NYU School of Law Outline:
Trademarks, Barton Beebe
Will Frank (Class of 2011)
Fall Semester, 2009
Contents
1 Introduction to Trademark and Unfair Competition Law 3
1.1 Sources and Nature of Rights . . . . . . . . . . . . . . . . . . . . 4
1.2 The Nature of Unfair Competition Law . . . . . . . . . . . . . . 4
1.3 Purposes of Trademark Law . . . . . . . . . . . . . . . . . . . . . 4
1.4 The Lanham Act . . . . . . . . . . . . . . . . . . . . . . . . . . . 5
2 Distinctiveness 6
2.1 The Spectrum of Distinctiveness . . . . . . . . . . . . . . . . . . 7
2.2 Descriptiveness and Secondary Meaning . . . . . . . . . . . . . . 7
2.3 Generic Terms . . . . . . . . . . . . . . . . . . . . . . . . . . . . 8
2.4 Distinctiveness of Nonverbal Identifiers (Logos, Packages, Prod-
uct Design, Colors) . . . . . . . . . . . . . . . . . . . . . . . . . . 9
2.4.1 Different Tests/Standards? . . . . . . . . . . . . . . . . . 9
2.4.2 Expanding the Types of Nonverbal Marks . . . . . . . . . 9
2.4.3 The Design/Packaging Distinction . . . . . . . . . . . . . 10
2.4.4 Trade Dress Protection After Wal-Mart . . . . . . . . . . 10
2.5 The Edge of Protection: Subject Matter Exclusions? . . . . . . . 12
2.5.1 Exotic Source-Identifiers . . . . . . . . . . . . . . . . . . . 12
2.6 Review . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 12
3 Functionality 13
3.1 The Concept . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 14
3.2 The Scope of the Doctrine . . . . . . . . . . . . . . . . . . . . . . 15
3.3 The Modern Approach . . . . . . . . . . . . . . . . . . . . . . . . 15
3.4 Post-TrafFix Devices Applications . . . . . . . . . . . . . . . . . 17
4 Use 18
4.1 As a Jurisdictional Prerequisite . . . . . . . . . . . . . . . . . . . 18
4.2 As a Prerequisite for Acquiring Rights . . . . . . . . . . . . . . . 18
4.2.1 Actual Use . . . . . . . . . . . . . . . . . . . . . . . . . . 18
4.2.2 Constructive Use . . . . . . . . . . . . . . . . . . . . . . . 19
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4.3 “Surrogate” Uses . . . . . . . . . . . . . . . . . . . . . . . . . . . 20
4.3.1 By Affiliates . . . . . . . . . . . . . . . . . . . . . . . . . . 20
4.4 The Public as Surrogate . . . . . . . . . . . . . . . . . . . . . . . 20
4.5 Loss of Rights . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 21
4.5.1 Abandonment Through Non-Use . . . . . . . . . . . . . . 21
4.5.2 Abandonment Through Failure to Control Use . . . . . . 21
5 Registration 22
5.1 The Registration Process . . . . . . . . . . . . . . . . . . . . . . 22
5.1.1 Overview . . . . . . . . . . . . . . . . . . . . . . . . . . . 22
5.1.2 Post-Registration Actions . . . . . . . . . . . . . . . . . . 22
5.1.3 Sample Questions . . . . . . . . . . . . . . . . . . . . . . 23
5.2 Exclusions from Registration . . . . . . . . . . . . . . . . . . . . 23
5.2.1 Overview . . . . . . . . . . . . . . . . . . . . . . . . . . . 23
5.2.2 Scandalous, Disparaging, and Deceptive under §2(a) . . . 24
5.2.3 Geographic . . . . . . . . . . . . . . . . . . . . . . . . . . 25
5.2.4 Name Marks . . . . . . . . . . . . . . . . . . . . . . . . . 26
5.2.5 Incontestability . . . . . . . . . . . . . . . . . . . . . . . . 27
6 Geographic Limits on Rights 28
6.1 Limits on Common-Law Rights: Tea Rose . . . . . . . . . . . . . 28
6.2 Limits on Registered Rights . . . . . . . . . . . . . . . . . . . . . 29
6.3 The Territorial Nature of U.S. Rights . . . . . . . . . . . . . . . . 30
7 Confusion-Based Liability Theories 31
7.1 The Evolution of the Confusion Standard . . . . . . . . . . . . . 31
7.2 Unauthorized Use Prerequisite . . . . . . . . . . . . . . . . . . . 32
7.3 The Factors Analysis . . . . . . . . . . . . . . . . . . . . . . . . . 33
7.3.1 Similarity of the Marks . . . . . . . . . . . . . . . . . . . 33
7.3.2 Defendant’s Intent . . . . . . . . . . . . . . . . . . . . . . 34
7.3.3 Proximity of Goods/Possible Gap-Bridging . . . . . . . . 34
7.3.4 Strength of Plaintiff’s Mark . . . . . . . . . . . . . . . . . 34
7.3.5 Evidence of Actual Confusion . . . . . . . . . . . . . . . . 34
7.3.6 Sophistication of Consumers . . . . . . . . . . . . . . . . . 35
7.4 Applying the Multi-Factor Test . . . . . . . . . . . . . . . . . . . 35
7.4.1 Internet . . . . . . . . . . . . . . . . . . . . . . . . . . . . 35
7.4.2 Private Label Goods . . . . . . . . . . . . . . . . . . . . . 35
7.5 Confusion Away from Point-of-Sale . . . . . . . . . . . . . . . . . 35
7.5.1 Initial Interest Confusion . . . . . . . . . . . . . . . . . . 35
7.5.2 Post-Sale Confusion . . . . . . . . . . . . . . . . . . . . . 36
7.6 Reverse Confusion . . . . . . . . . . . . . . . . . . . . . . . . . . 37
7.7 Indirect and Vicarious Theories . . . . . . . . . . . . . . . . . . . 38
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8 Non-Confusion-Based Theories 39
8.1 Dilution Protection . . . . . . . . . . . . . . . . . . . . . . . . . . 39
8.1.1 Evolution of the Cause of Action . . . . . . . . . . . . . . 39
8.1.2 Actual v. Likelihood . . . . . . . . . . . . . . . . . . . . . 40
8.1.3 TDRA Case Law . . . . . . . . . . . . . . . . . . . . . . . 41
8.1.4 The European Approaches . . . . . . . . . . . . . . . . . . 42
9 Permissible Uses of Another’s Trademarks 42
9.1 Fair Use . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 42
9.1.1 Descriptive Fair Use . . . . . . . . . . . . . . . . . . . . . 43
9.1.2 Nominative Fair Use . . . . . . . . . . . . . . . . . . . . . 44
9.2 Use on Genuine Goods: “First Sale” Doctrine . . . . . . . . . . . 45
9.3 Use in Parody or Speech . . . . . . . . . . . . . . . . . . . . . . . 45
1 Introduction to Trademark and Unfair Com-
petition Law
Trademark law “offers the clearest insight into the modern human con-
dition.” It can help us develop rules, descriptions, and points of theory
about the modern consumer society, constitutional law, human history,
and semiotics.
Trademark seems easy. You can get the gist from one opinion in half an
hour. But not knowing the details can lead to a train wreck.
The economy has been “dematerialized”–an iPhone weighs a thousandth
of a manhole cover but is much more valuable.
Trademarks can contribute to “cultural imperialism,” for example.
Louis Vuitton Malletier v. Haute Diggity Dog: An introduction.
Vuitton’s value is entirely within its trademarks.
It claimed that HDD’s “Chewy Vuitton” toys both infringed and
diluted through tarnishment.
These days, there tend to be three main claims of affecting a trade-
mark:
Infringement: Taking someone else’s marks or close enough to
trade on the goodwill customers have for the original.
Dilution by blurring: Blurring the immediacy of the link between
trademark and source.
Dilution by tarnishment: Placing the brand name in an unsavory
position that the company doesn’t want.
This case got thrown out on parody grounds, of course. But it’s an
introduction to the concepts.
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Interestingly, you can copyright, trademark, and/or patent (as long as
there’s eligibility). And a trademark doesn’t expire.
1.1 Sources and Nature of Rights
The Trade-Mark Cases: The first major trademark case to reach the
Supreme Court.
Supreme Court: “Trademark has a long and storied history, which
we’re not going to prove.”
Translation: it doesn’t, and they can’t. Trademark is a post-scarcity
development.
The Supreme Court distinguished copyright and patent, saying that
the Copyright Clause was not a justification of trademark; they were
not a writing, but an “adaptation of something already in existence,”
and were “no work of the brain.”
If Congress couldn’t assert authority over barrels, casks, bottles, and
boxes, why trademarks?
Nowadays, of course, there’s a big difference. But not back then.
The Commerce Clause couldn’t cover, either, because this was a 19th-
century idea of interstate commerce. So the Feds couldn’t regulate
trademarks, except with foreign nations and the Indian nations.
In 1946, though, the Lanham Act was enacted. It was actually written in
the ’30s but World War II got in the way.
1.2 The Nature of Unfair Competition Law
It is unfair competition to pass off your goods as those of another.
This was actually broader than trademark law; but nowadays, since it’s
encapsulated in the Lanham Act, unfair competition is almost a subset of
trademark. (Or some weird co-set.)
1.3 Purposes of Trademark Law
The Trade-Mark Cases were decided in 1879, post-Civil War and at the
end of Reconstruction. . . the emergence of the national market. As the
US became a more industrialized nation, trademarks became important
to the economy and to source-identification of goods.
Hesseltine, in 1906: “Trade-mark law is one of the results of machinery.”
With the end of handmade goods, it became necessary to identify where
they came from.
Trademarks started as markings on crates with logos, so companies could
claim goods if they were lost.
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They moved to become liabilities for guilds–you place your imprimatur
on the product, so if it’s of bad quality, your guild can find out who’s
responsible. The “sword breaking in combat” scenario.
