Full opinion text
DECISION AND ORDER ADELMAN, District Judge. In this patent infringement action, plaintiff Schreiber Foods, Inc. alleged that defendants Beatrice Cheese, Inc.; Kustner Industries, S.A.; and the three Great Lakes Cheese defendants infringed various claims of U.S.Patent Numbers 5,440,860 (the ’860 patent) and 5,701,724 (the ’724 patent). On August 24, 1998, a jury found defendants liable for willful infringement of all but one of the asserted claims. Concurrent with the jury trial, I heard evidence regarding alleged inequitable conduct by plaintiff before the Patent Office, which is a matter to be decided by the court. During the trial, defendants orally moved for judgment as a matter of law (JMOL), arguing that: (1) there is no literal infringement of the disputed claims of the ’860 and ’724 patents; and (2) there is no infringement of the disputed claims under the doctrine of equivalents. I reserved decision on the motion. Additionally, regarding the court trial portion of the case defendants formally moved for judgment that plaintiff committed inequitable conduct, thereby rendering the ’860 and ’724 patents unenforceable. I reserved decision on this motion and took the bench trial issue under advisement. After the verdict, defendants renewed their JMOL motion, arguing, inter alia, that prosecution history estoppel precludes a finding of infringement under the doctrine of equivalents. In an earlier decision and order, I concluded that prosecution history estoppel does not preclude such a finding. (Decision and Order of 10/26/99.) I now address defendants’ remaining arguments as to literal infringement and infringement under the doctrine of equivalents. I also decide the inequitable conduct bench trial issue. I. BACKGROUND The patents at issue are directed to machinery for packaging processed cheese in hermetically sealed individual slices, and methods associated therewith. In this case, whether defendants infringed literally or under the doctrine of equivalents turns upon only two limitations in the claims. Claim 1 of the ’860 patent is representative, and reads in pertinent part: 1. A process for packaging a food item formed into a soft mass wherein the food is wrapped in individual slices comprising: folding a continuous web of heat-seala-ble thermoplastic material into folded condition including a fold ...; after the food item is inserted, flattening the web to form a continuous slice of the food item disposed between front sheet and the rear sheet of the web.... ’860 Patent, cl. 1 (emphasis added). Earlier, I construed the claim term “folding” to be synonymous with the “V-folding” language appearing in the specification of both patents. (Decision of 8/7/98 at 10.) According to the specification, the term V-folded condition refers to a length of material which has been folded over onto itself so as to form what may subsequently be identified as a front sheet and a rear sheet which are joined by the fold at the bottom, so as to approximate the letter “V” in cross section. ’860 Patent at col. 1 lines 28-33; ’724 Patent at col. 1 lines 26-31. Additionally, I construed the claim term “continuous” to mean a length of flattened food product without any interruptions. (Decision of 8/7/98 at 8.) The accused machines are known as the Kustner KE and KD individually-wrapped slice (IWS) machines. These machines’ parent, the Kustner KA machine, and another machine embodied in a 1959 prior art patent to Meissner, are central to defendants’ charge of inequitable conduct against plaintiff. II. JUDGMENT AS A MATTER OF LAW A. Applicable Law 1. Judgment as a Matter of Law Judgment as a matter of law may be granted against a party when “there is no legally sufficient evidentiary basis for a reasonable jury to find for that party on that issue.” Fed.R.Civ.P. 50(a)(1). When a verdict is attacked based on legal insufficiency of the evidence, a court must decide “whether the evidence presented, combined with all reasonable inferences permissibly drawn therefrom, is sufficient to support the verdict when viewed in the light most favorable to the party against whom the motion is directed.” Emmel v. Coca-Cola Bottling Co., 95 F.3d 627, 629 (7th Cir.1996). “The district court may not resolve any conflicts in the testimony nor weigh the evidence, except to the extent of determining whether substantial evidence could support a jury verdict....” Lane v. Hardee’s Food Sys., Inc., 184 F.3d 705, 707 (7th Cir.1999). Substantial evidence is “such relevant evidence as reasonable minds might accept as adequate to support the verdict.” Harper House, Inc. v. Thomas Nelson, Inc., 889 F.2d 197, 208 (9th Cir.1989). “[A] motion [for judgment as a matter of law] shall specify the judgment sought and the law and the facts on which the moving party is entitled to the judgment.” Fed.R.Civ.P. 50(a)(2). “The articulation is necessary to achieve the purpose of the requirement that the motion be