees or
adequately review their work, thus permitting them to create
false or fraudulent specimens and/ or digitally altered images
of marks that did not depict the actual mark as used in
commerce and file these specimens with the Office, and as a
result, in some cases, the USPTO issued trademark
registrations based on the false or fraudulent specimens or
digitally altered marks, putting the validity of the resulting
trademarks in jeopardy, and/ or (ii) failing to inform the
USPTO of the potentially invalid applications and/ or
registrations that resulted from the filing of false or
fraudulent specimens or digitally altered mark);
7
e. 37 C.F.R. 10.23(a) and (b) via 10.23(c)(2)(ii) (knowingly
giving false or misleading information or knowingly
participating in a material way in giving false or misleading
information to the USPTO or any employee of the USPTO by,
inter alia: directing or allowing his employees to sign or forge
his name to 2() declarations and file the 2(f) declarations
with the Office, when (i) he knew that the Trademark
Examining Attorneys would rely on the declarations when
examining trademark applications and issuing registrations,
and/ or (ii) he knew or should have known his employees did
not have adequate knowledge to aver, "The mark has become
distinctive of the goods/services through the applicant's
substantially exclusive and continuous use in commerce that
the U.S. Congress may lawfully regulate for at least the five
years immediately before the date of this statement;" and/ or
(iii) he knew that (a) the actual signatory, the employee, was
not identified on the document and (b) the actual signatory,
the employee, did not have the knowledge to support the
factual contentions found in the declaration);
8
business before the Office by word, circular, letter, or
advertising with respect to prospective business before the
Office by, inter alia: advertising on The Trademark Company's
website that trademark applications would be prepared by an
attorney when Respondent knew that trademark applications
were not prepared or reviewed by an attorney prior to being
filed with the USPTO; engaging in any other conduct that
adversely reflects on the practitioner's fitness to practice
before the Office, by engaging in the conduct referenced in
Count V of the Complaint to the extent that his conduct does
not otherwise violate a provision of the USPTO Code of
Professional Responsibility);
9
k. 37 C.F.R. 10.77(c) (neglecting client matters by, inter alia: not
reviewing trademark applications, responses to Office
Actions, and other trademark documents prepared and filed
by his employees before they were filed with the Office;
neglecting client matters by, inter alia: (i) failing to adequately
supervise his employees or adequately review their work,
thus permitting them to create false or fraudulent specimens
and/ or digitally altered images of marks that did not depict
the actual mark as used in commerce and file these specimens
with the Office, and as a result, in some cases, the USPTO
issued trademark registrations based on the false or
fraudulent specimens or digitally altered marks, putting the
validity of the resulting trademarks in jeopardy, and/ or (ii)
failing to inform his clients that their trademark registrations
or applications were potentially invalid and/ or take timely
and effective remedial action on their behalf and/ or offer or
provide restitution to them);
10
involvement or superv1s10n; and/ or (ii) not reviewing
trademark applications, responses to Office Actions, and
other trademark documents prepared and filed by his
employees before they were filed with the Office;
intentionally or habitually violating any provision of the
USPTO Code of Professional Responsibility while appearing
in a professional capacity before a tribunal by, inter alia: failing
to comply with the USPTO's electronic signature rules by not
personally electronically signing trademark applications and
trademark documents filed with the USPTO and, instead,
directing or allowing his employees to sign or forge his
electronic signature to the documents, which resulted in the
validity of registered trademarks being jeopardized;
intentionally or habitually violating any provision of the
USPTO Code of Professional Responsibility while appearing
in a professional capacity before a tribunal by, inter alia:
directing or allowing his employees to sign or forge his name
to 2(f) declarations and file the 2(f) declarations with the
Office, when (i) he knew that the Trademark Examining
Attorneys would rely on the declarations when examining
trademark applications and issuing registrations, and/ or (ii)
he knew or should have known his employees did not have
adequate knowledge to aver, "The mark has become
distinctive of the goods/services through the applicant's
substantially exclusive and continuous use in commerce that
the U.S. Congress may lawfully regulate for at least the five
years immediately before the date of this statement;";
intentionally or habitually violating any provision of the
USPTO Code of Professional Responsibility while appearing
in a professional capacity before a tribunal by, inter alia: (i)
failing to adequately supervise his employees or adequately
review their work, thus permitting them to create false or
fraudulent specimens and/ or digitally altered images of
marks that did not depict the actual mark as used in
commerce and file these specimens with the Office, and as a
result, in some cases, the USPTO issued trademark
registrations based on the false or fraudulent specimens or
digitally altered marks, putting the validity of the resulting
trademarks in jeopardy, and/ or (ii) failing to inform the
USPTO of the potentially invalid applications and/ or
registrations that resulted from the filing of false or
fraudulent specimens or digitally altered marks);
11
o. 37 C.F.R. 10.112(a) (failing to deposit legal fees paid in
advance into a separate client trust account by depositing
them instead into The Trademark Company's operating
account);
12
Application No. 86/287,301 and by not informing her that he
had filed substitute specimens without confirming with her
whether the substitute specimens depicted her mark as used
in commerce, and/ or (ii) failing to inform his clients that their
trademark registrations or applications were potentially
invalid and/ or take timely and effective remedial action on
their behalf and/ or offer or provide restitution to them);
13
immediately before the date of this statement;"; failing, in an
ex parte proceeding, to inform the tribunal of all material facts
known to the practitioner that will enable the tribunal to make
an informed decision, even if the facts are adverse, by, inter
alia, failing to inform the USPTO of the potentially invalid
applications and/ or registrations that resulted from the filing
of false or fraudulent specimens or digitally altered marks);
14
alia: (i) failing to adequately supervise his employees or
adequately review their work, thus permitting them to create
false or fraudulent specimens and/ or digitally altered images
of marks that did not depict the actual mark as used in
commerce and file these specimens with the Office, and as a
result, in some cases, the USPTO issued trademark
registrations based on the false or fraudulent specimens or
digitally altered marks, putting the validity of the resulting
trademarks in jeopardy, (ii) failing to inform his clients that
their trademark registrations or applications were potentially
invalid and/ or take timely and effective remedial action on
their behalf and/ or offer or provide restitution to them,
and/ or (iii) failing to inform the USPTO of the potentially
invalid applications and/ or registrations that resulted from
the filing of false or fraudulent specimens or digitally altered
marks);
15
bb. 37 C.F.R. 11.SOl(b) (failing to respond to lawful requests for
information and failing to cooperate with OED by inter alia: (i)
telling a witness not to talk to OED; (ii) falsely telling potential
witnesses that talking to OED could affect their trademark
rights; (iii) withholding the names of former employees for
months; and/ or (iv) not providing OED with the documents
it sought (invoices, employment agreements, correspondence
about 2() declarations, and/ or a privilege log));
16
of marks that did not depict the actual mark as used in
commerce and file these specimens with the Office, and as a
result, in some cases, the USPTO issued trademark
registrations based on the false or fraudulent specimens or
digitally altered marks, putting the validity of the resulting
trademarks in jeopardy, (ii) failing to inform his clients that
their trademark registrations or applications were potentially
invalid and/ or take timely and effective remedial action on
their behalf and/ or offer or provide restitution to them,
