NOTICE: This opinion is subject to formal revision before
publication in the preliminary print of the United States
Reports. Readers are requested to notify the Reporter of Decisions,
Supreme Court of the United States, Washington, D. C. 20543,
of any typographical or other formal errors, in order that
corrections may be made before the preliminary print goes to
press.
SUPREME COURT OF THE UNITED STATES
_________________
No. 13–352
_________________
B&B HARDWARE, INC., PETITIONER
v. HARGIS INDUSTRIES,
INC., dba SEALTITE BUILDING FASTENERS, dba EAST TEXAS FASTENERS
et al.
on writ of certiorari to the united states court of appeals for
the eighth circuit
[March 24, 2015]
Justice Alito delivered the opinion of the Court.
Sometimes two different tribunals are asked to decide the same
issue. When that happens, the decision of the first tribunal
usually must be followed by the second, at least if the issue is
really the same. Allowing the same issue to be decided more than
once wastes litigants’ resources and adjudicators’ time, and it
encourages parties who lose before one tribunal to shop around for
another. The doctrine of collateral estoppel or issue preclusion is
designed to prevent this from occurring.
This case concerns the application of issue preclusion in the
context of trademark law. Petitioner, B&B Hardware, Inc.
(B&B), and respondent Hargis Industries, Inc. (Hargis), both
use similar trademarks; B&B owns SEALTIGHT while Hargis owns
SEALTITE. Under the Lanham Act,60Stat.427, as amended,15
U. S. C. §1051
et seq., an applicant can seek
to register a trademark through an administrative process within
the United States Patent and Trademark Office (PTO). But if another
party believes that the PTO should not register a mark because it
is too similar to its own, that party can oppose registration
before the Trademark Trial and Appeal Board (TTAB). Here, Hargis
tried to register the mark SEALTITE, but B&B opposed SEALTITE’s
registration. After a lengthy proceeding, the TTAB agreed with
B&B that SEALTITE should not be registered.
In addition to permitting a party to object to the registration
of a mark, the Lanham Act allows a mark owner to sue for trademark
infringement. Both a registration proceeding and a suit for
trademark infringement, more-over, can occur at the same time. In
this case, while the TTAB was deciding whether SEALTITE should be
registered, B&B and Hargis were also litigating the SEALTIGHT
versus SEALTITE dispute in federal court. In both registration
proceedings and infringement litigation, the tribunal asks whether
a likelihood of confusion exists between the mark sought to be
protected (here, SEALTIGHT) and the other mark (SEALTITE).
The question before this Court is whether the District Court in
this case should have applied issue preclusion to the TTAB’s
decision that SEALTITE is confusingly similar to SEALTIGHT. Here,
the Eighth Circuit rejected issue preclusion for reasons that would
make it difficult for the doctrine ever to apply in trademark
disputes. We disagree with that narrow understanding of issue
preclusion. Instead, consistent with principles of law that apply
in innumerable contexts, we hold that a court should give
preclusive effect to TTAB decisions if the ordinary elements of
issue preclusion are met. We therefore reverse the judgment of the
Eighth Circuit and remand for further proceedings.
I
A
Trademark law has a long history, going back at least to Roman
times. See Restatement (Third) of Unfair Competition §9, Comment
b (1993). The principle underlying trademark protection is
that distinctive marks—words, names, symbols, and the like—can help
distinguish a particular artisan’s goods from those of others.
Ibid. One who first uses a distinct mark in commerce thus
acquires rights to that mark. See 2 J. McCarthy, Trademarks and
Unfair Competition §16:1 (4th ed. 2014) (hereinafter McCarthy).
Those rights include preventing others from using the mark. See 1
A. LaLonde, Gilson on Trademarks §3.02[8] (2014) (hereinafter
Gilson).
Though federal law does not create trademarks, see,
e.g.,
Trade-Mark Cases,100 U. S. 82,92 (1879), Congress has long
played a role in protecting them. In 1946, Congress enacted the
Lanham Act, the current federal trademark scheme. As relevant here,
the Lanham Act creates at least two adjudicative mechanisms to help
protect marks. First, a trademark owner can register its mark with
the PTO. Second, a mark owner can bring a suit for infringement in
federal court.