made before the case is submitted to the jury, so that the responding party may seek to correct any overlooked deficiencies in the proof.” Id. advisory committee notes 1991 amendment subdivision (a). When deciding whether the movant has complied with the rule, a court should not scrutinize an oral motion in isolation. Instead, “the communicative content, ‘specificity’ and notice-giving function of an assertion should be judged in context.” Acosta v. Honda Motor Co., 717 F.2d 828, 881-32 (3d Cir.1983); see also id. at 832 (“This colloquy, coupled with the rest of the exchange that preceded the denial of the motion, leads us to conclude that, taken in context, defendants’ motion was sufficiently specific to satisfy Rule 50.”). “If, for any reason, the court does not grant a motion for judgment as a matter of law made at the close of all the evidence, ... [t]he movant may renew its request for judgment as a matter of law by filing a motion_” Fed.R.Civ.P. 50(b). The Seventh Circuit has rejected “a rigid interpretation of the requirements of Rule 50(b).” Bonner v. Coughlin, 657 F.2d 931, 939 (7th Cir.1981). The application of Rule 50(b) should be considered in the context of both its particular purpose and the overarching purpose of securing a fair trial for all litigants. Id. 2. Infringement In an infringement analysis, a court construes the disputed claims, and the trier of fact compares the disputed claims to the accused device. Cybor Carp. v. FAS Techs., Inc., 138 F.3d 1448, 1454 (Fed.Cir.1998). Either literal infringement or infringement under the doctrine of equivalents must be proved. “To prove literal infringement, the patentee must show that the accused device contains every limitation in the asserted claims. If even one limitation is missing or not met as claimed, there is no literal infringement.” Mas-Hamilton Group v. LaGard, Inc., 156 F.3d 1206, 1211 (Fed.Cir.1998). “Judgment as a matter of law of no literal infringement is appropriate if no reasonable fact finder could determine that the accused devices meet every limitation of the properly construed claims.” Elkay Mfg. Co. v. EBCO Mfg. Co., 192 F.3d 973, 980 (Fed.Cir.1999). To prove infringement under the doctrine of equivalents, the patentee must show that the accused device contains every limitation or its equivalent in the asserted claims. Warner-Jenkinson, Inc. v. Hilton Davis Chem. Co., 520 U.S. 17, 40, 117 S.Ct. 1040, 137 L.Ed.2d 146 (1997). The doctrine of equivalents must be applied on an element-by-element basis. Id. An accused element is an equivalent if the accused element and associated claimed element are not “substantially different.” Id. at 39-40, 117 S.Ct. 1040. The tripartite function-way-result test has been approved by courts as a way for the trier of fact to determine equivalency: “[I]f the ‘function, way, or result’ of the assertedly substitute structure is substantially different from that described by the claim limitation, equivalence is not established.” Odetics, Inc. v. Storage Tech. Corp., 185 F.3d 1259, 1267 (Fed.Cir.1999). The “all-elements rule” is a legal limitation on the doctrine of equivalents. The Supreme Court has promulgated the rule as follows: “[T]he application of the doctrine [of equivalents], even as to an individual element, is not allowed such broad play as to effectively eliminate that element in its entirety.” Warner-Jenkinson, 520 U.S. at 29, 117 S.Ct. 1040. Grounded in the notice and definitional function of the claims, the all-elements rule prevents a patentee who claims far too narrowly from later ensnaring a competitor’s product via the doctrine of equivalents. It is fundamentally unfair for a competitor who reasonably relies on the patentee’s narrow claims to later become liable for patent infringement. “[A]s between the patentee who had a clear opportunity to negotiate broader claims but did not do so, and the public at large, it is the patentee who must bear the cost of its failure to seek protection .... ” Sage Products, Inc. v. Devon Indus., Inc., 126 F.3d 1420, 1425 (Fed.Cir.1997). B. Analysis 1. Literal Infringement Defendants argue that there is no substantial evidence to support a jury ver-diet of literal infringement as to both the folding step and continuous slice limitation. Plaintiff does not attack defendants’ arguments in toto, but only as to the folding step of the claims. By this tack, plaintiff apparently concurs with defendants that the continuous slice limitation is not literally met by the accused machine, and thus plaintiff can rely only on the doctrine of equivalents for that element. Since infringement is an elemental inquiry, I of course consider whether the accused device literally meets the folding step. Accordingly, I inquire whether no reasonable jury could determine that defendants’ accused method and apparatus, as embodied in the Kustner KE and KD machines, respectively contain each and every element of plaintiffs claimed