and/ or (iii) failing to inform the USPTO of the potentially
invalid applications and/ or registrations that resulted from
the filing of false or fraudulent specimens or digitally altered
marks; engaging in conduct involving dishonesty, fraud,
deceit, or misrepresentation by, inter alia: (i) not informing
clients who purchased trademark legal services from The
Trademark Company that their applications and other
trademark documents were not prepared or reviewed by an
attorney prior to being filed with the Office; and/ or (ii)
collecting fees from clients for trademark legal services that
were supposed to be performed by an attorney when their
applications and other trademark documents were not
prepared or reviewed by an attorney prior to being filed with
the Office; engaging in conduct involving dishonesty, fraud,
deceit, or misrepresentation by, inter alia, falsely telling
potential witnesses that talking to OED could affect their
trademark rights);
17
filed with the USPTO and, instead, directing or allowing his
employees to sign or forge his electronic signature to the
documents, which resulted in the validity of registered
trademarks being jeopardized and/ or (ii) directing or
allowing his employees to sign or forge his electronic
signature to trademark applications and other trademark
documents knowing that the actual signatory, the employee,
was not identified on the documents contrary to
Respondent's certifications under 11.18; engaging in
conduct that is prejudicial to the administration of justice by,
inter alia: directing or allowing his employees to sign or forge
his name to 2(f) declarations and file the 2(f) declarations
with the Office, when (i) he knew that the Trademark
Examining Attorneys would rely on the declarations when
examining trademark applications and issuing registrations,
and/ or (ii) he knew or should have known his employees did
not have adequate knowledge to aver, "The mark has become
distinctive of the goods/services through the applicant's
substantially exclusive and continuous use in commerce that
the U.S. Congress may lawfully regulate for at least the five
years immediately before the date of this statement;" and/ or
(iii) he knew that (a) the actual signatory, the employee, was
not identified on the document and (b) the actual signatory,
the employee, did not have the knowledge to support the
factual contentions found in the declaration; engaging in
conduct that is prejudicial to the administration of justice by,
inter alia: (i) failing to adequately supervise his employees or
adequately review their work, thus permitting them to create
false or fraudulent specimens and/ or digitally altered images
of marks that did not depict the actual mark as used in
commerce and file these specimens with the Office, and as a
result, in some cases, the USPTO issued trademark
registrations based on the false or fraudulent specimens or
digitally altered marks, putting the validity of the resulting
trademarks in jeopardy, and/ or (ii) failing to inform the
USPTO of the potentially invalid applications and/ or
registrations that resulted from the filing of false or
fraudulent specimens or digitally altered marks; engaging in
conduct prejudicial to the administration of justice by, inter
aliri: (i) telling a witness not to talk to OED; (ii) falsely telling
potential witnesses that talking to OED could affect their
trademark rights; (iii) withholding the names of former
employees for months; and/ or (iv) not providing OED with
18
the documents it sought (invoices, employment agreements,
correspondence about 2(f) declarations, and/ or a privilege
log));
3. Without admitting that he violated any of the Disciplinary Rules of the USPTO
Code of Professional Responsibility and/ or the Rules of Professional Conduct which are
that, if and when he applies for reinstatement to practice before the USPTO in trademark
or other non-patent matters under 37 C.F.R. 11.60, the OED Director will conclusively
19
presume, for the limited purpose of determining the application for reinstatement, that
(a) the allegations regarding him in the complaint filed in Proceeding No. D2016-20 are
true and (b) he could not have successfully defended himself against such allegations.
4. He has fully read and understands 37 C.F.R. 11.5(b), 11.27, 11.58, 11.59, and
11.60, and is fully aware of the legal and factual consequences of consenting to exclusion
Exclusion on Consent
Based on the foregoing, the USPTO Director has determined that Respondent's
Affidavit For Consent Exclusion complies with the requirements of 37 C.F.R. 11.27(a).
1. Respondent's Affidavit For Consent Exclusion shall be, and hereby is,
approved;
2. Respondent shall be, and hereby is, excluded on consent from practice
before the Office in trademark and non-patent matters commencing on the date of this
Final Order;
3. The OED Director shall electronically publish the Final Order at the Office
4. The OED Director shall publish a notice in the Official Gazette that is
20
Notice of Exclusion on Consent
21
10.23(b)(5) (engaging in conduct prejudicial to the administration of
justice); 10.23(a) and (b) via 10.23(c)(2)(ii) (knowingly giving false or
misleading information or knowingly participating in a material
way in giving false or misleading information to the USPTO or any
employee of the USPTO); 10.23(a) and (b) via 10.23(c)(15) (violating
the certifications made to the USPTO under 37 C.F.R. 11.18);
10.31(a) (deceiving or misleading prospective applicants or other
persons having immediate or prospective business before the Office
by advertising with respect to prospective business before the
Office); 10.47(a) and (c) (aiding a non-practitioner in the
unauthorized practice of law before the Office); 10.48 (sharing legal
fees with a non-practitioner); 10.77(b) (handling a legal matter
without preparation adequate under the circumstances); 10.77(c)
(neglecting client matters); 10.84(a)(1) (intentionally failing to seek
the lawful objectives of a client); 10.84(a)(3) (intentionally
prejudicing or damaging the client during the course of a
professional relationship); 10.89(c)(6) (intentionally or habitually
violating any provision of the USPTO Code of Professional
Responsibility while appearing in a professional capacity before a
tribunal); 10.112(a) (failing to deposit legal fees paid in advance into
a separate client trust account); and 10.23(b)(6) (engaging in other
conduct that adversely reflects on the practitioner's fitness to
practice before the Office).
22
with Respondent's professional obligations); 11.503(b) (failing to
make reasonable efforts to ensure that the conduct of The Trademark
Company employees over whom he had direct supervisory
authority was compatible with Respondent's professional
obligations); 11.503(c) (ordering or ratifying the conduct of the
employees of The Trademark Company which would have been a
violation of the USPTO Rules of Professional Conduct had it been
committed by a practitioner, and/ or failing to take remedial
measures once he learned of the conduct); 11.504(a) (sharing legal
fees with a non-practitioner); 11.505 (aiding in the unauthorized
practice of law before the USPTO); 11.701 (making false or
misleading communications about the practitioner or the
practitioner's services); 11.801 (b) (failing to cooperate with the Office
of Emollment and Discipline in an investigation); 11.804(c)
(engaging in conduct involving dishonesty, fraud, deceit or
misrepresentation); 11.804(d) (engaging in conduct that is prejudicial
to the administration of justice); and 11.804(i) (engaging in the acts
and omissions that adversely reflect on Respondent's fitness to
practice before the Office).
While Mr. Swyers did not admit to violating any of the Disciplinary
Rules of the USPTO Code of Professional Responsibility or the
USPTO Rules of Professional Conduct as alleged in the pending
disciplinary complaint, he acknowledged that, if and when he
applies for reinstatement, the OED Director will conclusively
presume, for the limited purpose of determining the application for
reinstatement, that (i) the allegations set forth in the OED
investigation against him are true, and (ii) he could not have
successfully defended himself against such allegations.
23
6. Respondent shall comply fully with 37 C.F.R. 11.60 upon any request for
reinstatement.
David Shewchuk
Deputy General Counsel for General Law
Date
20\ l
on behalf of
Michelle K. Lee
Under Secretary of Commerce for Intellectual Property and
Director of the United States Patent and Trademark Office
cc:
Danny M. Howell
Robert Jackson Martin IV
Anne M. Sterba
Law Office of Danny M. Howell, PLLC
2010 Corporate Ridge, Suite 700
Mclean, VA 22102
Counsel for Matthew H. Swyers
24
I N TH E UN I TED STATES PATEN T AN D TRAD EM ARK OFFI CE
BEFORE TH E TRAD EM ARK TRI AL AN D APPEAL BOARD
v.