Registration is significant. The Lanham Act confers “important
legal rights and benefits” on trademark owners who register their
marks. 3 McCarthy §19:3, at 19–21 see also
id., §19:9, at
19–34 (listing seven of the “procedural and substantive legal
advantages” of registration). Registration, for instance, serves as
“constructive notice of the registrant’s claim of ownership” of the
mark.15 U. S. C. §1072. It also is “prima facie evidence
of the validity of the registered mark and of the registration of
the mark, of the owner’s ownership of the mark, and of the owner’s
exclusive right to use the registered mark in commerce on or in
connection with the goods or services specified in the
certificate.” §1057(b). And once a mark has been registered for
five years, it can become “incontestable.” §§1065, 1115(b)
To obtain the benefits of registration, a mark owner files an
application with the PTO. §1051. The application must include,
among other things, “the date of the applicant’s first use of the
mark, the date of the applicant’s first use of the mark in
commerce, the goods in connection with which the mark is used, and
a drawing of the mark.” §1051(a)(2). The usages listed in the
application—
i.e., those goods on which the mark appears
along with, if applicable, their channels of distribution—are
critical. See,
e.g., 3 McCarthy §20:24, at 20–83 (“[T]he
applicant’s right to register must be made on the basis of the
goods described in the application”);
id., §20:15, at 20–85
(explaining that if an “application does not delimit any spe-cific
trade channels of distribution, no limitation will be” applied).
The PTO generally cannot register a mark which “so resembles”
another mark “as to be likely, when used on or in connection with
the goods of the applicant, to cause confusion, or to cause
mistake, or to deceive.”15 U. S. C. §1052(d).
If a trademark examiner believes that registration is warranted,
the mark is published in the Official Gazette of the PTO. §1062. At
that point, “[a]ny person who believes that he would be damaged by
the registration” may “file an opposition.” §1063(a). Opposition
proceedings occur before the TTAB (or panels thereof). §1067(a).
The TTAB consists of administrative trademark judges and
high-ranking PTO officials, including the Director of the PTO and
the Commissioner of Trademarks. §1067(b).
Opposition proceedings before the TTAB are in many ways “similar
to a civil action in a federal district court.” TTAB Manual of
Procedure §102.03 (2014) (hereinafter TTAB Manual), online at
http://www.uspto.gov (as visited Mar. 20, 2015, and available in
Clerk of Court’s case file). These proceedings, for instance, are
largely governed by the Federal Rules of Civil Procedure and
Evidence. See 37 CFR §§2.116(a), 2.122(a) (2014). The TTAB also
allows discovery and depositions. See §§2.120, 2.123(a). The party
opposing registration bears the burden of proof, see §2.116(b), and
if that burden cannot be met, the opposed mark must be registered,
see15 U. S. C. §1063(b).
The primary way in which TTAB proceedings differ from ordinary
civil litigation is that “proceedings before the Board are
conducted in writing, and the Board’s actions in a particular case
are based upon the written record therein.” TTAB Manual §102.03. In
other words, there is no live testimony. Even so, the TTAB allows
parties to submit transcribed testimony, taken under oath and
subject to cross-examination, and to request oral argument. See 37
CFR §§2.123, 2.129.
When a party opposes registration because it believes the mark
proposed to be registered is too similar to its own, the TTAB
evaluates likelihood of confusion by applying some or all of the 13
factors set out in
In re E. I. DuPont DeNemours & Co.,
476 F. 2d 1357 (CCPA 1973). After the TTAB decides whether to
register the mark, a party can seek review in the U. S. Court
of Appeals for the Federal Circuit, or it can file a new action in
district court. See15 U. S. C. §1071. In district court,
the parties can conduct additional discovery and the judge resolves
registration
de novo. §1071(b); see also 3 McCarthy §21:20
(explaining differences between the forums); cf.
Kappos v.
Hyatt, 566 U. S. ___ (2012) (
de novo review
for analogous scheme in patent law).
The Lanham Act, of course, also creates a federal cause of
action for trademark infringement. The owner of a mark, whether
registered or not, can bring suit in federal court if another is
using a mark that too closely resembles the plaintiff’s. The court
must decide whether the defendant’s use of a mark in commerce “is
likely to cause confusion, or to cause mistake, or to deceive” with
regards to the plaintiff’s mark. See15 U. S. C.
§1114(1)(a) (registered marks); §1125(a)(1)(A) (unregistered
marks). In infringement litigation, the district court considers
the full range of a mark’s usages, not just those in the
application.
B
Petitioner B&B and respondent Hargis both manufacture metal
fasteners. B&B manufactures fasteners for the aerospace
industry, while Hargis manufactures fasteners for use in the
construction trade. Although there are obvious differences between
space shuttles and A-frame buildings, both aerospace and
construction engineers prefer fasteners that seal things tightly.