Then came the shift to a trademark as advertising asset.
Three periods of consideration in trademark scholarship:
1870- 1915: “Property Rights.” Trademarks are corporate property,
and should be protected as such.
1915-1930s: “Protect Consumers from Trademarks.” Trademarks
persuade people to buy things they don’t need. The Department of
Justice in particular was hostile to expansion of trademark protection
in federal law–which was part of the delay on the Lanham Act.
1980s: “Protect Consumers with Trademarks.” Trademarks help
consumers by minimizing search costs and ensuring quality level.
1.4 The Lanham Act
The Lanham Act §45 defines a trademark: “The term ‘trademark’ includes
any word, name, symbol, or device, or any combination thereof. . . used by
a person, or which a person has a bona fide intention to use in com-
merce. . . to identify and distinguish his or her goods, including a unique
product, from those manufactured or sold by others and to indicate the
source of the goods, even if that source is unknown.
One underlying theme of trademark law is that trademarks are associated
with a product.
Imagine a two-dimensional trademark space, with trademarks across the
Y axis, and products along the X; each trademark gets a scope around the
point. In the case of something like “Coke,” it’s practically all products.
The “unique product” language is a response to the Anti-Monopoly Game
case, where “Monopoly” was ruled generic because it was unique. It re-
ferred to the entire category of games (which had one item in it).
The theory of trademark protections dating from the late 19th century
was “Strict Source”: protect a trademark only if it refers to the place
from which the goods originate or are manufactured. Companies can’t
license.
The modern theory, Anonymous source, says “who cares where they come
from, as long as it’s consistent?” Hence, the “even if that source is un-
known” language.
The “bona fide intention” language refers to the “intent to use basis,”
wherein a user can register a trademark that it wants to use. This language
was established in 1988.
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There are many types of marks:
Trademarks
Service Marks
Certification Marks
Collective Marks
Geographic(al) Indicators
Important sections of the Act include:
§1: Bases for registration, 1A (actual use) versus 1B (intent).
§2: The subject matter of the Lanham Act–what can be registered
as a trademark in US law? §2(f) allows the registration of descriptive
marks on a showing of secondary meaning.
§3-4: Service and collective/certification marks.
§8: Duration.
§15: A mess concerning incontestability of a mark.
§32: Remedies, infringement, and “innocent infringement.” This is
the hinge, going from “what gets protected” to “what it gets pro-
tected against.”
§43(a): Very broadly allowing protections even to unregistered marks.
This is traditional. There’s no rational explanation, but the
section has been so modified over time that it refers to both
registered and unregistered marks–and the protections apply to
the same degree for both.
There is a Brennan opinion saying, outright, that “the protection
to unregistered marks is now the same as registered.”
There are still advantages to registration: priority date, national
rights, &c.
§45: Definitions.
The EU Trademark Directive defines a trademark a bit differently: “A sign
capable of being represented graphically (including trade dress), provided
that such signs are capable of distinguishing one product from another.”
The “graphical representation” bit is tricky. TRIPS allows visual perception–
and the US allows smells, tastes, and sounds.
2 Distinctiveness
Lanham Act §45: “The term ‘trademark’ includes any word, name, symbol,
or device, or any combination thereof. . . to identify and distinguish his or her
goods, including a unique product, from those manufactured or sold by others
and to indicate the source of the goods, even if that source is unknown.”
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2.1 The Spectrum of Distinctiveness
Abercrombie & Fitch Co. v. Hunting World, Inc.: Outlines a spectrum
of how distinctive a trademark is:
Arbitrary and fanciful
Suggestive
Descriptive
Generic
Arbitrary, fanciful, and suggestive marks can be registered.
Descriptive marks can be registered upon a showing of “secondary meaning”–
that it has acquired some sort of distinctiveness. “X300” as a mark for a
version of a car, for example.
Incidentally, misspelling a word (or spelling it in a foreign language) will
not grant trademark protections when the word itself is not protectable:
“Komputer” or “Lait” will not do.
“Fanciful” means coined, or made up.
“Arbitrary” means real words, but completely unrelated to the product.
The stronger the trademark, the more protection it gets.
2.2 Descriptiveness and Secondary Meaning
Zatarain’s v. Oak Grove: Discusses the doctrine of secondary mean-
ing/acquired distinctiveness.
How a court determines descriptiveness versus arbitrary or suggestive:
The dictionary definition (note: sometimes, there’s a debate about
language. Stick with US.)
The “imagination test” (does the term “require imagination, thought
and perception”?)
Competitive need (would competitors find the term useful to describe
their similar products?)
Third-party uses (an in-practice examination of the competitive need)
So once a term has been found descriptive, the court must decide whether
it has secondary meaning. Factors include:
Amount and manner of advertising
Volume of sale
Length and manner of use
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Survey evidence (which may strike against, but which can be very
helpful–“the most direct and persuasive way of establishing”)
Testimony from consumers, proof of actual confusion, physical man-
ner used, intentional copying
It’s unknown how much each factor weights comparatively (besides the
survey note).
A descriptive term with advertising that emphasizes it, for example, might
enhance the analysis.
In re Oppendahl & Larson: Effort to register “patents.com” as a trade-
mark.
In this case, it was considered to be more akin to a street address or
telephone number.
Note that there are separate cybersquatting statutes (enforced by contract
law) and that similarity is harder to show.
2.3 Generic Terms
Filipino Yellow Pages v. Asian Journal Pubs: A trademark answers the
question “who are you?” A generic answers the question what are you?”
Generic terms identify the genus, of which the product is a species.
Generic terms can have secondary meaning, but even that doesn’t make
it eligible for protection.
Except that some trademarks that have fallen into genericism can be
pulled back out. (But if a mark is decided to be generic from the start,
it’s stuck there.)
Pilates v. Current Concepts: Factors supporting a finding of genericism:
Dictionary definitions
Generic use by competitors
Plaintiff’s own generic use
Generic use in the media
Consumer surveys (again, very helpful)
However, under the Lanham Act §14(3), a unique product (“Google that”–
do they mean “search,” or Google itself?) is not generic simply because
the product is unique.
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2.4 Distinctiveness of Nonverbal Identifiers (Logos, Pack-
ages, Product Design, Colors)
2.4.1 Different Tests/Standards?
Seabrook Foods: The Court of Customs and Patent Appeals decides whether
the Seabrook Farms logo was distinctive. Several factors:
Whether the design is a “common” basic shape or design
Whether the design is unique or unusual in the field in which it is
used
Whether the design is a “mere refinement” of a commonly-adopted
and well-known form of ornamentation
Whether the design is capable of creating a commercial expression,
distinct from the words.
The Second Circuit insists that it uses the Abercrombie test for images
and designs, but Seabrook factors keep slipping in.
Star Indus., Inc. v. Bacardi: Stylized shapes or letters may qualify as
marks, if the design is unique or unusual.
The “O” design at issue satisfied the inherently-distinctive analysis. How-
ever, the mark is “thin,” entitled to limited protection (because other
people can use the letter “O”).
2.4.2 Expanding the Types of Nonverbal Marks
Two Pesos v. Taco Cabana: Trade dress (similar coloring, awning design,
and architectural layout).
Court found that trade dress can be inherently distinctive, and protectable,
without a need to show secondary meaning.
The Court was worried about trade dress of small businesses–“adding a
secondary meaning requirement could have anticompetitive effects.”
Meanwhile, Justice Stevens talks at length about how the Lanham Act
§43(a) has morphed over the years. Not that he objects, but he thinks it’s
worth it to emphasize the change.
Qualitex v. Jacobson: There is no ontological bar to the protectability of
certain forms. “It is the source-distinguishing ability of a mark–not its
ontological status as color, shape, fragrance, word, or sign–that permits it
to serve” as a trademark.
The Court says, “we don’t care what it is, we care what it does.”
If a plaintiff can show that its green-gold dry cleaning press pads have
secondary meaning, which it did, it could get protection as a trademark.
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There could not be inherent distinctiveness, though. How do you show a
color is inherently distinctive? You don’t.
(Qualitex can also be read as a functionality case, proposing a high bar
to a finding of functionality.)
2.4.3 The Design/Packaging Distinction
After Qualitex. . . well, in intellectual property, lower courts have a habit
of marginalizing, massaging, or ignoring Supreme Court cases.
Duraco Prods. (3d Cir.): a product configuration must be “unusual and
memorable, conceptually separable from the product, and likely to serve
primarily as a designator of origin” to be inherently distinctive.
Knitwaves v. Lollytogs (2d Cir.): Inherent distinctiveness turns on “whether
it is likely to serve primarily as a designator of origin.”
Wal-Mart Stores v. Samara Bros.: The Supreme Court pulls back on Two
Pesos.
The Supreme Court quotes treatises that say that only truly inherently
distinctive nonverbal marks are inherently distinctive.
It also complicates things with the “tertium quid” discussion: “Yes, trade
dress can be inherently distinctive–but not product design, just product
packaging. There are three types: packaging, design, and some tertium
quid that is akin to packaging.”
Note that in this modern, post-industrial world, everything is the product–
there is no “packaging,” everything is part of design. When you go to a
restaurant, part of what they’re selling you is the atmosphere and look of
the place.
The Wal-Mart case had a cert question: “What must be shown to establish
that a design is inherently distinctive?”
The answer was “That’s impossible to show. A product design needs
secondary meaning to be protectable.”
And assume product design unless it’s absolutely clearly packaging.
2.4.4 Trade Dress Protection After Wal-Mart
In re Chippendales USA: TTAB opinion (with a dissent, which is unusual)
that analyzes the “tertium quid.”
The TTAB concludes that the tertium quid is “the provision of services.”
If you’re selling things, there’s design, and there’s packaging. If you’re
providing a service, the TTAB asks whether the product features are dis-
tinctive of source, period. So that’s the tertium.
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What about a restaurant? Hard Rock Cafe or Rainforest Cafe are proba-
bly services too.