EXH I BI T B
I N TH E UN I TED STATES PATEN T AN D TRAD EM ARK OFFI CE
BEFORE TH E TRAD EM ARK TRI AL AN D APPEAL BOARD
v.
EXH I BI T C
Case 1:16-cv-00015-LO-IDD Document 15 Filed 03/22/16 Page 1 of 29 PageID# 383
MATTHEW H. SWYERS, )
)
Plaintiff, )
)
vs. ) Civil Action No. 1:16cv15
)
UNITED STATES PATENT & )
TRADEMARK OFFICE, et al., )
)
Defendants. )
_________________________________ )
DANA J. BOENTE
UNITED STATES ATTORNEY
INTRODUCTION
The United States Patent and Trademark Office (USPTO) is charged with not only regulating
intellectual property issues, but also with ensuring the integrity and fairness of the system itself
including those practitioners who represent the intellectual property interests of others before the
USPTO. To this end, as the Federal Circuit has held, Congress and the USPTO have created a
which the USPTO investigates the conduct of a practitioner, and if necessary, the Director of
USPTOs Office of Enrollment and Discipline (OED) files and ultimately prosecutes charges
protections, including the ability to present oral testimony and written evidence before an
independent hearing examiner on the record, and an avenue for administrative and judicial
and entities before the USPTO in trademark matters. After an investigation into his conduct as a
trademark practitioner, and a finding of probable cause to believe he had engaged in substantial
misconduct by an independent committee of USPTO officials, the OED Director has filed a
lengthy complaint against plaintiff that presents eight separate counts of violations of USPTOs
professional responsibility rules. Plaintiff will now have the ability to defend himself against
those charges before an independent hearing officer (an administrative law judge outside of the
USPTO), and to appeal any adverse decision to the USPTO Director, and then if necessary to
this Court.
1
Case 1:16-cv-00015-LO-IDD Document 15 Filed 03/22/16 Page 3 of 29 PageID# 385
Despite this exclusive scheme for administrative and judicial review of USPTO
disciplinary decision-making, plaintiff now asks this Court to intervene while his disciplinary
proceeding remain pending, and to enjoin the USPTO from continuing with charges that are
premised on his alleged failure to respond to requests for information (RFI) that he maintains
were unconstitutional. Leaving aside the fact that plaintiff eschewed the opportunity to
challenge the propriety of the RFIs during the investigation via a specific review mechanism that
the USPTO created for exactly that purpose, see 37 C.F.R. 11.2(e), plaintiff can present his
constitutional arguments during the ongoing administrative process in defense of the very
charges that he asks this Court to enjoin. But more importantly, the Supreme Court has held that
federal courts lack jurisdiction to entertain claims for equitable relief against ongoing
administrative proceedings when Congress has as here created a specific scheme within a
particular context for administrative and judicial review. Accordingly, any Article III judicial
review of the propriety of the disciplinary charges against plaintiff must await a final
administrative decision from the USPTO Director, and be presented to this Court pursuant to 35
U.S.C. 32.
Nevertheless, nothing about the RFIs in question ran afoul of plaintiffs Fourth and Fifth
Amendment rights. As Judge Motz provided in a separate opinion for the Fourth Circuit nearly a
decade ago, an individual does not enjoy any procedural due process protections with respect to
impose a sanction (here, by filing disciplinary charges against a practitioner) that due process
attaches. Nor were any of the RFIs so over-broad especially in relation to the USPTOs scope
2
Case 1:16-cv-00015-LO-IDD Document 15 Filed 03/22/16 Page 4 of 29 PageID# 386
In this action, plaintiff asks this Court to exercise judicial review in the middle of the
authorization the USPTO investigates putative misconduct on the part of those who represent
others before the agency and, in appropriate cases, seeks discipline against those individuals that
are alleged to have acted in contravention of the USPTOs rules of professional conduct
(RPC). It is thus appropriate at the threshold to provide a detailed description of that scheme,
including the several opportunities that are available for administrative and judicial review of
Congress has vested the USPTO with the authority to promulgate regulations
govern[ing] the recognition and conduct of agents, attorneys, or other persons representing
applicants or other parties before the Office. 35 U.S.C. 2(b)(2)(D); see also Haley v. Under
Secy of Commerce for Intellectual Prop., --- F. Supp. 3d ---, 2015 WL 5277880, at *8 (E.D. Va.
Sept. 8, 2015). The Federal Circuit has repeatedly recognized that this provision grants broad
authority to the USPTO to govern the conduct of proceedings before the USPTO, and to govern
the recognition and conduct of practitioners who appear before the USPTO. See, e.g., Lacavera
Pursuant to this authority, the USPTO has enacted its own Rules of Professional Conduct
(RPC), see 37 C.F.R. 11.101-.901, which govern the conduct of all practitioners engaged in
practice before the USPTO. The USPTO has also, based on 35 U.S.C. 2(b)(2)(D) and 32,
promulgated specific regulations governing the investigation of alleged violations of the RPC on
the part of practitioners, and proceedings geared towards adjudicating both whether practitioners
3
Case 1:16-cv-00015-LO-IDD Document 15 Filed 03/22/16 Page 5 of 29 PageID# 387
have engaged in professional misconduct, and if so, the appropriate sanction for such
A. DISCIPLINARY INVESTIGATIONS
1. Prior to 2004, there existed scant formal legal guidance concerning OEDs investigations
into allegations of misconduct. Indeed, USPTOs regulations simply provided that the OED
Directors duties included the [c]onduct [of] investigation into possible violations of the
Disciplinary Rules. 37 C.F.R. 10.2(b)(2); see also id. 10.131(a) (providing that the
No specific regulatory provision identified either the types of investigatory tools at OEDs
disposal, or those mechanisms that were available to a practitioner to challenge decisions made
or actions taken by OED during the course of an investigation. And in all candor, in early 2004,
the Fourth Circuit criticized these gaps in USPTOs regulatory structure. See Goldstein v.
Moatz, 364 F.3d 205, 217-18 (4th Cir. 2003). But, contrary to the allegations contained in
plaintiffs complaint here, Complaint, 1, since the Fourth Circuits decision in Goldstein, the
2.a. Initially, the USPTOs regulations now clearly provide that OED officials can as a part
4
Case 1:16-cv-00015-LO-IDD Document 15 Filed 03/22/16 Page 6 of 29 PageID# 388
information and evidence regarding possible grounds for discipline of a practitioner, 37 C.F.R.
11.22(f)(1), colloquially known as requests for information or RFIs. OED can exercise
this authority to request information from the grievant (i.e., the individual who tendered the
complaint of alleged misconduct), the member him or herself, or [a]ny person who may
reasonably be expected to provide information and evidence needed in connection with the
grievance or investigation. Id. As the USPTO noted in promulgating these new rules to the
public, [r]equesting information and documents from practitioners . . . enables the OED
Director, and ultimately the [USPTO], to efficiently and effectively ascertain whether grounds
for disciplining a practitioner exist. Changes to Representation of Others Before the United
States Patent and Trademark Office, 72 Fed. Reg. 9196, 9200 (Feb. 28, 2007). And for this
reason, consistent with the vast majority of state bar rules, USPTOs RPC provide that if a
practitioner knowingly fail[s] to respond to a lawful demand or request for information not
protected by the rule on client confidences, such represents an independent ethical violation for
which the practitioner may be disciplined. 37 C.F.R. 11.801(b) (emphasis added); see also VA.