Accordingly, both B&B and Hargis want their wares associated
with tight seals. A feud of nearly two decades has sprung from this
seemingly commonplace set of facts.
In 1993 B&B registered SEALTIGHT for “threaded or unthreaded
metal fasteners and other related hardwar[e]; namely, self-sealing
nuts, bolts, screws, rivets and washers, all having a captive
o-ring, for use in the aerospace industry.” App. 223a
(capitalization omitted). In 1996, Hargis sought to register
SEALTITE for “self-piercing and self-drilling metal screws for use
in the manufacture of metal and post-frame buildings.” App. 70a
(capitalization omitted). B&B opposed Hargis’ registration
because, although the two companies sell different products, it
believes that SEALTITE is confusingly similar to SEALTIGHT.
The twists and turns in the SEALTIGHT versus SEALTITE
controversy are labyrinthine. The question whether either of these
marks should be registered, and if so, which one, has bounced
around within the PTO for about two decades; related infringement
litigation has been before the Eighth Circuit three times; and two
separate juries have been empaneled and returned verdicts. The full
story could fill a long, unhappy book.
For purposes here, we pick up the story in 2002, when the PTO
published SEALTITE in the Official Gazette. This prompted
opposition proceedings before the TTAB, complete with discovery,
including depositions. B&B ar-gued that SEALTITE could not be
registered because itis confusingly similar to SEALTIGHT. B&B
explained, for instance, that both companies have an online
presence, the largest distributor of fasteners sells both
companies’ products, and consumers sometimes call the wrong company
to place orders. Hargis rejoined that the companies sell different
products, for different uses, to different types of consumers,
through different channels of trade.
Invoking a number of the
DuPont factors, the TTAB sided
with B&B. The Board considered, for instance, whether SEALTIGHT
is famous (it’s not, said the Board), how the two products are used
(differently), how much the marks resemble each other (very much),
and whether customers are actually confused (perhaps sometimes).
See App. to Pet. for Cert. 55a–71a. Concluding that “the most
critical factors in [its] likelihood of confusion analysis are the
similarities of the marks and the similarity of the goods,”
id., at 70a, the TTAB determined that SEALTITE—when “used in
connection with ‘self-piercing and self-drilling metal screws for
use in the manufacture of metal and post-frame
buildings’ ”—could not be registered because it “so resembles”
SEALTIGHT when “used in connection with fasteners that provide
leakproof protection from liquids and gases, fasteners that have a
captive o-ring, and ‘threaded or unthreaded metal fastners and
other related hardware . . . for use in the aerospace
industry’ as to be likely to cause confusion,”
id., at 71a.
Despite a right to do so, Hargis did not seek judicial review in
either the Federal Circuit or District Court.
All the while, B&B had sued Hargis for infringement. Before
the District Court ruled on likelihood of confusion, however, the
TTAB announced its decision. After a series of proceedings not
relevant here, B&B argued to the District Court that Hargis
could not contest likelihood of confusion because of the preclusive
effect of the TTAB decision. The District Court disagreed,
reasoning that the TTAB is not an Article III court. The jury
returned a verdict for Hargis, finding no likelihood of
confusion.
B&B appealed to the Eighth Circuit. Though accepting for the
sake of argument that agency decisions can ground issue preclusion,
the panel majority affirmed for three reasons: first, because the
TTAB uses different factors than the Eighth Circuit to evaluate
likelihood of confusion; second, because the TTAB placed too much
emphasis on the appearance and sound of the two marks; and third,
because Hargis bore the burden of persuasion before the TTAB, while
B&B bore it before the District Court. 716 F. 3d 1020
(2013). Judge Colloton dissented, concluding that issue preclusion
should apply. After calling for the views of the Solicitor General,
we granted certiorari. 573 U. S. ___ (2014).
II
The first question that we must address is whether an agency
decision can ever ground issue preclusion. The District Court
rejected issue preclusion because agencies are not Article III
courts. The Eighth Circuit did not adopt that view, and, given this
Court’s cases, it was right to take that course.
This Court has long recognized that “the determination of a
question directly involved in one action is conclusive as to that
question in a second suit.”
Cromwell v.
County of
Sac,94 U. S. 351,354 (1877). The idea is straightforward:
Once a court has decided an issue, it is “forever settled as
between the parties,”
Baldwin v.
Iowa State Traveling
Men’s Assn.283 U. S. 522,525 (1931), thereby
“protect[ing]” against “the expense and vexation attending multiple
lawsuits, conserv[ing] judicial resources, and foster[ing] reliance
on judicial action by minimizing the possibility of inconsistent
verdicts,”
Montana v.