method and apparatus. It is evident from the record that plaintiff failed to present substantial evidence to support a finding of literal infringement. Per this court’s claim interpretation, the folding step of plaintiffs claims requires that (1) the front and rear sheet of the V-fold be joined by a fold at the bottom, such that (2) the V-fold approximates the letter “V” in cross section. In its direct and cross-examination of witnesses, plaintiff attempted but failed to elicit the fact that the web used by the accused machines includes a fold at the bottom. (See, e.g., R. 185 at 137 (“Q. Did you find that the operation of the Kustner machine in terms of folding to be exactly the same as this language if it requires a fold that approximates the letter V? Q. Well, it’s not exact .... ”); R. 177 at 131 (“What you have drawn at the bottom, I would call a V. I would not say that the one drawn around the oval tube approximates a V. I would say it approximates a U.”).) In its brief countering defendants’ JMOL motion, plaintiff sidesteps this obvious lacuna in its case-in-chief. If accepted as substantial evidence of literal infringement, the evidence cited by plaintiff would effectively read out of the claim the requirement of the specification that the V-fold contain a fold. Defendants quote a crucial portion of their cross-examination of plaintiffs lead inventor: “Q: All right. Kustner does not use your concept of V-fold, does it? A. No.” (R. 185 at 47.) This statement is tantamount to a concession by plaintiff that defendants have not literally infringed the patents at issue. Plaintiff does not respond, but instead argues for a broader claim construction. Plaintiff argues that the Kustner machine literally infringes plaintiffs claimed invention because Kustner “approximates” a V-fold. Underlying plaintiffs argument is its assumption that a V-fold without a fold at the bottom “approximates” a V-fold. Plaintiff quotes the jury instruction that defined folding as “creating a V-fold” and that defined V-fold as a “fold created when a length of material has been folded over onto itself ... to form ... a front sheet and a rear sheet which are joined by the fold at the bottom, so as to approximate the letter ‘Y in cross section.” (R. 167 at 10.) In a footnote, plaintiff suggests (R. 195 at 5 n. 3.) According to plaintiff, although Kustner does not contain a fold or crease between the front and rear sheets, its “U” shape “approximates” the letter “V” in cross section. that a “v-fold” cannot be interpreted to be limited to a creased “v” shape, since that would read the term “approximate” right out of the definition of “v-fold” given in the patent specification and found by the Court in its Markman decision. Accordingly, Schreiber submits that the jury could quite properly have found that a fold in a “U” shape is a “v-fold” since such a fold approximates the letter “v” in cross-section. However, plaintiffs construction of “approximates” is flawed, for it misapplies the definition of “V-fold,” ultimately reading the term “fold” out of the definition. Indeed, the definition requires that a front sheet and a rear sheet be joined by a fold at the bottom. And according to the definition, the resulting shape must approximate the letter “V” in cross section. Bearing in mind these requirements, it is evident that a “U” shape without a crease does not literally infringe the V-fold claimed by plaintiff. Although a “U” shape may approximate a “V” shape in cross-section, a “U” shape does not contain ■ the required fold between a front and rear sheet. Nor do other portions of the specification support plaintiffs broad interpretation of “approximates.” The specification states that: [t]he web is typically folded such that the rear sheet is longer than the front sheet to define a flap section in the rear sheet, which extends beyond the top edge of the front sheet. The flap section is typically folded over onto the front sheet to form a tubular web. ’860 Patent at col. 1 lines 33-37; ’724 Patent at col. 1 lines 32-37. The implication of this passage is that a V-fold “approximates” the letter ‘V” because, unlike the letter ‘V,” the sides of a “V-fold” are not of equal length. Because plaintiffs proffered interpretation — that “approximates” literally encompasses “U”-shaped folds — is not supported by the specification of the patents at issue, the “written description” requirement of 35 U.S.C. § 112 prevents plaintiffs claims from being so interpreted. See Vas-Cath v. Mahurkar, 935 F.2d 1555, 1563-64 (Fed.Cir.1991). Accordingly, I conclude that no reasonable jury could determine that the Kustner machine meets the folding step of the asserted claims. Therefore, the Kustner machine does not contain each and every limitation of the claimed invention, and defendants’ JMOL motion as to literal infringement must be granted. 