R. PROF. COND. 8.1(c) (providing that Virginia practitioners shall not . . . fail to respond to a
Additionally, OED can request information directly from a client of the practitioner under
investigation even if that client is not simultaneously the individual who complained about the
designed to protect against unnecessary intrusion into the sanctity of the attorney-client
relationship. Id. 11.22(f)(2). In this respect, OED may only seek information from a non-
complaining client of the practitioner in question if (a) the practitioner himself consents, or (b)
2
Of course, the highlighted terms above especially within the context of the instant
action are significant, as the USPTO must establish that the practitioner knowingly failed to
respond to a request for information that was lawful.
5
Case 1:16-cv-00015-LO-IDD Document 15 Filed 03/22/16 Page 7 of 29 PageID# 389
USPTO employees outside of OED] . . . that good cause exists to believe that the possible
ground for discipline alleged has occurred with respect to non-grieving clients. Id.
the Fourth Circuit in Goldstein, the USPTO also endeavored to create a remedial mechanism
through which practitioners (or others) could obtain review of OED decision-making and action
A party dissatisfied with any action or notice of any employee of the Office of
Enrollment and Discipline during or at the conclusion of a disciplinary investigation shall
seek review of the action or notice upon petition to the OED Director.
Id. 11.2(e). In order to ensure that the investigation remains on track, and that this petition
process is not utilized by practitioners to preclude the USPTO from filing a disciplinary
complaint within the relevant limitations period,3 any such petition must be filed within thirty
(30) days of the decision or action challenged. See id. Once the OED Director adjudicates the
petition, the party in question may seek administrative appellate review with the USPTO
Director. See id. And importantly, if still dissatisfied, the party may seek Article III judicial
review of the USPTO Directors final decision on the petition in an appropriate federal court.
See id.; Changes to Representation of Others Before the United States Patent and Trademark
Office, 77 Fed. Reg. 64190, 64191-92 (Oct. 18, 2012) (noting that practitioners dissatisfied with
investigatory action on the part of OED personnel must exhaust these available administrative
remedies before seeking relief under the Administrative Procedure Act). As such, in the wake
of the Fourth Circuits decision in Goldstein, the USPTO has created specific mechanisms for
3
Pursuant to federal statute, USPTO must commence any disciplinary proceeding within
10 years of the allegedly-unprofessional conduct, or within one year of the USPTOs knowledge
of that conduct. See 35 U.S.C. 32.
6
Case 1:16-cv-00015-LO-IDD Document 15 Filed 03/22/16 Page 8 of 29 PageID# 390
practitioners to obtain review of requests for information issued by OED during its investigation
of a given practitioner.
B. DISCIPLINARY PROCEEDINGS
1. If, at the conclusion of its investigation, OED believes that a practitioner has engaged in
unethical conduct, it cannot sua sponte charge that practitioner with a violation of the RPC and
seek a disciplinary sanction. Rather, it must present its investigatory findings to a panel the
independent of OED.4 See 37 C.F.R. 11.23(b)(1); 11.32. That panel reviews the evidence,
and determines whether there is probable cause to believe that the practitioner has engaged in
If the panel makes this necessary probable cause finding, the OED Director commences
disciplinary proceedings by filing and serving a complaint against the practitioner. See id.
11.32; 11.34-35. The practitioner then has at least thirty (30) days to file an answer to the
complaint, see id. 11.36, and of course, is entitled to legal representation during disciplinary
completely independent hearing officers that are outside the immediate supervision of either
the USPTO or OED Directors, see 35 U.S.C. 32; 37 C.F.R. 11.39; typically, Administrative
Law Judges (ALJs) from other Executive Branch agencies. And these proceedings, although
administrative in nature, bear the hallmarks of traditional litigation, along with the trappings of
due process afforded to litigants in Article III courts. See 35 U.S.C. 32 (requiring notice and
4
In particular, the USPTO Director is responsible for appointing the Committee on
Discipline, the governing regulations mandate that no member of the committee shall report
directly or indirectly to the OED Director or any employee designated by the USPTO Director to
decide disciplinary matters. 37 C.F.R. 11.23(a).
7
Case 1:16-cv-00015-LO-IDD Document 15 Filed 03/22/16 Page 9 of 29 PageID# 391
an opportunity to be heard before a practitioner may be sanctioned). The OED Director bears the
burden of proving the violation by clear and convincing evidence. Id. 11.49.
including the issuance of rulings on motions or other requests and evidentiary issues during the
course of the proceedings. See id. 11.39(c); 11.43. Although full-fledged discovery is not
authorized as a matter of course, either the OED or a practitioner may move the hearing officer
to authorize discovery in the form of reasonable interrogatories and requests for production of
documents. See id. 11.52(a). Additionally, the hearing officer presides over oral hearings
akin to a trial at which she receives both evidence and legal argument on the record concerning
the charges from both OED and the practitioner. See id. 11.44.
USPTOs regulations provide that a hearing officer should issue an initial decision on the
disciplinary charges within nine (9) months of the date on which the initial complaint is filed,
unless circumstances dictate otherwise. See id. 11.39(d). That initial decision akin to bench
trials before this Court must include findings of fact and conclusions of law. See id.
11.54(a)(1). And if the hearing officer concludes that the OED Director has borne his burden
to establish the practitioners disciplinary infraction, the decision is also to identify the
3. If the practitioner is dissatisfied with the hearing officers resolution of the OED
Directors disciplinary complaint, he has several avenues for administrative and judicial review.
a. Within thirty days of the hearing officers decision, the practitioner may notice an appeal
of that decision to the USPTO Director, including a brief that consistent with the Federal Rules
of Appellate Procedure identifies the grounds of error on the part of the hearing officer. See id.
11.55. OED is entitled to file a responsive brief, and the practitioner a reply brief. See id.
8
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Once briefing is completed, the USPTO Director has authority to conduct a de novo
review of the factual record, and may affirm, reverse, or modify the initial decision or remand
to the hearing officer for such further proceedings as [she] may deem appropriate. Id. 11.56.
Subsequent to the USPTO Directors appellate decision, the regulations afford a practitioner who
b. Once the USPTO Directors appellate decision becomes final, Congress explicitly
provided a single, streamlined vehicle for Article III review of USPTO disciplinary proceedings,
and in so doing, placed strict limitations on the venue in which that review can be had:
The United States District Court for the Eastern District of Virginia, under such
conditions and upon such proceedings as it by its rules determines, may review the action
of the Director upon the petition of the person so refused recognition or so suspended or
excluded.
35 U.S.C. 32. As the Federal Circuit has held, 32 serves as the exclusive means by which a
USPTO practitioner can obtain judicial review of the agencys disciplinary decisions, and that
such serves as part of the orderly administrative mechanism for review of such issues. See
1. Plaintiff Matthew Swyers is an attorney and trademark practitioner, and thus is currently
authorized to practice before the USPTO in trademark and other non-patent matters. Complaint
(Dkt. No. 1), 7; see also 5 U.S.C. 500. In 2003, Plaintiff founded a law practice called The
Trademark Company, which engages in the representation of clients in the protection of their
5
The following discussion is based on the allegations contained within the four corners of
the complaint, as well as both the attachments to that complaint and the other documents to
which plaintiff refers in the same, all of which may be considered by this Court in adjudicating a
motion to dismiss brought pursuant to Federal Rule 12(b)(6). See Tellabs, Inc. v. Makor Issues
& Rights, Ltd., 551 U.S. 308, 322 (2007). It is also well-settled that this Court can review
materials outside of the complaint in addressing its own jurisdiction pursuant to Federal Rule
12(b)(1). See, e.g., Velasco v. Govt of Indonesia, 370 F.3d 392, 398 (4th Cir. 2004).