United States,440 U. S.
147–154 (1979). In short, “a losing litigant deserves no rematch
after a defeat fairly suffered.”
Astoria Fed. Sav. & Loan
Assn. v.
Solimino,501 U. S. 104,107 (1991).
Although the idea of issue preclusion is straightforward, it can
be challenging to implement. The Court, therefore, regularly turns
to the Restatement (Second) of Judgments for a statement of the
ordinary elements of issue preclusion. See,
e.g., Bobby v.
Bies,556 U. S. 825,834 (2009);
New Hampshire v.
Maine,532 U. S. 742–749 (2001);
Baker v.
General Motors Corp.,522 U. S. 222,233, n.5 (1998). The
Restatement explains that subject to certain well-known exceptions,
the general rule is that “[w]hen an issue of fact or law is
actually litigated and determined by a valid and final judgment,
and the determination is essential to the judgment, the
determination is conclusive in a subsequent action between the
parties, whether on the same or a different claim.” Restatement
(Second) of Judgments §27, p. 250 (1980); see also
id., §28,
at 273 (listing exceptions such as whether appellate review was
available or whether there were “differences in the quality or
extensiveness of the procedures followed”).
Both this Court’s cases and the Restatement make clear that
issue preclusion is not limited to those situations in which the
same issue is before two
courts. Rather, where a single
issue is before a court and an administrative agency, preclusion
also often applies. Indeed, this Court has explained that because
the principle of issue preclusion was so “well established” at
common law, in those situations in which Congress has authorized
agencies to resolve disputes, “courts may take it as given that
Congress has legislated with the expectation that the principle [of
issue preclusion] will apply except when a statutory purpose to the
contrary is evident.”
Astoria,
supra, at 108. This
reflects the Court’s longstanding view that “ ‘[w]hen an
administrative agency is acting in a judicial capacity and resolves
disputed issues of fact properly before it which the parties have
had an adequate opportunity to litigate, the courts have not
hesitated to apply res judicata to enforce repose.’ ”
University of Tenn. v.
Elliott,478 U. S. 788–798
(1986) (quoting
United States v.
UtahConstr. & Mining
Co.,384 U. S. 394,422 (1966)); see also
Hayfield
Northern R. Co. v.
Chicago & North Western Transp.
Co.,467 U. S. 622,636, n.15 (1984) (noting
Utah
Construction);
Kremer v.
Chemical Constr.
Corp.,456 U. S. 461–485, n. 26 (1982) (characterizing
Utah Construction’s discussion of administrative preclusion
as a holding); Restatement (Second) of Judgments §83(1), at 266
(explaining that, with some limits, “a valid and final adjudicative
determination by an administrative tribunal has the same effects
under the rules of res judicata, subject to the same exceptions and
qualifications, as a judgment of a court”).
Although apparently accepting
Astoria and
Utah
Construction,[
1] Hargis argues that we should
not read the Lanham Act (or, presumably, many other federal
statutes) as authorizing issue preclusion. Otherwise, Hargis warns,
the Court would have to confront “ ‘grave and doubtful
questions’ as to the Lanham Act’s consistency with the Seventh
Amendment and Article III of the Constitution.” Brief for
Respondent 38 (quoting
United States ex rel. Attorney
General v.
Delaware & Hudson Co.,213 U. S.
366,408 (1909)). We are not persuaded.
At the outset, we note that Hargis does not argue that giving
issue preclusive effect to the TTAB’s decision would be
unconstitutional. Instead, Hargis contends only that we should read
the Lanham Act narrowly because a broad reading
might be
unconstitutional. See,
e.g., Brief for Respondent 37, 39,
40, 41–42. The likely reason that Hargis has not directly advanced
a constitutional argument is that, at least as to a jury trial
right, Hargis did not even list the Seventh Amendment as an
authority in its appellee brief to the Eighth Circuit. Moreover,
although Hargis pressed an Article III argument below, in its
opposition to certiorari in this Court, Hargis seemingly con-ceded
that TTAB decisions
can sometimes ground issue
preclusion, though it now protests otherwise. SeeSupplemental Brief
in Opposition 2. To the extent, if any, that there could be a
meritorious constitutional objection, it is not before us. See
Plaut v.
Spendthrift Farm, Inc.,514 U. S.
211–232 (1995).