In re Slokevage: “Flash Dare” jeans.
First question when analyzing trade dress: Is it packaging? If so, how do
we know whether it’s distinctive?
Here: “If the feature is part of the product, it’s configuration/design. If
it has utilitarian or aesthetically functional purposes, it’s configuration.”
Here, the mark is part of the product, so it’s configuration. Must show
secondary meaning.
What about the LV stamped on a Louis Vuitton bag?
“Sign value.” The mark is related only to reputation, so it’s not a design
discussion.
Yankee Candle: An example of the doctrinal questions. The YC display
system has shelves, stores, and most centrally, the jars and the labels.
YC tried to claim that the trade dress was “the total look and feel of the
company,” and as a secondary matter, the look and feel of the jars–or
perhaps the catalog.
The problem with overly broad claims is that they might be too indefinite
to grant any property rights. Also, the judge might find the whole thing
to be configuration.
YC argues that its product is candles, so everything associated with the
sale of the candles is packaging. Such as the arbitrary choices made on
the labels.
But the court throws that out, finds no inherent distinctiveness, and then
we go on to secondary meaning. No solid evidence, so it gets thrown out
too.
General Motors v. Lanard Toys: Similar analysis.
How do Abercrombie and Seabrook get along?
Seabrook is used in product packaging–it’s a test for inherent distinctive-
ness, after all.
Circuits tend to use Abercrombie to define the categories, specifically the
”inherently distinctive versus not inherently distinctive” divide, and then
uses the Seabrook analysis to decide where some packaging that’s on the
border falls.
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The Abercrombie hierarchy, generally, gives us five categories (plus, maybe,
“mere ornamentation”). Use that to figure out where a mark falls; then, if
it’s descriptive, use the factors in Zatarain’s and Yankee Candle (advertis-
ing, amount of sales, consumer surveys. . . ) to decide secondary meaning.
2.5 The Edge of Protection: Subject Matter Exclusions?
2.5.1 Exotic Source-Identifiers
In re Clarke: Can you register “a high-impact fresh floral fragrance rem-
iniscent of plumeria blossoms” as a mark for yarn?
Qualitex says there is no ontological bar. So the only question is, does
this sign distinguish source? (And is it nonfunctional?) In this case, yes.
So yes, you can register the fragrance.
There are very few smell marks, actually.
OHIM, the European trademark agency, won’t allow anything that can’t
be represented visually. (Sound marks can be represented visually–either
musical notes or a spectrogram.)
Ecuador has allowed a texture mark to be registered.
The design of a McDonald’s store, or Lamborghini scissor doors, or the
configuration of an Aeron chair.
2.6 Review
1. Approaches to determining whether a mark is descriptive, rather than
suggestive/arbitrary (Zatarain’s):
Dictionary definition
Imagination test
Competitive need
Third-party uses
2. Factors for determining secondary meaning (Zatarain’s)
Amount and manner of advertising
Volume of sale
Length and manner of use
Survey evidence
Additional factors from the Restatement:
Testimony from individual consumers
Proof of actual consumer confusion
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Physical manner in which used
Intentional copying
3. Factors for determining genericism (Filipino Yellow Pages)
Who are you vs. What are you: does the term identify the producer,
or the product type?
Anti-dissection rule: view the trademark as a whole, not as combining
elements.
Use by claimant as generic
Use by third parties (such as media) as generic
4. Factors for determining genericism (Pilates)
Dictionary definitions
Generic use by competitors
Plaintiff’s generic use
Generic use in media
Consumer surveys
Category Verbal Mark Packaging Configuration
Generic 3/4
Descriptive w/out secondary 3/4
Descriptive w/secondary 2 2 2
Suggestive 1 Abercrombie/Seabrook
Abercrombie is a spectrum, not factors.
Packaging marks: Start by asking, “suggestive?” If not, examine descrip-
tive same as verbal marks.
Samara Bros.: Assume configuration, then use the verbal marks secondary
meaning test.
3 Functionality
Lanham Act §2(e)(5): “[A trademark cannot be registered if it] comprises any
matter that, as a whole, is functional.”
Lanham Act §2(f): “Except as expressly excluded in. . . (e)(5) of this section,
nothing herein shall prevent the registration of a mark used by the applicant
which has become distinctive. . .
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3.1 The Concept
This has been touched on already, in genericism regarding verbal marks.
Can a Croc shoe be registered as a trademark?
What is the function? “To serve as a shoe”? “To serve as a clog that can
be donned and removed quickly, and that is comfortable”?
Recall Filipino Yellow Pages. Is the market yellow pages, ethnic yellow
pages, or Filipino yellow pages with particular headings?
In re Morton-Norwich Products: The genesis of functionality law.
De facto versus De jure functionality.
“Examination into the possibility of trademark protection is not to the
mere existence of utility, but to the degree of design utility.”
The questions underlying functionality decisions:
Would protection restrict the right to effectively compete?
Will protection hinder the competitor in competition?
Would protection inhibit competition?
Is the availability of the design “essential to effective competition”?
Would protection put competitors at a substantial non-reputation-
related disadvantage?
This is the difference between “the thing” and “the design of the thing.”
Minnesota Mining and Manufacturing was the first case that ever sug-
gested the entire design of an article or container could function as the
trademark.
But the big issue early in M-N was “de facto” versus “de jure” function-
ality.
What is the “de facto” function of a shoe? Protect the feet.
But what about the apple on computers? Doesn’t that serve the function
of identifying the computer?
That’s why de facto functionality can’t work. Under that definition, all
marks are functional.
So there is de jure functionality: so functional that, if we allow exclusive
rights, we are restricting competition.
The judge listed four factors to be used to determine whether a given
design was functional:
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1. The existence of an expired utility patent (often dispositive when it
exists).
2. That the originator touts the utilitarian advantages in advertising.
3. The availability of alternative designs (historically the leading factor;
the patents usually don’t exist).
4. That the design results from manufacturing advantages.
And aesthetic functionality is another mess entirely. What about a heart-
shaped chocolate box?
For aesthetic functionality, the third factor–availability of alternative designs–
is key.
3.2 The Scope of the Doctrine
Brunswick Corp.: To give one company exclusive rights to the color black
in outboard motors would impede competition.
There was an idea of “product features that are essential to compete”–
barriers to entry–being the limit of functionality.
But Brunswick said that if the feature “is the best, or at least one of a
few superior designs, for its de facto purpose.”
Similarly, Wallace Silversmiths discusses aesthetic functionality given the
market of baroque silverware.
Examples of the Morton-Norwich factors:
1. Vornado below.
2. Gibson Guitar (shape of the guitar gives best sound) or In re Babies
Beat. But see In re Weber-Stephen, where the advertising was “mere
puffery.”
3. In re Zippo: “This is the perfect, ideal design for a lighter–nothing
else will be so effective.” Eventually reversed.
3.3 The Modern Approach
Inwood Laboratories v. Ives Laboratories, footnote 10: “a product feature
is functional if it is essential to the use or purpose of the article or if it
affects the cost or quality of the article.”
Qualitex Labs expanded that point: “. . . ‘if it is essential to the use or
purpose of the article or if it affects the cost or quality of the article,’ that
is, if exclusive use of the feature would put competitors at a significant
non-reputation-related disadvantage.”
15
This equated the “essential” definition with the “non-reputation-related
disadvantage” definition.
Subsequent decisions, including Supreme Court decisions, cabined that to
aesthetic functionality only. That allowed them to suppress the equating
language.
But recall the de facto/de jure question: because the term we’re using is
“functional,” not “competitive need” or other, we have to deal with the
de facto meaning of the word.
So de jure functionality ends up with two tests:
1. Essential to use or purpose (the Inwood test)
2. Competitive need (the Morton-Norwich test, because of the promi-
nence of the third factor)
In later cases, we’ll see an attempt to redefine de jure functionality as
de factor: lowering functionality to the point that “if it performs a non-
reputation-related function, we will not allow trademark protection.” Bor-
derline.
Vornado Air Circulation Sys v. Duracraft: Vornado wanted to trademark
its spiraling vent design. They had a patent, but it was expired.
Note that it looks like Duracraft might have ceded the secondary meaning
point (this is produt design). But no matter.
The problem is, patent law functionality is de facto (“serving some iden-
tified, beneficial purpose”), but trademark law functionality is de jure
(“feature that is a competitive necessity, for which there are no equally
satisfactory alternatives”).
This was protecting an expired utility patent under trademark law.
So the Tenth Circuit established a new doctrine: “where a disputed prod-
uct configuration is part of a claim in a utility patent, and the configu-
ration is a described, significant inventive aspect of the invention, so that
without it the invention could not fairly be said to be the same invention,
patent law prevents its protection as trade dress.”
How do we decide “described, significant inventive aspect”? Where is that
grounded in patent law? (It’s kind of not.)
Furthermore, the suggestion from Vornado is that if the owner can show
alternatives, the design gets trademark protection.
TrafFix Devices v. Marketing Displays: The Supreme Court finally takes
up the functionality question.
16
MDI had an expired utility patent on the two-spring withstand-gusts-of-
wind design for road signs. TrafFix copied the design.
The Court threw out the Vornado reasoning. “What is the purpose of
this product feature? Is it an essential part? If so, it’s functional.”
A utility patent has “vital significance,” and gives great weight to the
presumption of functionality. It’s a very heavy burden (but the Court will
not say it’s impossible; perhaps they learned their lesson after Two Pesos)
to show non-functionality given a utility patent.
The Court tries to get rid of the market-based analysis and examine the
feature as an engineer–what purpose does the feature serve?
A product feature is functional if “it is essential to the use or purpose
of the article or if it affects the cost or quality of the article,” even if
competitive alternatives are available.
Does this give rise to a two-step test, two hurdles, or two tests? Who
knows. But here they are:
If a feature is essential, it is functional, even if there are competitive
alternatives.