9
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federal trademark and copyright rights. Id. 13. In the thirteen years since its founding, the
firm has represented over 20,000 clients, despite the fact that virtually none of the other
individuals that plaintiff employed over that time were licensed attorneys. Id. 16; 49.
representation of others before the USPTO in trademark matters. Complaint, 18. Consistent
with the regulations governing disciplinary investigations, OED personnel during its
investigation transmitted to plaintiff a series of RFIs. Complaint, 18; 38; 44; 50; 54. It is
these RFIs that form the backbone for many of plaintiffs allegations in the instant complaint.
Nowhere within the four corners of the complaint, however, does plaintiff once allege that he
challenged the propriety of OEDs transmission of any of these RFIs through the aforementioned
a. OED transmitted its first RFI to plaintiff on August 29, 2014. Id. 18; see also
Defendants Exhibit (DEX) 1. These first RFIs explained to plaintiff that it had commenced
an investigation after receiving information regarding his trademark application filings, and that
OED was endeavoring to develop all information relevant to the received information,
including that information which may justify or exonerate the alleged actions. Id. at 1. The RFI
also provided a list of the RPC that were under possible consideration, so that plaintiff could
generally understand the nature of the potential misconduct being investigated. Id. at 3.
And although plaintiff maintains that this and other RFIs contains threats
concerning plaintiffs non-compliance with the RFIs, Complaint, 19, the actual text of the RFIs
belie this contention. Rather, the RFIs merely serve to remind a practitioner (such as plaintiff
here) of what the RPC already mandate i.e., that responding to RFIs is not discretionary so
10
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DEX 1.
b. After receiving plaintiffs response to its first set of RFIs, OED transmitted a second RFI
to plaintiff on December 19, 2014. Id. 38 & ex.A. And although it was not required to do so,
OED identified for plaintiff those trademark applications with which plaintiff was identified
about which OED had concerns. Id. ex. A. In a lengthy preface to this RFI, OED informed
plaintiff with citations to the appropriate provisions of the USPTOs regulations and the
Trademark Manual of Examining Procedure of exactly the ethical concerns that animated its
questioning. Id. ex.A., at 13-14. More specifically, OED explained that all documents submitted
including those signed electronically and that an attorneys paralegal or assistant cannot be the
signatory; thus, OED was concerned that other individuals (i.e., those employed by the
Trademark Company) were signing plaintiffs name electronically to documents without plaintiff
having done so personally as required. Id. The four queries transmitted in this second RFI, once
distilled to its essence, simply asked plaintiff to identify whether his electronic signature had
ever been affixed to an agency filing by another individual, in violation of USPTO signature
c. Based on these continued concerns about plaintiffs non-attorney employees signing and
filing documents with the USPTO under his name, on March 30, 2015, OED transmitted its third
RFI to plaintiff. Id. 44; DEX 2. This RFI first asked plaintiff to confirm his prior responses
concerning whether other individuals electronically signed his name to trademark applications.
11
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DEX 2. And second, this RFI asked plaintiff to provide contact information for current and past
employees of the Trademark Company. DEX 2. Two weeks later, plaintiff responded to this
RFI simply by providing a laundry list of objections to the same, and disclosing information
d. In May and June 2015, OED transmitted its final two RFIs to plaintiff. Id. 50-54, exs.
D-E. These RFIs provided extremely-detailed information about the evidence that OED had
garnered during its investigation to date, including plaintiffs own admissions, and the potential
misconduct on plaintiffs part that OED was investigating. And with respect to each series of
requests, OED took the extraordinary step of providing a justification for its requests. As but one
Since January 2010, Mr. Swyers filed, or caused to be filed, thousands of trademark
applications and trademark application submissions . . . in the Office. Based on (a) Mr.
Swyers admission that he allowed other persons to sign his name to trademark
applications and trademark application submissions filed in the Office under his
electronic signature, and (b) Mr. Swyers alleged ignorance of well-known USPTO
signature rules, there is evidence suggesting that Mr. Swyers may have violated
numerous ethical duties that he owes to [his] trademark applicants, to the Office, to the
public, and to the legal profession. Therefore, additional information is requested from
Mr. Swyers as follows.
Id. ex. D., at 2. This comes not from a disciplinary complaint, or from a closing argument before
the Hearing Officer; rather, it is from a RFI transmitted only to plaintiff so that plaintiff can
understand the basis for, and provided complete responses to, OEDs inquiries.6
3. OEDs investigation has now closed. And on March 11, 2016, after the Committee on
Discipline found probable cause that plaintiff had violated the RPC, the OED Director who is
not a defendant here commenced disciplinary proceedings against plaintiff through the filing of
6
OED personnel also contacted some of plaintiffs clients to obtain information about his
representation, and did so only after following the process mandated by 37 C.F.R. 11.22(f)(2),
and receiving permission from an independent member of the Committee on Discipline outside
OED.
12
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a fifty-six (56) page complaint against plaintiff with an ALJ at the United States Environmental
Protection Agency, who will serve as the independent hearing officer to adjudicate the charges.
Count III directing or allowing employees to sign or forge [plaintiffs] name to Section
2(f) declarations filed with the Office;
Count IV filing with the Office fraudulent or digitally altered specimens which did not
reflect the marks use in commerce; failure to inform the Office or clients or false or
fraudulent specimens; failure to remedy or offer restitution;
Count VI failure to deposit client funds paid in advance into a client trust account;
Count VIII witness tampering; failure to respond to lawful requests for information or
cooperate with OED.
DEX 3.
More specifically, the complaint alleges, inter alia, that plaintiff directed or allowed
non-lawyer employees of the Trademark Company to electronically sign or forge [his] electronic
signature to his clients trademark application, and that plaintiff had admitted to OED that he
did not review the trademark applications before they were filed. Id. 34-35. The complaint
also alleges that plaintiffs employees filed fraudulent specimens (i.e., those that were not
actually being used in commerce) in support of trademark regulations, id. 91-117; 126-42, and
13
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that at least two of plaintiffs former clients had provided evidence corroborating that plaintiffs
employees had created and filed fraudulent specimens with the agency, id. 97; 182.
Of import to this action, only one part of a single count of the disciplinary complaint
concerns plaintiffs responses to the RFIs. Id. at 49-53. In this respect, the complaint identifies
that [a] practitioner has an ethical duty to cooperate with OED and respond to its lawful
requests for information. Id. at 48 (citing 37 C.F.R. 11.801(b)). And that single count
concerns only a few discrete issues with respect to plaintiffs responses: (1) plaintiffs failure to
provide client invoices (which would have revealed the firm employee who worked on the
application in question); (2) plaintiffs failure to provide employment agreements (which would
have revealed evidence of whether plaintiff was impermissibly sharing fees with non-lawyers);
(3) plaintiffs failure to provide requested 2(f) declarations (which would have provided
evidence of the veracity of plaintiffs putative trademark filings); and (4) plaintiffs refusal to
provide a privilege log to corroborate those materials that he was withholding on the basis of
privilege. Id. at 49-52. The complaint avers that each of the OEDs RFIs were lawful. Id.
These disciplinary proceedings are, therefore, in their infancy. Plaintiff now has thirty
days within which to answer the complaint. After plaintiff files his answer, the ALJ as hearing
officer will conduct the proceedings, consider motions, receive evidence, and issue an initial
decision on the charges contained within the complaint. Should plaintiff be dissatisfied with that
initial decision, he will be afforded the opportunity to appeal the decision to the USPTO
Director, who will issue a final administrative decision. And as stated earlier, plaintiff can seek
Article III judicial review in this Court from the USPTO Directors final decision.