We reject Hargis’ statutory argument that we should jettison
administrative preclusion in whole or in part to avoid potential
constitutional concerns. As to the Seventh Amendment, for instance,
the Court has already held that the right to a jury trial does not
negate the issue-preclusive effect of a judgment, even if that
judgment was entered by a juryless tribunal. See
Parklane
Hosiery Co. v.
Shore,439 U. S. 322,337 (1979). It
would seem to follow naturally that although the Seventh Amendment
creates a jury trial right in suits for trademark damages, see
Dairy Queen, Inc. v.
Wood,369 U. S. 469–480
(1962), TTAB decisions still can have preclusive effect in such
suits. Hargis disputes this reasoning even though it admits that in
1791 “ ‘a party was not entitled to have a jury determine
issues that had been previously adjudi-cated by a chancellor in
equity.’ ” Brief for Respondent 39 (quoting
Parklane
Hosiery,
supra, at 333). Instead, Hargis contends that
issue preclusion should not apply to TTAB registration decisions
because there were no agencies at common law. But our precedent
holds that the Seventh Amendment does not strip competent tribunals
of the power to issue judgments with preclusive effect; that logic
would not seem to turn on the nature of the competent tribunal. And
at the same time, adopting Hargis’ view would dramatically undercut
agency preclusion, despite what the Court has already said to the
contrary. Nothing in Hargis’ avoidance argument is weighty enough
to overcome these weaknesses.
The claim that we should read the Lanham Act narrowly to avoid
Article III concerns is equally unavailing—andfor similar reasons.
Hargis argues that because it might violate Article III if an
agency could make a decision with preclusive effect in a later
proceeding before a federal court, we should conclude, as a
statutory matter, that issue preclusion is unavailable. Such a
holding would not fit with our precedent. For instance, in
Elliott, the Court, relying on
Utah Construction,
explained that absent a contrary indication, Congress presumptively
intends that an agency’s determination (there, a state agency) has
preclusive effect. 478 U. S., at 796–799; see also
Astoria, 501 U. S., at 110 (recognizing the
“presumption”). To be sure, the Court has never addressed whether
such preclusion offends Article III. But because this Court’s cases
are so clear, there is no ambiguity for this Court to sidestep
through constitutional avoidance.[
2]
III
The next question is whether there is an “evident” reason why
Congress would not want TTAB decisions to receive preclusive
effect, even in those cases in which the ordinary elements of issue
preclusion are met.
Astoria,
supra, at 108. We
conclude that nothing in the Lanham Act bars the application of
issue preclusion in such cases.
The Lanham Act’s text certainly does not forbid issue
preclusion. Nor does the Act’s structure. Granted, one can seek
judicial review of a TTAB registration decision in a
de novo
district court action, and some courts have concluded from this
that Congress does not want unreviewed TTAB decisions to ground
issue preclusion. See,
e.g., American Heritage Life Ins.
Co. v.
Heritage Life Ins. Co., 494 F. 2d 3, 9–10 (CA5
1974). But that conclusion does not follow. Ordinary preclusion law
teaches that if a party to a court proceeding does not challenge an
adverse decision, that decision can have preclusive effect in other
cases, even if it would have been reviewed
de novo. See
Restatement (Second) of Judgments §28, Comment
a and
Illustration 1 (explaining that the failure to pursue an appeal
does not undermine issue preclusion and including an example of an
apparently unappealed district court’s dismissal for failure to
state a claim); cf.
Federated Department Stores, Inc. v.
Moitie,452 U. S. 394,398 (1981) (noting “the res
judicata consequences of a final, unappealed judgment on the
merits”).
This case is also unlike
Astoria, where a plaintiff
claiming discrimination first went to an agency and then sued in
court about the same alleged conduct. See 501 U. S., at 111.
The Court concluded, quite sensibly, that the structure of that
scheme indicated that the agency decision could not ground issue
preclusion. When exhausting an administrative process is a
prerequisite to suit in court, giving preclusive effect to the
agency’s determination in that very administrative process could
render the judicial suit “strictly
pro forma.”
Ibid.;
see also
Elliott,
supra, at 795–796 (similar
analysis). Here, if a party urged a district court reviewing a TTAB
registration decision to give preclusive effect to the very TTAB
decision under review,
Astoria would apply. But that is not
this case.
What matters here is that registration is not a prerequisite to
an infringement action. Rather, it is a separate proceeding to
decide separate rights. Neither is issue preclusion a one-way
street. When a district court, as part of its judgment, decides an
issue that overlaps with part of the TTAB’s analysis, the TTAB
gives preclusive effect to the court’s judgment. See App. to Pet.
for Cert. 54a–55a (giving preclusive effect to the District Court’s
ear-lier decision regarding SEALTIGHT’s distinctiveness be-cause
the issue “was actually litigated and necessarily determined”).