2. Infringement Under the Doctrine of Equivalents Defendants next argue that judgment as a matter of law as to noninfringement under the doctrine of equivalents must be granted. Specifically, defendants assert that: (1) no reasonable jury could find that the differences between the claimed invention and the accused products and processes are insubstantial; and (2) the all-elements rule bars plaintiffs claim of equivalence. In response, plaintiff argues that substantial evidence was presented to support the jury’s finding of infringement under the doctrine of equivalents. In addition, plaintiff argues that defendants waived their right to bring a renewed JMOL motion on the all-elements rule since they never previously made one on this issue, a. Substantial Evidence Defendants contend that no reasonable jury could find that the differences between the claimed invention and the accused products and processes are insubstantial. Defendants’ contentions are directed to the continuous slice limitation and folding step of the asserted claims. To prove equivalency, plaintiff proceeded under the function-way-result test. Therefore, I inquire whether a reasonable jury could find that plaintiff proved by a preponderance of the evidence that the patented and accused structures perform substantially the same function in substantially the same way to achieve substantially the same result. Plaintiff properly notes that “no specific formulation of evidence and argument is required.” National Presto Indus., Inc. v. West Bend Co., 76 F.3d 1185, 1191 (Fed.Cir.1996). i. Continuous Slice Limitation The continuous slice limitation requires “flattening the web to form a continuous slice of the food item disposed between front sheet and rear sheet of the web.” ’860 Patent, cl. 1. This court has defined “continuous” ... to mean a length of flattened food product without any interruptions. “Flattenf ]” means [to make flat or flatter]. Any creasing or cross-sealing across the width of the web of film and product, which pushes out some of the food product from that cleated or cross-sealed zone even if a thin layer of food product remains (such as the result from the cleats or jaws indicated in the Bush patent) creates an interruption that results in separate or discontinuous slices or ribbons. (Decision of 8/7/98 at 8, as amended in oral order of 8/17/98). The “function” of the continuous slice limitation is a flattening operation that produces a continuous slice of cheese, thereby preparing the cheese for subsequent cross-sealing and the consequent creation of individual slices. ’860 Patent, cl. 1. At trial, with respect to the ’860 patent, plaintiffs expert, George Schroeder, agreed that he found the “operation” of the ’860 patent in the accused device. (R. 185 at 142.) Comparing the patented and accused devices, he stated that “I believe it’s an insubstantial difference ... [b]ecause most of the material coming out of the flattening belts is in a flattened position.” (R. 185 at 143.) Further, flattening and “beginfning] the formation of individual slices” occurs. (R. 185 at 144.) Because it relates to “flattening,” a reasonable jury could have interpreted Schroeder’s testimony as encapsulating the “function” prong of the function-way-result test. Therefore, a reasonable jury could have found that plaintiff proved the “function” prong of the test. The “way” in which the patented invention achieves its result is described in the specification of both patents. Each specification states: The flattening station 22 includes a first or upper set of juxtaposed rollers 32, a lower set of Juxtaposed rollers 34, and a pair of opposed belts 30. Each belt 30 is disposed around one set of rollers 32, 34. As the web with the cheese inserted therein passes between the two belts, the cheese.is flattened to form a web comprising the tubular thermoplastic film and a continuous slice of cheese. ’860 Patent at col. 6 lines 33-42; ’724 Patent at col. 6 lines 21-28. Thus, opposed belts are employed in the patented invention. In the accused machine, flattening belts with cleats perform the flattening function. (R. 185 at 142.) With respect to the ’860 patent, Schroeder did not specifically testify that the difference between the “way” employed by the claimed and accused devices was insubstantial. In fact, plaintiffs attorney did not inquire as to insubstantiality of differences in “way.” Instead, plaintiff apparently relied solely on interchangeability to supply proof of the “way” prong. In the Bush prior art patent, U.S.Patent No. 3,542,570 (Bush), issued in 1970, the specification states that: If desirable, the advancing mechanism may also “preform” the tube into discrete packets 51 by pinching the tube together at longitudinally spaced intervals. This may be accomplished by adding a plurality of cleats 52 on each belt 48 arranged so that a pair of cleats, one on each belt, come into engagement with each other to pinch the tube 28 together (see FIG. 3). Bush Patent at col. 3 lines 64-70. According