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STANDARDS OF REVIEW
Federal Rule 12(b)(1) serves as the appropriate vehicle to challenge the courts subject
matter jurisdiction in a particular matter. See, e.g., Coulter v. United States, 256 F. Supp. 2d
484, 486 n.3 (E.D. Va. 2003), affd, 90 Fed. Appx. 60 (4th Cir. 2004). The plaintiff bears the
burden of establishing the courts subject matter jurisdiction, and although this Court may utilize
the allegations contained within the four corners of the plaintiffs complaint as evidence in
determining whether it possesses jurisdiction over a dispute, it may also consider other evidence
outside the pleadings if necessary. See Richmond, Fredericksburg, & Potomac R.R. Corp. v.
United States, 945 F.2d 765, 768 (4th Cir. 1991); Coulter, 256 F. Supp. 2d at 486 n.3.
To the contrary, a motion pursuant to Federal Rule 12(b)(6) serves to test the legal
sufficiency of the plaintiffs complaint in relation to the factual averments he or she puts
forward. Although a court must accept all well-pled allegations in adjudicating such a motion, it
need not credit allegations that are merely conclusory. See Ashcroft v. Iqbal, 556 U.S. 662, 675
(2009). In Iqbal, the Supreme Court held as follows with respect to the proper standard of
review:
Id. at 678 (quoting Twombly, 550 U.S. at 570). Accordingly, although (as before) a court is
required to adjudge the factual averments contained within a complaint against the substantive
law governing the claim, now where the well-pleaded facts do not permit the court to infer more
than the mere possibility of misconduct, the complaint fails. Id. at 679 (emphasis added).
15
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ARGUMENT
Plaintiffs instant complaint presents two constitutional claims: (a) the RFIs violated
plaintiffs Fifth Amendment rights to procedural due process, ostensibly because in plaintiffs
erroneous view there is a complete absence of any means to challenge the RFIs[],
Complaint, 1; 67; and (b) the RFIs amount[] to an unreasonable search within the meaning of
the Fourth Amendment of the United States Constitution. Id. 70. From these claims, against
the USPTO, plaintiff asks this Court to insert itself into the ongoing disciplinary proceedings
before the independent hearing officer by entering an injunction precluding OED from
continuing with charges against plaintiff for failing to respond to the allegedly unlawful RFIs:
Swyers asks this Court to enjoin Defendants on a preliminary and permanent basis from
the enforcement of charges of violations of disciplinary rules based in whole or in part
upon the failure of Swyers to answer to the OEDs satisfaction RFIs that violate Swyers
constitutional rights.
Id. 77.
II. THIS COURT LACKS JURISDICTION OVER PLAINTIFFS REQUEST FOR JUDICIAL
INTERRUPTION OF AN ONGOING ADMINISTRATIVE PROCEEDING
The gravamen of plaintiffs request for injunctive relief in this Court is that any
disciplinary charge against plaintiff based upon his purported failure to respond to putatively-
unlawful RFIs would be unfounded, and that this Court should judicially-intervene and eliminate
those charges immediately. But disciplinary proceedings against plaintiff on these (and many
other) grounds have just commenced, and plaintiff pursuant to the streamlined process of
administrative and judicial review that Congress has mandated will have a full and fair
opportunity to present his arguments to the hearing officer, and then (if necessary) to the USPTO
Director, and ultimately to this Court. Plaintiffs injunctive demand thus asks this Court to insert
itself prematurely into this ongoing process and thus to allow him to circumvent Congresss
16
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desired system for administrative and judicial review. As described below, binding authority
It is by now axiomatic that no one is entitled to judicial relief for supposed or threatened
injury until the prescribed administrative remedy has been exhausted. Thetford Properties IV
L.P. v. HUD, 907 F.2d 445, 448 (4th Cir. 1990) (noting this to be a long settled rule of judicial
administration); see also Myers v. Bethlehem Shipbuilding Corp., 303 U.S. 41, 50-51 (1938).
This rule is no less applicable where a litigant raises issues of a constitutional dimension. See,
e.g., Nationsbank Corp. v. Herman, 174 F.3d 424, 429 (4th Cir. 1999) (recognizing the
consistent and unambiguous line of cases rejecting the contention that constitutional claims
should be exempt from the exhaustion requirement). And although administrative exhaustion is
generally a prudential doctrine, see Volvo GM Heavy Truck Corp. v. Dept of Labor, 118 F.3d
205, 211-12 (4th Cir. 1997), it becomes a jurisdictional mandate where Congress has created an
exclusive system for administrative and judicial review within a particular context.
Where Congress has created a streamlined review scheme that channels judicial review
into a single Article III forum, constitutional challenges must be presented to that forum at the
We conclude that the Mine Acts comprehensive enforcement scheme, combined with the
legislative historys clear concern with channeling and streamlining the enforcement
process, establishes a fairly discernible intent to preclude district court review in the
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present case. . . . To uphold the District Courts jurisdiction in these circumstances would
be inimical to the structure and the purposes of the Mine Act.
Thunder Basin Coal Co. v. Reich, 510 U.S. 200, 215 (1994) (emphasis added) (footnotes and
citations omitted) (quoting Johnson v. Robison, 415 U.S. 361, 368 (1974)). Put simply, allowing
a litigant to circumvent Congresss deliberately-crafted review scheme would both defeat the
purpose behind the streamlined system and merely duplicate the specific judicial review that
Congress provided. See Sturm Ruger & Co. v. Herman, 300 F.3d 867, 876 (D.C. Cir. 2002)
(Our obligation to respect the review process established by Congress bars us from permitting
Sturm Ruger to make this end run [around Congresss review scheme], and requires dismissal of
its district court complaint.); see also Hirschberg v. CFTC, 2003 WL 22019310, at *4 (N.D. Ill.
Aug. 27, 2003) (Because Hirschbergs constitutional claims also can be meaningfully
addressed in the court of appeals . . . this Courts jurisdiction would duplicate the CEAs
statutory appeals procedure.). Put simply, as the Supreme Court has more recently concluded,
the appropriate inquiry is whether it [was] fairly discernible from the statutory scheme that
Congress intended litigants to proceed exclusively through the statutory review process. Elgin
Another Eastern District jurist recently applied these principles to preclude this Courts
jurisdiction over a request to enjoin the conduct of USPTO administrative proceedings based
on allegations that those proceedings ran afoul of plaintiffs constitutional rights because the
Patent Act established a particular scheme for judicial review. See Cooper v. Lee, 86 F. Supp.