Hargis also argues that allowing TTAB decisions to have
issue-preclusive effect will adversely affect the registration
process. Because of the TTAB’s “ ‘limited jurisdiction’ ”
and “ ‘the narrowness of the issues’ ” before it, Hargis
contends, the Court should infer that TTAB proceedings are supposed
to be more streamlined than infringement litigation. See Brief for
Respondent 30 (quoting TTAB Manual §402.01). But, the argument
goes, if TTAB decisions can have issue-preclusive effect in
infringement litigation, parties may spend more time and energy
before the TTAB, thus bogging down the registration process. This
concern does not change our conclusion. Issue preclusion is
available unless it is “evident,”
Astoria,
supra, at
108, that Congress does not want it. Here, if a streamlined process
in all registration matters was particularly dear to Congress, it
would not have authorized
de novo challenges for those
“dissatisfied” with TTAB decisions.15 U. S. C. §1071(b).
Plenary review serves many functions, but ensuring a streamlined
process is not one of them. Moreover, as explained below, for a
great many registration decisions issue preclusion obviously will
not apply because the ordinary elements will not be met. For those
registrations, nothing we say today is relevant.
IV
At last we turn to whether there is a categorical reason why
registration decisions can never meet the ordinary elements of
issue preclusion,
e.g., those elements set out in §27 of the
Restatement (Second) of Judgments. Although many registrations will
not satisfy those ordinary elements, that does not mean that none
will. We agree with Professor McCarthy that issue preclusion
applies where “the issues in the two cases are indeed identical and
the other rules of collateral estoppel are carefully observed.” 6
McCarthy §32:99, at 32–244; see also 3 Gilson §11.08[4][i][iii][B],
p. 11–319 (“Ultimately, Board decisions on likelihood of confusion
. . . should be given preclusive effect on a case-by-case
basis”).
A
The Eighth Circuit’s primary objection to issue preclusion was
that the TTAB considers different factors than it does. Whereas the
TTAB employs some or all of the
DuPont factors to assess
likelihood of confusion, the Eighth Circuit looks to similar, but
not identical, factors identified in
SquirtCo v.
Seven-Up
Co., 628 F. 2d 1086, 1091 (CA8 1980). The court’s instinct was
sound: “[I]ssues are not identical if the second action involves
application of a different legal standard, even though the factual
setting of both suits may be the same.” 18 C. Wright, A. Miller,
& E. Cooper, Federal Practice & Procedure §4417, p. 449 (2d
ed. 2002) (hereinafter Wright & Miller). Here, however, the
same likelihood-of-confusion standard applies to both registration
and infringement.
To begin with, it does not matter that registration and
infringement are governed by different statutory provisions. Often
a single standard is placed in different statutes; that does not
foreclose issue preclusion. See,
e.g., Smith v.
Bayer Corp., 564 U. S. ___, ___ (2011) (slip op., at
7). Neither does it matter that the TTAB and the Eighth Circuit use
different factors to assess likelihood of confusion. For one thing,
the factors are not fundamentally different, and “[m]inor
variations in the application of what is in essence the same legal
standard do not defeat preclusion.”
Id., at ___, n. 9
(slip op., at 12, n. 9). More important, if federal law
provides a single standard, parties cannot escape preclusion simply
by litigating anew in tribunals that apply that one standard
differently. A contrary rule would encourage the very evils that
issue preclusion helps to prevent.
The real question, therefore, is whether likelihood of confusion
for purposes of registration is the same standard as likelihood of
confusion for purposes of infringement. We conclude it is, for at
least three reasons. First, the operative language is essentially
the same; the fact that the registration provision separates
“likely” from “to cause confusion, or to cause mistake, or to
deceive” does not change that reality.[
3] See 2
Gilson §5.01[2][a], at 5–17 (explaining that “the same statutory
test” applies). Second, the likelihood-of-confusion language that
Congress used in these Lanham Act provisions has been central to
trademark registration since at least 1881. See Act of Mar. 3,
1881, ch. 138, §3,21Stat.503 (using a “likely to cause confusion”
standard for registration). That could hardly have been by
accident. And third, district courts can cancel registrations
during infringement litigation, just as they can adjudicate
infringement in suits seeking judicial review of registration
decisions. See15 U. S. C. §1119; 3 McCarthy §21:20. There
is no reason to think that the same district judge in the same case
should apply two separate standards of likelihood of confusion.