If a feature is not essential, and there are no competitive alternatives,
it is functional. (“Competitive advantage” test, perhaps.)
3.4 Post-TrafFix Devices Applications
Two lines of cases developed trying to make sense of TrafFix.
First was the Valu Engineering line (including In re Organon and In re
The Kong Company, which have virtually ignored the TrafFix decision
(except to cite it for the nearly overwhelming significance of expired utility
patents) and gone back to the Morton-Norwich factors.
Valu Engineering: “The availability of alternative designs [can] be a legit-
imate source of evidence to determine in the first instance if a particular
feature is in fact ‘functional.”’
The second is the Eppendorf line, which applies the Inwood fomulation
formally. For example, in Eppendorf, because “fins of some shape, size
or number are necessary,” fins–in general–are functional. This practically
becomes de facto functionality!
Dippin Dots outlines the two tests, and claims it’s using the first; but it
says that color is functional because it indicates flavor, and size contributes
to creamy taste, so. . .
Footnote 7 also outlines how the competitive market gets defined–narrowly,
it seems.
17
Aesthetic functionality: use the competitive necessity test. The Eppendorf
line, we guess.
4 Use
Lanham Act §1(a)(1): “The owner of a trademark used in commerce may re-
quest registration of its trademark. . .
Lanham Act §45: “The term ‘use in commerce’ means the bona fide use of a
mark in the ordinary course of trade. . . a mark shall be deemed to be in use in
commerce on goods when. . . it is placed in any maner on the goods or their con-
tainers or the displays. . . and the goods are sold or transported in commerce.”
4.1 As a Jurisdictional Prerequisite
There are six aspects of “use in commerce”:
1. The limitations of “commerce” under the Commerce Clause
2. How to establish priority (actual use for common-law rights versus
actual or constructive use for federal registration rights)
3. Establishing ownership
4. Determining whether a mark has been abandoned
5. Determining types of actionable use (does use in a search engine raise
questions of liability?)
6. Determining fair use
Let’s knock off the first one real quick: Lanham Act §45 defines “com-
merce” as “all commerce which may be lawfully regulated by Congress.”
The Commerce Clause is very, very broad. That’s about all we need.
4.2 As a Prerequisite for Acquiring Rights
4.2.1 Actual Use
It is necessary to show actual use for common-law trademark rights; it is
sufficient to show actual use for federal registration rights.
Planetary Motion v. Techsplosion: Darrah releases CoolMail at the end of
1994, SuSe distributes it in 1995; Techsplosion activates the domain and
solicitation in 1998, and Darrah assigns CoolMail to PMI in 1999.
The Court gives several reasons why Darrah should be considered the first
user of the mark “CoolMail”:
Used in connection with the software
Widespread distribution
18
Giving away the software does not constitute not using it (“sold or
transported in commerce”)
The “Manly Moose” set of hypothetical facts lays out some of the possible
places that actual use can be found:
May 1 Conception in the head is not enough.
May 5 The lease agreement is not enough; there must be some sort of public
recognition.
May 7 Reserving a domain name, as a black letter rule, does not establish
priority rights. (The existence of an actual web site, however, can
help.)
May 10 Distributing fliers is probably not enough–though it’s starting to tip
in that direction.
May 13 See May 10.
May 15 A reasonable court might have a valid argument that the pizza boxes
, napkins, and sign constitute use; it wouldn’t be a clear-cut decision,
though.
May 20 “Token use” is not enough to establish actual use, now that trade-
mark law recognizes an “intent to use” application.
May 23 This is a lot closer–a court would probably agree that this cuts it here.
Free distribution and promotional distribution are not problems.
May 25 Once the restaurant is open, and pizzas are sold, that’s definitely use.
So if nothing else, it happens here.
“Tacking-on”–claiming that a changed mark gets the priority of the earlier
version–is very strict.
The infringement standard is, of course, much wider.
And “similarity” is very open-ended, with no doctrine to speak of.
4.2.2 Constructive Use
Lanham Act §1(b): “A person who has a bona fide intention. . . to use a trade-
mark in commerce may request registration of its trademark. . . Lanham Act
§7(c): “Contingent on the registration of a mark on the principal register pro-
vided by this Act, the filing of the application to register such mark shall con-
stitute constructive use of the mark. . .
Intent to use was established in the Trademark Law Revision Act, to
harmonize US law with international, settle uncertainty, and open the
advance date to those who couldn’t take advantage of token use.
The ITU application date is treated as the date of priority.
19
An application is filed, examined, and published; if there is no opposition,
a notice of allowance is issued contingent on good faith and actual use.
There are both defensive and offensive cases of using the §7(c) establish-
ment of constructive use as use.
Take the basic facts as in the Warnervision case:
A files an intent-to-use application with the office.
Z files for and begins to use the mark.
A perfects its application.
If A seeks to prevent Z from applying or using the mark, that’s offensive.
“Applicant uses ITU application to enjoin post-application-date ‘interme-
diate’ actual user from using the mark.”
If Z tries to enjoin A from using its mark, and A relies on the ITU ap-
plication, that’s defensive. “Applicant uses ITU application to prevent a
post-application-date ‘intermediate’ actual user from enjoining applicant’s
eventual actual use of the mark.”
At the PTO, 7(c) can be used both defensively and offensively, since all
they care about is registration anyway.
In federal court, 7(c) may only be used defensively. An application must
wait until completion of the registration process to use 7(c) offensively.
In other words, in federal court, you may say “we have an ITU application”
to block an injunction, but you can’t get an injunction issued on the
strength of the ITU application.
So, what can A do about Z’s use before A perfects its application? Noth-
ing. Z is living on borrowed time–and while it logically should stop using
sooner, it doesn’t always.
Perfecting an application can take a while, anyway.
4.3 “Surrogate” Uses
4.3.1 By Affiliates
The Boogie Kings v. Guillory: Franchise use “inures to the benefit” of
the mark owner.
If a franchisee starts using a mark, that use works as use for the franchisor.
4.4 The Public as Surrogate
Coca-Cola Co. v. Busch: Over time, a trademark can take forms of abbre-
viation that the company can assert rights in, even if it wasn’t responsible
for them. (Confusion is confusion.)
20
4.5 Loss of Rights
4.5.1 Abandonment Through Non-Use
Lanham Act §45: “A mark shall be deemed to be ‘abandoned’ if. . . its use has
been discontinued with intent not to resume such use. Intent not to resume may
be inferred from circumstances.”
Three consecutive years of non-use is prima facie evidence of abandon-
ment.
Evidence of intent to resume use in the reasonably foreseeable future can
counter that, though.
So, the two questions when a claim of abandonment comes up:
Did the plaintiff fail to use the mark for three consecutive years?
If so, can the plaintiff show intent to resume use during that period?
The use has to be “the bona fide use of such mark made in the ordinary
course of trade, not merely to reserve a right.”
And the plaintiff must show it had an intent to resume during the three-
year period, not afterward. (ITC Ltd. v. Punchgini)
If A abandons a mark, but takes it back before anybody else, that’s not a
problem. But if someone has taken the mark in the interim, and then A
resumes, A is now the junior user.
4.5.2 Abandonment Through Failure to Control Use
Lanham Act §45: “A mark shall be deemed to be ‘abandoned’ if. . . any course of
conduct of the owner, including acts of omission as well as commission, causes
the mark to become the generic name. . .
Trademark law often requires a disclaimer, even after abandonment, to
prevent any appropriation of residual goodwill. But there isn’t much case
law.
Stanfield v. Osborne: Acts of omission.
The court found that Stanfield had engaged in “naked licensing,” with no
quality control whatsoever.
These days, naked licensing is rare–it must be pretty blatant.
U. Bookstore v. U. Wis. Bd. of Regents: More about failure to control. In
this case, the court finds no abandonment, instead finding a “royalty-free,
nonexclusive, implied license” (and setting up the university down the line
for more lawsuits which it will win this time. Laches blocked these).
21
5 Registration
5.1 The Registration Process
5.1.1 Overview
Lanham Act §33: “Any registration. . . of a mark registered on the principal
register. . . shall be admissible in evidence and shall be prima facie evidence of
the validity of the registered mark and of the registration of the mark, of the
registrant’s ownership of the mark, and of the registrant’s exclusive right to use
the registered mark in commerce on or in connection with the goods or services
specified in the registration.”
1(a) (actual use) application:
1. Application
2. Examination
3. Publication
4. Opposition (if brought)
5. Registration
1(b) (intent to use/constructive use) application:
1. Application
2. Examination
3. Publication
4. Opposition (if brought)
5. Statement of Use
6. Registration
Why does someone bother to register?
Prima facie evidence of validity, ownership, and exclusive rights
Date of filing establishes priority if ITU/constructive use
Registration starts the clock running for purposes of incontestability
and the limitations on cancellation.
5.1.2 Post-Registration Actions
Lanham Act §8: “Each registration shall remain in force for 10 years. . . upon
the expiration of. . . 6 years following the date of registration.”
Lanham Act §9(a): “[E]ach registration may be renewed for periods of 10 years
at the end of each successive 10-year period following the date of registration. . .
During the sixth year after registration, an owner must file §8 Declaration
of Continuing Use, and probably should file §15 Declaration of Incontesta-
bility.
22
Every tenth year from registration, owner must file §8 Declaration and §9
Renewal Application.
5.1.3 Sample Questions
From the casebook on p. 304:
1. You haven’t lost the opportunity to register a mark by starting to use it
before registering, nor does failing to get the registration mean you have
to stop using it. You just don’t get exclusive rights without registration.
2. State protection is a worthless embarrassment; don’t even admit you have
it. (Unless you’re an older company that just doesn’t know how to get
federal protection.)
3. There is no obligation to do a search for trademarks before you register,
but it’s a good idea and most people do it.
4. Trademarks last ten years but can be re-upped indefinitely.
5. The
R
symbol denotes registration with the office. The
TM
symbol de-
notes a mark you will claim rights in (whether common-law or statutory).