3d 480 (E.D. Va. 2015). In Cooper, plaintiffs were patent owners embroiled in inter partes
review proceedings before the USPTO proceedings through which the USPTO reconsiders its
prior decision to issue a patent. As here, plaintiffs in Cooper maintained that these inter partes
review proceedings violated their constitutional rights, and asked this Court to enter an
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injunction terminating those proceedings. See id. at 482. Much like its treatment of USPTO
disciplinary proceedings, the Patent Act provided a single avenue for judicial review of
administrative inter partes review proceedings i.e., an appeal to the Federal Circuit from the
Patent Trial and Appeal Boards (PTAB) final written decision. See 35 U.S.C. 319. For this
reason, inter alia, Judge Lee concluded that he could not entertain plaintiffs claims about the
constitutionality of the proceedings, and that any constitutional challenge needed to be presented
to the Federal Circuit at the end of proceedings pursuant to the congressionally-created scheme
And so it is here. There can be little doubt that, as the Federal Circuit has already held,
Congress intended that the filing of a petition for review in this Court pursuant to 32 after the
USPTO Director issues her final administrative decision would serve as the exclusive
mechanism for Article III review of disciplinary charges against a USPTO practitioner. It is
well-settled that a precisely drawn, detailed statute pre-empts more general remedies. Brown
v. GSA, 425 U.S. 820, 834 (1976). The Patent Acts establishment of a private right of action
for Article III judicial review for an aggrieved practitioner pursuant to 32 easily fits this
principle. The process by which the USPTO may seek to discipline an agency practitioner
administrative appellate proceedings before the USPTO Director are, as detailed above, both
comprehensive and specific. And at the end of these administrative proceedings, should the
USPTO enter a final order of suspension against a practitioner, Congress provided a specific
cause of action for Article III judicial review of that order. See 35 U.S.C. 32. For these
reasons, the Federal Circuit has held that litigants cannot raise challenges constitutional or
19
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See Franchi v. Manbeck, 972 F.2d 1283, 1288-89 (Fed. Cir. 1992).
But that is exactly what plaintiff asks of this Court to adjudicate the propriety of a
portion of the pending disciplinary charges against him while administrative proceedings related
to those charges are ongoing, before either the independent hearing officer or the USPTO
Director can render a decision on those disciplinary charges, and outside of the specific avenue
for judicial review Congress authorized. The above authority precludes this Court from
administrative and judicial review of disciplinary charges through a collateral Article III
proceeding. And although not dispositive of this issue, plaintiff has an opportunity to press his
argument that the RFIs in question were unconstitutional during the pending administrative
proceedings.7 As the relevant USPTO RPC provides, plaintiff can only be disciplined for failing
to respond to a lawful request for information during investigation, see 37 C.F.R. 11.801(c);
indeed, OEDs complaint against plaintiff specifically provides that its requests of plaintiff were
lawful within the meaning of the rule. DEX 3. Plaintiff will thus be able to argue to the
independent hearing officer, the USPTO Director, and ultimately this Court within 32 judicial
review that OEDs RFIs were unconstitutional (or, in the parlance of the rule, unlawful).
Regardless, however, this Court lacks jurisdiction to consider plaintiffs request for an
injunction terminating that portion of the disciplinary proceedings against him outside of the
exclusive vehicle for judicial review found in 32. Plaintiffs constitutional challenge to any
7
Importantly, individuals are still required to traverse a particularized administrative and
judicial review scheme even if an administrative agency cannot provide it the constitutional
relief requested. See, e.g., Ticor Title Ins. Co. v. FTC, 814 F.2d 731, 738 (D.C. Cir. 1987)
(opinion of Edwards, J.) (holding that general exhaustion rule has been applied even where the
plaintiffs have challenged the very authority of the agency to conduct proceedings against them)
20
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potential discipline based on his purported failure to respond to OEDs RFIs in this Court thus
must await the conclusion of administrative review, and proceed pursuant to 32.
B. THERE HAS BEEN NO FINAL AGENCY ACTION OVER WHICH THIS COURT
MAY EXERCISE JURISDICTION
Even if this Court, despite the Federal Circuits decision in Franchi, were to conclude that
the administrative and judicial review scheme Congress authorized in 32 was not the exclusive
means by which to review USPTO disciplinary decisions, there still has been no final agency
action over which this Court can exercise judicial review. In this respect, at bottom, plaintiff
seeks judicial review over an ongoing administrative proceeding a matter generally governed
by the provisions of the Administrative Procedure Act (APA). But the APA only authorizes
As the Supreme Court has held, the mere filing of an administrative complaint against a
litigant is the antithesis of a final agency action, as it is only the beginning of the
administrative process. FTC v. Standard Oil Co., 449 U.S. 232, 241-43 (1980). The rationale
behind this strict limitation is clear: review of a non-final agency decision interfere[s] with the
proper functioning of the agency and [is] a burden for the courts. Id. at 242. Allowing district
courts to exercise APA jurisdiction over such action leads to piecemeal review which at the
least is inefficient and upon completion of the agency process might prove to have been
unnecessary. Id. Put simply, as delineated above, plaintiff may present his argument that the
RFIs in question were unlawful, and that the disciplinary charges based on the same should
thus not be sustained, during his pending disciplinary proceedings arguments that either the
independent hearing officer or the USPTO Director on administrative appellate review may very
well accept, thus obviating any need whatsoever for this Courts Article III review.
21
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III. THE RFIS SERVED BY OEDS INVESTIGATORS DID NOT RUN AFOUL OF PLAINTIFFS
CONSTITUTIONAL RIGHTS
disciplinary proceedings outside of Congresss scheme for administrative and judicial review,
there was nothing constitutionally-infirm about either the OED investigators RFIs, or the
disciplinary charges based on plaintiffs responses to the same. As stated above, plaintiff will
have a full and fair opportunity to argue during the disciplinary hearing before an independent
administrative law judge (and on administrative and judicial review) that those RFIs were
unconstitutional. But those arguments are meritless, as nothing about OEDs RFIs violated
Nor does this Court consider these constitutional questions on a completely blank slate,
as there has been judicial treatment of virtually identical arguments of constitutional deprivation
to those that plaintiff presents here Judge Motzs separate decision in Goldstein v. Moatz, 364
F.3d 205 (4th Cir. 2003). In Goldstein, another USPTO practitioner under investigation by OED
putatively overbroad and burdensome RFIs. See id. at 210. Judge Motz, writing separately,8
concluded that these allegations utterly fail[ed] to . . . give rise to any constitutional violation.
See id. at 220 (Motz., J., dissenting). Citing to the Supreme Courts decisions in Hannah v.
Larche, 363 U.S. 420 (1960) and SEC v. Jerry T. OBrien, Inc., 467 U.S. 735, 742 (1984), Judge
8
To be sure, Judge Motzs separate opinion was technically a dissent. But it was not a
traditional dissent in that she was not disagreeing with any legal analysis offered by the panel
majority. In Goldstein, the District Court dismissed the action based on its conclusion that the
defendants were entitled to absolute immunity from suit, and the panel majority reversed that
conclusion. See Goldstein, 364 F.3d at 219. The panel majority did not entertain the merits of
Goldsteins constitutional arguments, electing to remand the matter back to the District Court.
See id. Judge Motz simply believed that the constitutional merits the very same arguments that
plaintiff presses here were too weak even to merit remand, especially because to do so would
serv[e] only to prolong a plainly meritless case. Id. at 220 n.1 (Motz, J. dissenting).
22
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Motz noted that the courts summarily rejected a number of constitutional challenges to similar
[] investigative procedures, and had done so with respect to attorney discipline and public
corruption investigations as well. Id. at 222 (Motz, J., dissenting). There is no reason for this
Plaintiff first maintains that the OED investigators RFIs ran afoul of his Fifth
Amendment rights to procedural due process. The Fifth Amendment to the United States
Constitution generally provides that an individual may not be deprived of life, liberty, or
property, without due process of law. U.S. CONST. amend V. The procedural requirements of
the Due Process Clause have not been the subject of precise definition, leaving the minimal
constitutional protections afforded by the provision somewhat difficult to ascertain with any
mechanical certainty. See, e.g., Morrissey v. Brewer, 408 U.S. 471 (1972) ([D]ue process is
flexible and calls for such procedural protections as the particular situation demands.).