Hargis responds that the text is not actually the same because
the registration provision asks whether the marks “resemble” each
other,15 U. S. C. §1052(d), while the infringement
provision is directed towards the “use in commerce” of the marks,
§1114(1). Indeed, according to Hargis, the distinction between
“resembl[ance]” and “use” has been key to trademark law for over a
century. There is some force to this argument. It is true that “a
party opposing an application to register a mark before the Board
often relies only on its federal registration, not on any
common-law rights in usages not encompassed by its registration,”
and “the Board typically analyzes the marks, goods, and channels of
trade only as set forth in the application and in the opposer’s
registration, regardless of whether the actual usage of the marks
by either party differs.” Brief for United States as
Amicus
Curiae 23; see also
id., at 5 (explaining that “the
Board typically reviews only the usages encompassed by the
registration”) (citing 3 Gilson §9.03[2][a][ii]); 3 McCarthy
§20:15, at 20–45 (explaining that for registration “it is the mark
as shown in the application and as used on the goods described in
the application which must be considered, not the mark as actually
used”). This means that unlike in infringement litigation, “[t]he
Board’s determination that a likelihood of confusion does or does
not exist will not resolve the confusion issue with respect to
non-disclosed usages.” Brief for United States as
Amicus
Curiae 23.
Hargis’ argument falls short, however, because it mistakes a
reason not to apply issue preclusion in some or even many cases as
a reason never to apply issue preclusion. Just because the TTAB
does not always consider the
same usages as a district court
does, it does not follow that the Board applies a
different
standard to the usages it does consider.[
4]
If a mark owner uses its mark in ways that are materially the same
as the usages included in its registration application, then the
TTAB is deciding the same likelihood-of-confusion issue as a
district court in infringement litigation. By contrast, if a mark
owner uses its mark in ways that are materially unlike the usages
in its application, then the TTAB is not deciding the same issue.
Thus, if the TTAB does not consider the marketplace usage of the
parties’ marks, the TTAB’s decision should “have no later
preclusive effect in a suit where actual usage in the marketplace
is the paramount issue.” 6 McCarthy §32:101, at 32–246.
Materiality, of course, is essential—trivial variations between
the usages set out in an application and the use of a mark in the
marketplace do not create different “issues,” just as trivial
variations do not create different “marks.” See generally 4
id., §23:50, at 23–265 (explaining that “adding descriptive
or non-distinctive” elements to another’s mark generally will not
negate confusion). Otherwise, a party could escape the preclusive
effect of an adverse judgment simply by adding an immaterial
feature to its mark. That is not the law. See,
e.g.,
Restatement (Second) of Judgments §27, Comment
c, at 252–253
(explaining that “issue” must be understood broadly enough “to
prevent repetitious litigation of what is essentially the same
dispute”);
United States v.
Stauffer Chemical Co.,464
U. S. 165,172 (1984) (applying issue preclusion where a party
sought to “litigate twice . . . an issue arising
. . . from virtually identical facts” because the
“factual differences” were “of no legal significance”).
A fortiori, if the TTAB considers a different mark
altogether, issue preclusion would not apply. Needless to say,
moreover, if the TTAB has not decided the same issue as that before
the district court, there is no reason why any deference would be
warranted.
For a similar reason, the Eighth Circuit erred in holding that
issue preclusion could not apply here because the TTAB relied too
heavily on “appearance and sound.” App. to Pet. for Cert. 10a.
Undoubtedly there are cases in which the TTAB places more weight on
certain factors than it should. When that happens, an aggrieved
party should seek judicial review. The fact that the TTAB may have
erred, however, does not prevent preclusion. As Judge Colloton
observed in dissent, “ ‘issue preclusion prevent[s]
relitigation of wrong decisions just as much as right ones.’ ”
716 F. 3d, at 1029 (quoting
Clark v.
Clark, 984
F. 2d 272, 273 (CA8 1993)); see also Restatement (Second) of
Judgments §28, Comment
j, at 284 (explaining that “refusal
to give the first judgment preclusive effect should not
. . . be based simply on a conclusion that [it] was
patently erroneous”).
B
Hargis also argues that registration is categorically
incompatible with issue preclusion because the TTAB uses procedures
that differ from those used by district courts. Granted,
“[r]edetermination of issues is warranted if there is reason to
doubt the quality, extensiveness, or fairness of procedures
followed in prior litigation.”