They are not mandatory, but probably useful (such as giving notice)
6. Incontestability is strong in some ways, but never “bullet-proof.”
7. If you’re going to introduce a mark and want to register in advance, use
the ITU application process.
8. There is a well-known marks doctrine, but other than that, separate regis-
tration is needed. You can use the Madrid system of going from a USPTO
registration to a WIPO one.
9. The USPTO has processing fees, which can add up, but compared to a
patent application they’re dirt cheap.
5.2 Exclusions from Registration
Lanham Act §2: “No trademark by which the goods of the applicant may be dis-
tinguished from the goods of others shall be refused registration on the principal
register on account of its nature unless it. . .
5.2.1 Overview
23
5.2.2 Scandalous, Disparaging, and Deceptive under §2(a)
Lanham Act §2(a): “. . . Consists of or comprises immoral, deceptive, or scan-
dalous matter; or matter which may disparage or falsely suggest a connection
with persons, living or dead, institutions, beliefs, or national symbols, or bring
them into contempt, or disrepute.” Lanham Act §2(e)(1): “. . . when used on or
in connection with the goods of the applicant is merely descriptive or deceptively
misdescriptive of them.”
Harjo v. Pro-Football: Are the ”Washington Redskins” disparaging of,
well, Native Americans?
An interesting note. According to §14 of the Lanham Act, a mark can
be cancelled, even if incontestable, if it was “contrary to the provisions
of. . . subsection (a), (b), or (c) of section 2.”
Meaning that in this case, the court had to look at whether the term ”Red-
skins” was disparaging back in the 1960s, when the mark was registered.
The Federal Circuit goes through the definition of “scandalous,” and then
“disparaging,” making sure to emphasize that the two are different.
Note also that it seems that more non-Native Americans than Americans
found the term disparaging, at least as of 1996. But the survey was 1996,
not the 1960s!
In re Budge: Three-step test for analyzing “deceptive” and “deceptively
misdescriptive”:
1. Is the term misdescriptive of quality, function, composition, or use?
2. If so, are purchasers likely to believe that the misdescription actually
describes the product?
3. If so, is that belief likely to affect a portion of the purchasers’ decision
to buy the product?
If yes to all three questions, the mark is “deceptive” and may not be
registered, in accordance with §2(a).
If yes to 1 and 2 but no to 3, the mark is ”deceptively misdescriptive,” and
may be registered upon a showing of secondary meaning, in accordance
with §2(e)(1) as read with §2(f).
Reminder: §2(f) allows marks denied registration under §§2(e)(1), (2), and
(4) to be registered upon a showing of secondary meaning.
24
5.2.3 Geographic
Lanham Act §2(e)(2): “. . . when used on or in connection with the goods of the
applicant is primarily geographically descriptive of them, except as indications
of regional origin.”
Lanham Act §2(e)(3): “. . . when used on or in connection with the goods of the
applicant is primarily geographically deceptively misdescriptive of them.”
Burke-Parsons v. Appalachian Log Homes: Geographic descriptiveness.
There is a basic first question: is this mark primarily geographic? What
about “Vittel” for a village in France that nobody’s ever heard of?
Note that “champagne,” “cognac,” and similar terms have sui generis laws
under the US/EU Wine Agreement.
Once we decide that, we have to figure out whether purchasers are likely
to make an association with the place. “Moon” brand cheese, for example.
Once that, we ask whether the mark really does describe the product.
To review, the three-step test for geographic descriptiveness:
1. Is the primary significance of the mark a generally-known geographic
location?
2. If so, would purchasers be likely to make an association between the
product and the place?
3. If so, does the mark actually identify the origin of the product?
If yes to all three questions, the mark is “geographically descriptive,” and
may be registered upon a showing of secondary meaning, in accordance
with §2(e)(2) as read with §2(f).
If yes to 1 and 2 but no to 3, we ask the materiality question akin to the
“misdescriptive/deceptive” test above.
So, if we go through the Burke-Parsons descriptiveness test, and come up
with not descriptive, we go through the four-part test from California In-
novations for geographically deceptively misdescriptive/geographically de-
ceptive:
1. Is the primary significance of the mark a generally-known geographic
location?
2. If so, do the goods or services not come from that place?
3. If so, would purchasers be likely to believe that they originate there?
4. If so, would the representation be a relative factor in a significant
portion of the purchasers’ decision to buy?
25
If yes to all four, the mark is “geographically misdescriptive” (or “geo-
graphically deceptive”–more on that in a second), and cannot be registered
in accordance with §2(e)(3) (or §2(a)).
Before NAFTA, a geographically misdescriptive, as opposed to deceptive,
mark (lacking materiality–mirroring the non-geographic setup) could be
registered on secondary meaning.
After NAFTA, geographically misdescriptive was out too.
So courts imposed the materiality test on misdescriptive, bringing it up to
a level with geographically deceptive. (The USPTO only uses the “mis-
descriptive” language, though.)
Note that all tests here are serial tests.
See the flowchart for everything at once.
Other examples: “Baik” vodka. (The applicant’s argument that there’s no
such thing as a generally-known geographic location to Americans got shut
down.) The PTO said there wasn’t evidence to rebut the presumption of
a goods-place association, so now it was secondary meaning time.
Note also the Napa Valley Mustard hypo: you don’t have to stop calling
yourself the company if you don’t get the rights; someone would have to
sue for false advertising.
Note also that if Napa Valley Mustard had once been in Napa, established
secondary meaning, and moved, they could get their registration cancelled.
§14(3) of the Lanham Act: registration can be cancelled “if the registered
mark is being used by, or with the permission of, the registrant so as to
misrepresent the source of the goods or services on or in connection with
which the mark is used.”
5.2.4 Name Marks
Lanham Act §2(e)(4): “. . . is primarily merely a surname.”
Reading with §2(f), again, secondary meaning saves.
In re United Distillers: four-part balancing test (not a serial test) for
determining whether a term is “primarily a surname”:
Whether it is rare
Whether anyone connected to the product has the name
Whether the term has another meaning
Whether the term has “the look and feel” of a surname (probably
the most important)
26
The mark standard applies equally to first names.
In re Sauer: “Bo Ball”: Implied association with Jackson?
§2(a) and §2(c): falsely suggesting a connection with persons, living or
dead; versus “name, portrait, or signature identifying a living individual
without consent.”
There is a question about pointing unmistakably; for example, “Notre
Dame” cheese doesn’t mean the university.
Also, once enough time has passed, Da Vinci watches or Beethoven watches
are safe (barring a descendants issue).
And if you’re using something like George Washington Ate Here for a
restaurant in Indiana, where it probably never happened and no one would
figure it did, you’re OK.
Also, something like “Margaritaville” can be an appropriation of Jimmy
Buffett’s identity, for example.
5.2.5 Incontestability
Lanham Act §15: “[Subject to certain exceptions,] the right of [a] registrant to
use [a] registered mark in commerce for the goods or services on or in connection
with which such registered mark has been in continuous use for five consecutive
years subsequent to the date of such registration and is still in use in commerce,
shall be incontestable.”
The five-year time limit on cancellation (subject to the exceptions of
§§14(3)-(5)) is triggered whether the applicant follows procedure or not.
Incontestability itself, which makes the registration presumption “conclu-
sive” except for certain defenses, is only triggered if the registrant follows
procedure.
There are nine defenses that are preserved, even through incontestability,
in §33(b).
But, the claim is, §33(b) incorporates the exceptions within §15 by ref-
erence, which incorporate §§14(3)-(5), which incorporate §§2(a)-(c) and
§4.
There are so many exceptions to the doctrine of incontestability that, at
this point, the only thing the doctrine in and of itself is good for is the Park
’N Fly claim: that a descriptive mark with secondary meaning can get
incontestable status in order to prevent being struck down as descriptive
without secondary meaning. (It can still be found generic, though.)
§37 of the Lanham Act gives the court broad discretion over, well, every-
thing. It’s rarely invoked.
27
§33(b)’s nine exceptions:
1. Fraud in registration
2. Abandonment
3. Misrepresentation
4. Defendant’s name or descriptive in good faith (fair use)
5. Adopted without knowledge of the registration during the ITU/pre-
publication period
6. Prior registration (only for whatever area the registration was in)
7. Mark is being used to violate antitrust
8. Mark is functional
9. Equitable principles such as laches or acquiescence apply
6 Geographic Limits on Rights
Lanham Act §7(c): “the filing of the application to register such mark shall
constitute constructive use of the mark, conferring a right of priority, nationwide
in effect.”
Lanham Act §22: “Registration of a mark. . . shall be constructive notice of the
registrant’s claim of ownership thereof.”
6.1 Limits on Common-Law Rights: Tea Rose
The Rectanus case: a remote senior user, unregistered, who appears after
registration.
Nowadays, the senior user gets “frozen” to the area he was using the mark,
while the registered junior user gets the rest of the country.
It’s unsure when the senior user is frozen, though. Probably registration,
but it could be at application.
The Internet is complicated–you’d have to show consistent nationwide IP
addresses connecting to you to constitute a nationwide zone of expansion.
This does still come up. Trade dress is a big area–even with brand-owning
companies, trade dress is often not registered.
Either way, without SS7(c) or 22, a user’s right extends to his use in
geographic space.
If the user can show that the remote junior user is not a good-faith adopter
(registered to steal the good will or good ideas of the senior user, or block
the senior user’s expansion into the junior user’s space), the courts under
common law would probably enjoin the junior user.
28
“If a subsequent use is remote and adopted in good faith, use may continue
in that remote region.” Lanham Act §33(b)(5).
Take these facts: A is the senior user, Z files application, perfects. A is
frozen to its region. But it can’t enjoin Z at all. Normally, the US has a
use-based system. . . but not here.
Burger King v. Hoots: An interesting example. A uses (but not in Z’s
region), then Z uses, then A registers. Z is frozen to its area (rights only
extend as far as use without registration), even though A used first.