Notwithstanding the vague decisional authority concerning the contours of the right, the
Supreme Court has held that from a general perspective due process protections minimally
But as the Supreme Court has repeatedly held, and Judge Motz correctly observed, the
Fifth Amendments procedural due process protections do not attach to issues related to agency
fact-finding efforts:
23
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Hannah v. Larche, 363 U.S. 420, 442 (1960) (emphasis added); see also SEC v. Jerry T. OBrien,
Inc., 467 U.S. 735, 742 (1984) (holding that Hannah leaves no doubt that [] the Due Process
Clause of the Fifth Amendment is not offended when a federal administrative agency . . . uses
its subpoena power to gather evidence). The same dichotomy applies here. Although plaintiff
seeks injunctive relief with respect to the OED Directors prosecution of him on charges of
unethical conduct, his constitutional arguments are focused on RFIs that were issued to him
during by the OED investigators during the investigatory process. The Due Process Clause is
legal rights. OBrien, 467 U.S. at 742. And now that the OED Director has commenced
disciplinary proceedings during which plaintiffs legal rights will most certainly be
adjudicated plaintiff will receive far more than constitutionally-minimal due process.
Before leaving the Fifth Amendment, it bears mentioning that what ostensibly serves as
the gravamen of plaintiffs due process claim i.e., that there is a complete absence of any
mechanism to challenge troublesome RFIs is wildly inaccurate. As stated above, in the wake
of the Fourth Circuits Goldstein criticism in this regard, the USPTO created a specific
administrative and judicial review scheme for any action taken by OED personnel during an
investigation. See 37 C.F.R. 11.2(e). Not only is a dissatisfied practitioner afforded two levels
of administrative review, but any final agency action issued by the USPTO Director on this score
may be appealed to this Court under the APA. Even were due process strictures to attach to
OED investigations and they do not the USPTOs tailor-made process more than adequately
24
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1. Plaintiff also maintains that the RFIs amount[] to an unreasonable search within the
meaning of the Fourth Amendment. Complaint, 70. It is difficult to comprehend the nature of
plaintiffs claim in this regard, because OED did not attempt to affect anything approaching the
type of search that typically animates Fourth Amendment analysis. Based on the briefing in
Goldstein, however, it appears that plaintiff is attempting to equate the Fourth Amendment
jurisprudence applicable to administrative subpoenas to the RFIs at issue here. See, e.g., United
States v. Morton Salt Co., 338 U.S. 632, 642-43 (1950). To the best of undersigned counsels
knowledge, there is no decisional authority in this jurisdiction applying this strain of Fourth
Amendment authority to simple requests for information to licensed attorneys during an bar
Nor should this Court extend Fourth Amendment jurisprudence to encompass RFIs
issued during a fact-finding investigation into putative attorney misconduct. Unlike subpoenas
which are enforceable through the contempt power of the judiciary OED RFIs are not
enforceable through any particular mechanism; indeed, failure to comply with a RFI is only
potentially grounds for an independent disciplinary charge, which itself is ultimately adjudicated
through the administrative and judicial review process.9 Cf. In re Bailey, 182 F.3d 860, 862
(Fed. Cir. 1999) (rejecting constitutional arguments against dilatory and abusive tactics of a
9
Indeed, the Oklahoma Supreme Court has differentiated between requests for
information to an attorney during a disciplinary investigation and a third-party subpoena during
that same investigation. See Oklahoma ex rel. Oklahoma Bar Assn v. Gasaway, 863 P.2d 1189,
1198-1200 (Okla. 1993). During a bar investigation, the Oklahoma Bar Association asked the
relevant attorney to provide information and documents, but the attorney twice declined to
respond. Id. at 1198. In response, the Bar Association transmitted a subpoena to a third-party
bank for similar documentation, and noting that the court was amply empowered to enforce a
subpoena issued in the course of Bar disciplinary proceeding ultimately applied Fourth
Amendment doctrine to the subpoena. Id. at 1199-1200.
25
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bar association during attorney investigation because the court, not the Committee ultimately
2. But in any event, even were the Fourth Amendment law applicable to administrative
subpoenas applicable to OEDs RFIs, there can be little doubt that these RFIs would pass
constitutional muster. As the Supreme Court has held, to be consistent with the Fourth
Amendment, an administrative subpoena is sufficient if the inquiry is within the authority of the
agency, the demand is not too indefinite, and the information sought is reasonably relevant.
Morton Salt, 338 U.S. at 652-53. Importantly, this standard is extremely fluid, allows an agency
much leeway, and thus cannot be reduced to formula because relevancy and adequacy or
excess in the breadth of the subpoena are matters variable in relation to the nature, purposes and
scope of the inquiry. Oklahoma Press Publishing Co. v. Walling, 327 U.S. 186, 209 (1946).
In this respect, plaintiff primarily complains about the breadth of OEDs RFIs,
maintaining that because those requests asked him for information about his representational
efforts over a large period of time (and thus concerned a large number of trademark applications
with which he was allegedly involved), they were overly burdensome. But the Fourth Circuit
has rejected this argument under very analogous circumstances in the context of a subpoena that
would have required a physician to produce more than 15,000 patient files alone, consisting of
between 750,000 and 1.25 million pages of material that would obviously been sensitive in
nature. In re Subpoena Duces Tecum, 228 F.3d 341, 345 (4th Cir. 2000). As the panel provided:
[I]f Bailey had treated 15,000 patients over a period of seven years and all of them were
reimbursed on claims he submitted, a suspicion of fraud on these claims would justify a
review of Baileys documentation of services to these patients, of the claims submitted on
their behalf, and of the reimbursements collected. Even though these documents might
be numerous, they would reasonably relate to and further the governments legitimate
inquiry, which might be defined by any of 13 federal statutory offenses, including fraud.
26
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Id. at 350.10 Here, at their allegedly most burdensome, the RFIs that OED tendered to plaintiff
did not seek the production of anything approaching this level of documentation; rather, akin to
an interrogatory, they asked plaintiff a question about his practice. Complaint, ex.B. Because
OED was not required to ascertain . . . the extent of any wrongdoing on plaintiffs part before
issuing its RFIs, id. at 351, it was certainly not constitutionally-required to limit its RFIs before
CONCLUSION
For the foregoing reasons, this Court should dismiss plaintiffs complaint against the
USPTO.
Respectfully submitted,
DANA J. BOENTE
UNITED STATES ATTORNEY
By: _________/s/____________________
DENNIS C. BARGHAAN, JR.
Assistant U.S. Attorney
2100 Jamieson Avenue
Alexandria, Virginia 22314
Telephone: (703) 299-3891
Fax: (703) 299-3983
Email: dennis.barghaan@usdoj.gov
10
For this reason, plaintiffs reflexive invocation of the attorney-client relationship does
not change the constitutional calculus. Indeed, even 11.801(b) itself provides that a
practitioner cannot be sanctioned merely for refusing to provide information that the rules
otherwise deem confidential, see 37 C.F.R. 11.106, as a result of the attorney-client
relationship.
27
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CERTIFICATE OF SERVICE
I hereby certify that on this date, I electronically filed the foregoing with the Clerk of
Court using the CM/ECF system, which will transmit a true and correct copy of the same to the
following:
Danny M. Howell
Sands Anderson, P.C.
1497 Chain Bridge Road, Suite 202
McLean, Virginia 22101
Email: dhowell@sandsanderson.com
28
I N TH E UN I TED STATES PATEN T AN D TRAD EM ARK OFFI CE
BEFORE TH E TRAD EM ARK TRI AL AN D APPEAL BOARD
v.
EXH I BI T D