Montana, 440 U. S., at
164, n. 11; see also
Parklane Hosiery, 439 U. S.,
at 331, and n. 15 (similar). But again, this only suggests
that sometimes issue preclusion might be inappropriate, not that it
always is.
No one disputes that the TTAB and district courts use different
procedures. Most notably, district courts feature live witnesses.
Procedural differences, by themselves, however, do not defeat issue
preclusion. Equity courts used different procedures than did law
courts, but that did not bar issue preclusion. See
id., at
333. Nor is there reason to think that the state agency in
Elliott used procedures identical to those in federal court;
nonetheless, the Court held that preclusion could apply. See 478
U. S., at 796–799. Rather than focusing on whether procedural
differences exist—they often will—the correct inquiry is whether
the procedures used in the first proceeding were fundamentally
poor, cursory, or unfair. See
Montana, 440 U. S., at
164, n. 11.
Here, there is no categorical “reason to doubt the quality,
extensiveness, or fairness,”
ibid., of the agency’s
procedures. In large part they are exactly the same as in fed-eral
court. See 37 CFR §§2.116(a), 2.122(a). For instance, although the
“[t]he scope of discovery in Board proceedings
. . . . is generally narrower than in court
proceedings”—reflecting the fact that there are often fewer usages
at issue—the TTAB has adopted almost the whole of Federal Rule of
Civil Procedure 26. TTAB Manual §402.01; see also
id., §401.
It is conceivable, of course, that the TTAB’s procedures may prove
ill-suited for a particular issue in a particular case,
e.g., a party may have tried to introduce material evidence
but was prevented by the TTAB from doing so, or the TTAB’s bar on
live testimony may materially prejudice a party’s ability to
present its case. The ordinary law of issue preclusion, however,
already accounts for those “rare” cases where a “compelling showing
of unfairness” can be made. Restatement (Second) of Judgments §28,
Comments
g and
j, at 283–284.
The Eighth Circuit likewise erred by concluding that Hargis bore
the burden of persuasion before the TTAB. B&B, the party
opposing registration, bore the burden, see 37 CFR §2.116(b); TTAB
Manual §702.04(a), just as it did in the infringement action.
Hargis does not defend the decision below on this ground.
C
Hargis also contends that the stakes for registration are so
much lower than for infringement that issue preclusion should never
apply to TTAB decisions. Issue preclusion may be inapt if “the
amount in controversy in the first action [was] so small in
relation to the amount in controversy in the second that preclusion
would be plainly unfair.” Restatement (Second) of Judgments §28,
Comment
j, at 283–284. After all, “[f]ew . . .
litigants would spend $50,000 to defend a $5,000 claim.” Wright
& Miller §4423, at 612. Hargis is wrong, however, that this
exception to issue preclusion applies to every registration. Tothe
contrary: When registration is opposed, there isgood reason to
think that both sides will take the matter seriously.
The benefits of registration are substantial. Registration is
“prima facie evidence of the validity of the registered mark,”15
U. S. C. §1057(b), and is a precondition for a mark to
become “incontestable,” §1065. Incontestability is a powerful
protection. See,
e.g., Park ’N Fly, Inc. v.
Dollar Park
& Fly, Inc.,469 U. S. 189,194 (1985) (holding that an
incontestable mark cannot be challenged as merely descriptive); see
also
id., at 193 (explaining that “Con-gress determined that
. . . ‘trademarks should receive nationally the greatest
protection that can be given them’ ” and that “[a]mong the new
protections created by the Lanham Act were the statutory provisions
that allow a federally registered mark to become incontestable”
(quoting S. Rep. No. 1333, 79th Cong., 2d Sess., 6
(1946))).
The importance of registration is undoubtedly why Congress
provided for
de novo review of TTAB decisions in district
court. It is incredible to think that a district court’s
adjudication of particular usages would not have preclusive effect
in another district court. Why would unchallenged TTAB decisions be
different? Congress’ creation of this elaborate registration
scheme, with so many important rights attached and backed up by
plenary review, confirms that registration decisions can be weighty
enough to ground issue preclusion.
V
For these reasons, the Eighth Circuit erred in this case. On
remand, the court should apply the following rule: So long as the
other ordinary elements of issue preclusion are met, when the
usages adjudicated by the TTAB are materially the same as those
before the district court, issue preclusion should apply.
The judgment of the United States Court of Appeals for the
Eighth Circuit is reversed, and the case is remanded for further
proceedings consistent with this opinion.
It is so ordered.