6.2 Limits on Registered Rights
Consider three timelines. Timeline 0: Nobody registers. That’s Tea Rose-
Rectanus: rights extend as far as use. (Common in trade dress cases to
this day.)
Timeline 1: Senior user is registrant. The scenario:
S uses
If J starts using here, that’s 33(b)(5)/ Burger King. J has a radius
of defense, into which S cannot go.
S applies
If J starts using here, that’s §7(c), or Thrifty Rent-a-Car as would
be modified for 7(c). J cannot use the mark once it’s perfected–living
on borrowed time. If the mark is never perfected, well, that’s Tea
Rose-Rectanus.
S perfects
If J starts using here, it’s infringing–see below.
Timeline 2: Junior user is registrant.
S uses
J uses
J applies and perfects
:
The doctrine here is. . . mysterious. It’s the “remote senior user” or “senior
common-law user” doctrine. §§7(c), 22, 15, and 33 apply, freezing S to its
area at the time of application or registration. (Which one is unclear, but
it usually doesn’t matter.)
Dawn Donut: Even if you have a nationwide priority, you can’t get an
injunction if the defendant can show no confusion. Again, borrowed time–
if the senior, registered, user extends into your region, you’re dead in the
water.
29
Circuit City Stores v. CarMax out of the Sixth Circuit disagrees with
that.
What-a-Burger, VA v. Whataburger: Laches situation–delay means no
rights.
But the Fourth Circuit finds a dodge–the Texas company couldn’t have
gotten an injunction before now, even if it knew of the name, because
they weren’t in Virginia. They keep their exclusive rights, such that if
they ever do move into Virginia, they get to kick out the VA company.
6.3 The Territorial Nature of U.S. Rights
Person’s Co v. Christman: A foreign mark, unless so well-known or fa-
mous that it has recognition already, has no rights in the US. Even though
Person’s was a Japanese company, Christman was the first one to register
the mark in the US, and so he keeps it.
Sometimes, there is a well-known mark: if “the foreign mark is famous,
or the use is a nominal one made solely to block the prior foreign user’s
planned expansion,” the foreign mark can have rights in the US.
Grupo Gigante: Ninth Circuit. Massive supermarket chain in Mexico, lots
of immigrants know it. “An absolute territoriality rule without a famous-
mark exception would promote consumer confusion and fraud.” Entirely
judge-made.
The question is whether a mark is inherently distinctive–how notorious is
it?
The surveys in Gigante had shown 20-22% recognition, which isn’t that
bad.
But ITC v. Punchgini: the Second Circuit refuses to read the well-known
marks doctrine into federal law. So it asks the New York Court of Appeals
about state common law.
The Court of Appeals says that well-known marks get the same secondary
meaning as everything else. Nothing higher, but goodwill is protectable
through normal unfair competition/misappropriation.
Generally, a US trademark lawyer would say that federal law protects
well-known marks in the Ninth Circuit, and everywhere else, state law
preventing commercial bad acts protects them.
The US uses that argument to claim it has satisfied its international obli-
gations under treaty.
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7 Confusion-Based Liability Theories
Lanham Act §32(1): “Any person who shall, without the consent of the regis-
trant, use in commerce any reproduction, counterfeit, copy, or colorable imita-
tion [or make the reproductionand apply it to packages or ads]. . . which. . . )is
likely to cause confusion, or to cause mistake, or to deceive. . . shall be liable in
a civil action.”
Lanham Act §43(a): “Any person who, on or in connection with any goods or
services, or any container for goods, uses in commerce any word, term, name,
symbol, or device, or any combination thereof, or any false designation of origin,
false or misleading description of fact, or false or misleading representation of
fact, which is likely to cause confusion. . . shall be liable in a civil action.”
7.1 The Evolution of the Confusion Standard
There are two sections in the Lanham Act for anti-confusion damages. §32
(registered marks) and §43(a) (unregistered marks; but at this point, the
protections are virtually the same.)
The European law, Article 5.1 of the EC Trademark Directive, forbids any
sign that is identical on identical goods, or any sign that is identical to or
similar to the mark on identical or similar goods and therefore creates a
likelihood of confusion.
The TRIPS agreement presumes a likelihood of confusion when it’s the
identical sign on identical goods; the US doesn’t, it always goes through
the analysis, but that’s no matter; it comes out the same.
Most LoC opinions look the same:
Four-part claim: §32 confusion, §43(a) confusion, §43(c) confusion,
and state law.
Motion for summary judgment
Recitation of the facts
Description of the standard for summary judgment
A list of the three-part process (which, in the Louis Vuitton case,
because of parody, led to each factor getting its own section)
The three-part process:
1. Plaintiff owns the mark (sometimes formulated “plaintiff owns a valid
and protectable mark”)
2. The mark is valid and protectable (sometimes replaced with the “de-
fendant uses an imitation in commerce”–see below for the use pre-
requisite)
3. The defendant’s use is likely to cause confusion
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Borden Ice Cream v. Borden’s Condensed Milk: Defendants were acting
in bad faith, but the approach under state common law was so medieval
that because Borden didn’t sell ice cream, no confusion. No “pulling away
of trade.”
Fleischmann Distilling: Black & White Scotch and Black & White beer.
Same thing–too far apart.
Changes to the Lanham Act removed “purchasers” from the “likely to
confuse” language and took out “as to the source.” Now, it’s just “cause
confusion, cause mistake, or deceive.” Big, big change.
Similar big changes happened in 1995 (first dilution statute) and 2006
(TDRA).
7.2 Unauthorized Use Prerequisite
Note that the basic elements of trademark infringement (however they are
defined) require use in commerce.
This is logic setting up the subject matter that’s now being applied to
scope. Suddenly defendants can say “we weren’t using it in commerce!”
Holiday Inns: The trademark is 1-800-HOLIDAY, not the underlying
phone number.
The defendant claimed 1-800-405-4329, which would be the alphanumeric
1-800-H0LIDAY.
Addresses, mind, can be registered on a showing of secondary meaning.
30 Rock, perhaps?
The Circuit concluded that the mark was not the phone number, and the
defendants didn’t ever use 1-800-H0LIDAY, that the defendants didn’t
cause confusion, but took advantage of existing confusion.
Similarly, in 1-800-Contacts v. WhenU.com, the Second Circuit found
that since there was just the pure machine-linking function, and no actual
use of the trademark was ever seen by consumers, that wasn’t use in
commerce.
The Circuit made clear that for purposes of §32 and §45(a), “use in com-
merce” is defined by §45. That’s still Second Circuit doctrine, confirmed
by Rescuecom.
The Circuit affirmed that before you get to infringement, you have to
satisfy use.
Rescuecom v. Google: “Even if it caused confusion, Google’s actions are
not use in commerce. But going forward, we’re going to try to cut that
formalism out.
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Even if Google lost the use-in-commerce argument, there were others: does
it actually confuse?
Note that product placement is established as not a problem not because
it’s inherently allowable, but because it doesn’t cause confusion.
But Google is trying to argue product placement in the use in commerce
issue.
Of course, the Circuit, while feeling bound by 1-800-Contacts, also dis-
tinguished it. Keyword Suggestion was external use, and using the marks
(instead of the the URL only) as part of the keyword was use.
7.3 The Factors Analysis
Each circuit has its own test. The Second Circuit’s Polaroid test is pretty
prominent.
The test often comes down to two or three factors. Do judges tend to weigh
the factors, or just settle one or two? Do they stampede–decide which way
to go and then have a clerk write an opinion supporting that–or analyze
the factors individually?
The tests trace back to the 1938 Restatement of the Law of Torts, then
move on to cases such as:
Polaroid v. Polarad
Pizzeria Uno v. Temple
Frisch’s Restaurants v. Elby’s Big Boy
Helen Curtis v. Church and Dwight
SquirtCo v. Seven-Up
E.I. DuPont v. Nemours & Co.
7.3.1 Similarity of the Marks
Necessary, but not sufficient, for plaintiff. (Though a recent case has
suggested it’s not necessary always.)
Flexible analysis–not considered in isolation, but summarizing–or as an
effect of–the others.
Anti-dissection principle: don’t break the mark into components.
Sight, sound, meaning. . . the analysis can shift across all of those to estab-
lish identity/similarity.
Not a side-by-side comparison, unless the products are frequently near
each other on shelves.
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7.3.2 Defendant’s Intent
Second most important, numerically.
Sometimes not important to LoC; but it’s still in the Polaroid factors.
Maybe it’s akin to an estoppel claim–if they thought they were confusing,
they can’t claim in court that they weren’t.
This indicates how the multifactor test isn’t a pure factfinding analysis.
Legal rules and realism weaves in.
A finding of bad faith strikes against defendant; but no bad faith does not
favor defendant. Rules are either positive/neutral or negative/neutral.
When the court finds this factor, it tends in practice to stampede the
others.
7.3.3 Proximity of Goods/Possible Gap-Bridging
Highly flexible factor
Arguably, all policy, no factfinding at all. Why do we care, if LoC is
empirical, that the plaintiff is planning to bridge the gap?
7.3.4 Strength of Plaintiff’s Mark
Courts care about this one. It’s the first factor in Polaroid.
There are two sub-factors: Conceptual/inherent, and actual/acquired/marketplace.
The Abercrombie ranking doesn’t matter here. (Though there is a correla-
tion between success of inherently-distinctive claims and confusion claims.)
And empirical strength trumps theoretical. In most cases where a mark
was inherently weak but commercially strong, the strength factor favored
confusion in the analysis; where vice versa, strength did not favor any-
thing.
With strength goes scope–the stronger the mark the wider the band of
products.
7.3.5 Evidence of Actual Confusion
Anecdotal evidence, survey evidence. Three common formats:
Eveready: “Who puts out this brand? Name other products by the
company.”
Exxon: “What’s the first thing to come to mind?”
Squirt: “Do you think X and Y are by the same or different compa-
nies?”
34
Survey evidence is only credited less than half the time. But doing a
survey and not releasing it, or not doing one at all, might lead courts to
make an “adverse inference.”
If both sides do surveys and the results disagree, they could cancel each
other out.
7.3.6 Sophistication of Consumers
Plaintiff: “They’re dumb.”
Defendant: “They’re smart.”
Nuclear reactors, or schools (given how much research parents do), are
different.
A mixed population–sophisticated and not–averages out.
If the defendant’s goods are low quality, that also weighs against defen-
dant, as a policy determination (tarnishment seeping into LoC).
7.4 Applying the Multi-Factor Test
7.4.1 Internet
GoTo.com v. Walt Disney: the “Internet troika” of similarity, relatedness
of goods, and use of the Web as a marketing channel.
In 2000, an Internet user was seen as very unsophisticated. That may
have changed.
7.4.2 Private Label Goods
Generic versions of goods often get found not to be confusing as a policy
matter. Facilitating generics trumps the test. See Conopco
7.5 Confusion Away from Point-of-Sale
7.5.1 Initial Interest Confusion
Gibson v. Paul Reed Smith: Gibson has a trademark on the design of the
single-cutaway guitar body.
The case turns on initial interest confusion. As in Brookfield, if Burger
King puts up a sign on a highway saying “McDonald’s, Next Exit,” hoping
people will pull off, not see McDonald’s, and go to BK, that’s covered
under the Lanham Act.
On the other hand, a policy of “To get to X, you get offered Y along the
way” is not the same–nothing in the law prevents that.
35
The problem here is, Gibson didn’t claim confusion at the time of sale–
nobody was going to buy a guitar without checking to make sure it was a
Gibson.
They claimed the “smoky bar” theory–would someone be confused when
looking across a smoky barroom to see the guitar?
The Sixth Circuit resisted; giving IIC protection to shape would expand
the scope and subject matter of trademark protection too far. Once we
protect shapes, that allows the registrant to establish a monopoly. From
distance, all guitars look the same.
The Kennedy concurrence-and-dissent would probably be what the Second
Circuit did if faced with the question: “if a product shape is so weird and
bizarre as to be distinctive, and cause IIC, we’ll allow a cause of action in
that context.” More fact-based, less formal. Still reeling from Two Pesos,
perhaps.
7.5.2 Post-Sale Confusion
Sumptuary law, as derived from ancient Rome (where only certain societal
ranks could have or use certain products).
Ferrari v. Roberts: Defendant was making a kitbash to make a Chevy
look like a Ferrari.
He argued that the purchasers knew the products weren’t genuine; the
confusion was the onlookers, the people who see it later.
Ferrari wasn’t losing a sale to those people.
The judge, though, brought up a dilution argument, keeping the exclusive
status symbols exclusive. (Really? Is that the point of trademark law?)
But the same argument gets used by counterfeiters all the time.
Mastercrafters was similar, the Atmos clock and a knockoff: “some cus-
tomers would buy plaintiff’s cheaper clock to gain the prestige of the real
thing. They wanted to poach the reputation of the real deal.”
And ditto the red tag on jeans (Levi Strauss).
Finally, the GM v. Keystone with placeholder logo. (This is why fashion
houses line their bags with their monogram. Even without the trademark
symbol, it’s still recognizable, and therefore, post-sale confusion.)
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7.6 Reverse Confusion
A & H Sportswear v. Victoria’s Secret: Senior “David” user uses “Mira-
cle Suit” for swimwear. Junior “Goliath” Victoria’s Secret uses “Miracle
Bra,” then expands into the swimwear line, keeping “Miracle.”
Even though VS put a disclaimer on its clothing, “not affiliated with
A & H, that doesn’t dispel reverse confusion. (It would dispel forward
confusion, but here, A & H would have to put the disclaimer on, and it’s
the senior user.)
Similarly, if VS was to put its house-mark (“Ford” is a house mark, put
on cars such as “Ford Mustang”) on its items, that could increase reverse
confusion; people could end up associating “Miracle” with VS even more.
(Again, fact-dependent, a house mark can dispel forward confusion.)
Most of the factors are similar to the normal test, but there are a few key
differences:
In commercial strength analysis, the court analyzes the commer-
cial strength of the junior mark, not the senior; it has to determine
whether the junior mark is overwhelming the senior by flooding the
market. Is the junior user “famous enough”?
When doing inherent strength analysis, a stronger mark is more likely
to have been come up with only one company. If a mark is strong,
then consumers are more likely to think the two products are con-
nected; a weaker mark is not as likely. Note this: the chance that two
companies might have come up with the same mark can be considered
as part of the multifactor test.
Defendant’s intent is important; while “intent to confuse” isn’t present,
courts have been known to find explicit intent to flood the market
and overwhelm the senior user. See Attrezzi v. Maytag.
Practically speaking, the changes for the Third Circuit in reverse confusion
are the same as the Second Circuit changes.
Harlem Wizards v. Washington Wizards: Was there a licensing agree-
ment?
The “Wizards” mark for sports teams is inherently strong, and the com-
mercial strength of the Washington Wizards also high. And the marks are
identical.
The Washington Wizards won by arguing a fundamental difference be-
tween trick basketball and professional basketball.
Other cases include Domino’s Brooklyn-style pizza and the Texas restau-
rant “Brooklyn’s old neighborhood style pizza,” Aerosmith’s “Pump” with
the band Pump, and Tunnel Bar versus Tunnel.
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7.7 Indirect and Vicarious Theories
No statutory section authorizes secondary liability in trademark law. It’s
just part of the common law interpreting the statute.
Inwood Labs v. Ives: Cyclospasmol had gone generic, but the patent
holder (Ives) tried to assert control over the market by roughing up the
manufacturers of the generics for (so they claimed) encouraging pharma-
cists to sell the generic as the brand, and pocketing the difference.
Ives claimed Inwood was either encouraging, or had knowledge and sup-
plied anyway.
Remember: Contributory liability is when the defendant doesn’t control
the infringer, but still induces or assists. Vicarious is where the defendant
has control.
This case, though, turned on factual showings. The District Court found
that Ives had failed to show Inwood either intentionally induced, or sup-
plied with knowledge.
Footnote 13 rejects the “reasonable anticipation” standard. More than
that is required to find knowledge.
Proprietors–such as auction companies, see below–often try to position
themselves as common carriers. We don’t blame the phone company when
thieves talk on the phone!
Tiffany v. eBay: Contributory liability is either intentional inducement
(which is usually obvious–the standard is effectively obviousness with clear
evidence) or else knowledge and material contribution (easier to meet; the
same facts show this more than they show inducement). Vicarious liability
is the control (“the right and ability to supervise”) and direct financial
benefit.
The District Court found that “the law does not impose liability for con-
tributory trademark infringement on eBay for its refusal to take such pre-
emptive steps in light of eBay’s ‘reasonable anticipation’. . . the law de-
mands more specific knowledge.”
EU courts have been less sympathetic, calling eBay the lowest-cost avoider.
Is this true? eBay would need to enforce all brands, and there are a lot;
besides, Tiffany can more easily tell a fake. But then, there’s more than
one auction site, and eBay has everything close at hand–and can hire
humans to do it.
Sullivan, the district judge, said the law was the law; if policy needed to
be changed that was Congress’s problem.
38
Georgia-Pacific v. Myers: Nothing in trademark law accounts for the
creation of expectation by consumers. So there’s no connection between a
GP dispenser and GP towels. This is a common situation–brand dispenser,
generic item. Are the consumers expecting the item to be brand? Fact-
intensive analysis.
By the way, the part of §33 of the Lanham Act dealing with antitrust is
dead and never used.
8 Non-Confusion-Based Theories
8.1 Dilution Protection
Lanham Act §43(c)(1): “the owner of a famous mark that is distinctive, in-
herently or through acquired distinctiveness, shall be entitled to an injunction
against another person who, at any time after the owners mark has become
famous, commences use of a mark or trade name in commerce that is likely to
cause dilution by blurring or dilution by tarnishment of the famous mark.”
8.1.1 Evolution of the Cause of Action
There are two forms of dilution recognized in the law since the 2006 Trade-
mark Dilution Revision Act (TDRA): Blurring and tarnishment.
The FTDA (Federal Trademark Dilution Act) and the TDRA are distinct–
though some courts don’t realize that. Some still refer to the FTDA as
law.
The Ringling Bros. case is the best overall analysis of dilution.
Frank Schechter’s 1927 article, “Rational Basis of Trademark Protection,”
launched the dilution theory. “The more distinctive or unique the mark,
the deeper is its impress upon the public consciousness, and the greater
its need for protection against vitiation or dissociation from the particular
product in connection with which it has been used.”
In the Borden world, nothing would stop “Rolls-Royce chewing gum” from
trading on the goodwill of the car.
The idea is to prevent blurring (though Schechter never used the word) of
the link between the mark and the product.
Schechter never mentions tarnishment, but we have folded that in too.
As Posner put it, a trademark “minimizes on information costs” (or “imag-
ination costs”).
39
But what about a mark like “United,” which is used on many products?
That’s accounted for–the TDRA factors for determining blurring include,
at Lanham Act §43(c)(2)(B)(iii), “The extent to which the owner of the
famous mark is engaging in substantially exclusive use of the mark.”
But the courts usually don’t go through the TDRA analysis.
Another way to think about blurring is about “brand dominance” (“Trucks”
recalls Ford, Toyota, Mack), and “brand typicality” (“Porsche” means
cars, “Nike” means shoes. . . )
Blurring would be a diminution in “brand typicality.”
Of course, Nike and Virgin are arguably self-blurred. The companies ex-
panded so much taht we don’t know what we mean when we think of
them.
They would respond that they sell a state of mind, a lifestyle, not partic-
ular products.
Ringling Bros. discussed Schechter’s article in detail, including his desire
for “rights in gross.” But that was too extreme for any court.
Judge Sweet, in a concurrence under state law that got appropriated under
the FTDA, laid out a six-part test in Lexis v. Lexus:
1. Mark similarity
2. Product similarity
3. Consumer sophistication
4. Predatory intent
5. Renown of the senior mark
6. Renown of the junior mark
This looks a lot like a LoC test; and the Second Circuit’s Nabisco factors
were worse.
Courts originally understood blurring to be a form of anti-infringement
protection, a shield preventing the increase of search costs.
Really, it’s more like a sword–promoting the decrease of search costs.
8.1.2 Actual v. Likelihood
In many ways, the courts judicially nullified the FTDA. The TDRA got
slightly more respect, but in three years of its existence, only one case has
ever found dilution but specifically not infringement.
Why have the law if it didn’t change things?
40
Influence of lobbyists, and maybe a C&D tactic.
In Moseley, the court found that the plaintiff had to show actual dilution.
(All but impossible, right?)
That’s the first thing the TDRA overturned–it established a “likelihood
of dilution” standard.
The list of what the TDRA did:
1. Established likelihood of dilution standard
2. Provided that non-inherently-distinctive marks could get protection
(overruling the SDNY)
3. Rejected “niche fame”–fame had to be nationwide (no WaWa)
4. Reconfigured the factors for finding fame
5. Stated that blurring and tarnishment were both forms of dilution
6. Set forth the factors for finding blurring
7. Expanded the scope of exclusions
Note that the FTDA still exists somewhat; damages are still handled under
FTDA rules. But a lot of courts apply the FTDA provisions without
realizing it.
8.1.3 TDRA Case Law
To show dilution by blurring, you must show:
1. An association
2. That the association arises from the similarity of the second mark
with the famous mark
3. That the association impairs the distinctiveness of the famous mark
Nikepal and Art Van suggest that all you really need to show is association,
and that does it.
Other cases, such as V. Secret and Charbucks, suggest that you have to
show association and impaired distinctiveness. (Which is hard to prove–
maybe judges are nullifying again?)
Using surveys and measurements, Jacoby found that yes, dilution exists;
but it’s so minor. 1/10th of a second, at best.
In V. Secret, the court found that all six TDRA factors supported blurring,
but the impairment–which was unproven–was critical. All the factors just
went to association. Very odd, no?
Charbucks argued that tarnishment required the coffee to be bad. Courts
normally say quality isn’t important.
41
Charbucks was also state law.
Tarnishment is, as the EU puts it, about association, not confusion.
The elements association (no test):
1. An association
2. Arising from the similarity of a mark
3. That harms the reputation of
4. A famous mark
Jacoby does suggest that some brands are dilution-proof–they’re too strong.
But the dilution statutes are intended to protect strong brands. Odd.
8.1.4 The European Approaches
Article 5.2: A person cannot use “any sign which is identical with or
similar to the trademark in relation to goods or services which are not
similar to those for which the trade mark is registered, where the latter has
a reputation in the Member State and where use of the sign takes unfair
advantage of or is detrimental to the distinctive character or reputation
of the trade mark.”
Note that the law says non-similar goods. The ECJ resolved this in David-
off by deciding it applied to similar goods too, because that would be
unequal otherwise.
Adidas: the ECJ said that the plaintiff had to show a link in the con-
sumer’s mind.
Sounds like borderline nullification. (Not that the US is better.)
9 Permissible Uses of Another’s Trademarks
9.1 Fair Use
Lanham Act §33(b)(4): it is a defense, even in the face of incontestability, “[t]hat
the use of the name, term, or device is a use, otherwise than as a mark, of the
party’s individual name in his own business, or of the individual name of anyone
in privity with such party, or of a term or device which is descriptive of and used
fairly and in good faith only to describe the goods or services of such party, or
their geographic origin.”
42
9.1.1 Descriptive Fair Use
Under the SDNY rules, the defendant must show three things to show fair
use:
1. The defendant is using the term descriptively
2. The defendant is not using the term as a mark
3. The defendant is using the term in good faith
KP Permanent, though a Supreme Court case, is being seriously pared
down in casebooks. Micro Colors had a trademark, and KP referred to its
“Microcolor pigment”–in a way that looked a lot like a trademark, but no
matter.
Under most circuits, pre-KP, the rule was that you don’t need to make a
fair use defense until the plaintiff had made its LoC case.
But the Ninth Circuit had made a rule that making out LoC foreclosed
fair use.
After the USSC ruling, even if the plaintiff has shown LoC, defendant
could claim fair use.
There’s a balancing test: determine LoC as normal, then go through the
fair use balance to see if there is so much confusion that it forecloses fair
use.
The Ninth Circuit tends to go through an analysis including “Degree of
likely confusion, strength of trademark, descriptive nature of the term
and availability of alternate descriptive terms, use prior to registration,
differences among the times and contexts.”
Some of those are Sleekcraft (the Polaroid for the Ninth Circuit) factors;
some aren’t.
Desert Beauty v. Mara Fox : Second Circuit shakeup: “DBI must have
made use of the mark. . .
1. Other than as a mark
2. In a descriptive sense
3. In good faith
This is not nominative fair use, mind.
“Other than as a mark” refers to looking at the way something–such as
“love potion”–is used as a description, not a name.
“Descriptively”–examine the definition of love potion. (Reminiscent of
functionality?)
43
“In good faith”: Tends to import a lot of the same discussions of the
previous. A summary factor, maybe, analogous to “market harm” in
copyright fair use.
International Stamp Art v. USPS: Comes down to good-faith: did the
defendant intend to trade on the good will of the owner?
International Stamp discussion factors include a commercially viable al-
ternative (court: “there is none”), that they didn’t consult counsel (court:
“not a problem since they didn’t do anything wrong”), and that they knew
someone else was using the design (court: “So? They had the right to do
what they did”).
The Court might also be slapping International Stamp around for what
it’s doing.
Similarly, a pine-tree-shaped pine air freshener was using the shape fairly.
9.1.2 Nominative Fair Use
New Kids on the Block is the leading circuit case (there is nothing in the
Second Circuit on it). Three factors:
1. The product or service must be one not readily identifiable without
use of the trademark
2. The user must be using only so much of the mark as is reasonably
necessary
3. The user must do nothing that would suggest sponsorship or endorse-
ment
There is no clear statement on what the doctrine is, but Second Circuit
district courts have done this:
Polaroid test, burden on plaintiff
If confusion found, turn to NFU and apply New Kids test, burden
on defendant.
The Ninth Circuit has New Kids completely supplant Sleekcraft. If the
defendant claims nominative fair use, the courts skip LoC. Which means,
if the defendant loses NFU, it loses LoC by default. Nasty.
R.G. Smith v. Chanel: Set out the idea of NFU. One of the only cases
where a court recognized how trademarks create “economically irrational
elements introduced into consumer choices.”
Tiffany v. eBay discussed an interpretation of the 1-800-Contacts doc-
trine from the “I want to buy a sponsored link” client side.
For example, if eBay put in its advertising “come to eBay, we have Tiffany!”
the district court thinks that would be NFU.
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9.2 Use on Genuine Goods: “First Sale” Doctrine
First sale, aka “exhaustion of rights.” If someone customizes a Ford Ex-
pedition into a stretch SUV, do they have to pry off the trademarks?
C.D. Cal. and 9th Cir.: No. “Consumers would not be confused.”
Champion Spark Plugs v. Sanders: Has the rebuilder of spark plugs indi-
cated, with sufficient clarity, that these are refurbs?
It came down to the terms of the injunction and whether the refurbisher
had to remove the word “Champion.”
The outcome was straightforward: No, no removal, but the refurbisher
had to bake the term “Refurbished” into the plug. As long as the original
manufacturer isn’t being identified with the inferiority that would result
from wear and tear, that’s sufficient.
Similarly, in Nitro Leisure Products, if you strip off the outer layer of the
golf ball, then reapply it with the trademark, that’s not a problem. The
narrative theory was “only we can sign our names!” But the court said,
as long as they were marked refurbs, consumers aren’t confused.
Exhaustion of rights is not important in US law, but in EU law, with
the common market issue (sold in one place, shipped elsewhere), it’s more
complex.
9.3 Use in Parody or Speech
Wal-Mart v. Smith: Outlines how the courts treat expressive use.
Anheuser-Busch: Frustrating, annoying, hopefully deprecated.
Far out on the edge of trademark law restricting speech.
A bigger disclaimer might have been enough, really. But doesn’t appro-
priationist art require alienation, only realizing it at the last minute?
And are the survey questions valid, the way they were phrased? And
doesn’t 6% (12 people) suggest pure noise?
Parody-satire: Mattel v. MCA Records, “Speech-Zilla meets Trademark
Kong.”
The parody-satire distinction can be important. Why go after the trade-
mark in the Anheuser case? Why choose them? (“Cat Not in the Hat”
distinction too.) It’s not like he was attacking Budweiser directly.
Haute Diggity Dog is on the edge, because there, they were satirizing the
people who buy LV, not making a point about LV directly.
45
No doubt in Mattel, they were satirizing Barbie herself.
There are three doctrinal approaches to expressive-use matters (as out-
lined in Rosa Parks v. LaFace Records):
Consider it as an element of LoC (this is how things are going–Smith,
Haute). The parody issue is weaved into LoC. The problem here
is the appropriationist issue–“similar, but different enough to avoid
confusion” might also be “similar but different enough to not work
properly.”
As a trigger of the “alternative avenues of communication” analysis
(Mutual of Omaha): “Mutual’s rights...need not yield to the exercise
of First Amendment rights under circumstances where alternative av-
enues of communication exist.” Why go after the innocent company
(Mutual or Anheuser)?
As a trigger of the First Amendment balancing test, such as Rogers
v. Grimaldi: “somewhat more risk of confusion is to be tolerated–we
weigh the likelihood of confusion against the desire to allow expressive
speech in society.”
46