to Schroeder: A. It appears that either technique [the absence or use of cleats] could be used in the Bush patent to manufacture single slice cheese packages made on the Bush machine. In the first ease without the cleats, they are using the flattening belts to in fact make a ribbon of material but also drive the mechanism, drive the material through the machine. The cleats are added at option in order to initiate the removal of cheese in the area where they make the cheese seal. Q. Does this support your view, Mr. Schroeder, that the use of a ribbon of cheese that has some slight indentations is interchangeable with the technology where the ribbon of cheese has a continuous or uniform cross section? A. Yes, it is. (R. 185 at 145.) In other words, the Bush patent teaches that cleats may or may not be used in Bush-type packaging machines. By implication, Bush teaches that either discontinuous or continuous slices may be formed during the packaging process. In view of this evidence, a reasonable jury could have found insubstantial differences in the “way” prong of the function-way-result test. The result of the continuous slice limitation is a flat, continuous slice without indentations or interruptions. (See Decision of 8/7/98 at 8.) In the accused device, the result of the corresponding step is a flat ribbon of cheese with indentations. (R. 185 at 142.) As with the “way” prong, Schroeder did not provide particularized testimony as to the “result” prong. However, as noted ante, he testified that “I believe it’s an insubstantial difference ... [b]ecause most of the material coming out of the flattening belts is in a flattened position.” (R. 185 at 143.) A reasonable jury could have found that an opinion as to the “result” prong was subsumed within Schroeder’s opinion. Furthermore, the above-noted evidence of interchangeability buttresses plaintiffs argument that the differences between the results obtained by the claimed and accused devices are insubstantial. ii. Folding Step The folding step in the ’860 patent requires “folding a continuous web of heatsealable thermoplastic material into folded condition including a fold.” ’860 Patent, cl. 1. As noted above, I have construed “folded condition” as “referfring] to a length of material which has been folded over onto itself so as to form what may subsequently be identified as a front sheet and a rear sheet which are joined by the fold at the bottom, so as to approximate the letter ‘V’ in cross section.” ’860 Patent at col. 1 lines 28-33; ’724 Patent at col. 1 lines 26-31. Plaintiff characterizes the function of the folding step as a forming operation. That characterization finds support in the asserted claims. Via the folding step, a continuous web is folded such as to leave an open longitudinal side. After the folding step, the open longitudinal side of the web is sealed “to define a continuous tubular web.” ’860 Patent, cl. 1. Plaintiff presented evidence that its patented invention and the accused product have substantially the same function. Specifically, Schroeder testified that: “[T]he intent in both cases is trying to form a tube that subsequently can be longitudinally sealed and affect [sic] a hermetic package and at the same time provide an opening feature. Both processes do functionally the same thing.” (R. 185 at 187-38 (emphasis added).) Although plaintiffs “folded condition” contains a crease, and the accused products and processes do not, a reasonable jury, in view of Schroeder’s testimony, could find that, with respect to function, the differences are insubstantial. Relative to the “way” employed in the folding step, the ’860 patent states that “the tubular web of thermoplastic material is formed by providing a continuous film or web of thermoplastic material and folding the web into V-folded condition, in a manner known in the art.” ’860 Patent at col. 4 lines 51-54 (emphasis added). Schroeder testified that the web is “brought around a forming collar” to achieve folding of the web. (R. 185 at 119-20). The evidence adduced at trial was sufficient to support the jury’s finding of equivalence as to “way.” First, as between the lap seal of the accused machine and the fin seal of the claimed invention, Schroeder testified that: Q. [I]s there any reason you know of people of ordinary skill in the art in the 1980s wouldn’t appreciate that these two technologies are interchangeable? A. That’s correct. Most packaging machinery companies have the option of going either way. (R. 185 at 140.) David Shaft, a co-inventor, also testified that “the lap seal and fin seal are interchangeable.” (R. 185 at 101.) Defendants’ expert, Joseph Hotchkiss, testified that a forming collar was employed during the forming operation in the accused machine. (R. 177 at 23.) Although Hotchkiss opined that these two ways are substantially different, (R. 177 at 26), the jury was entitled to reject his opinion in lieu of Schroeder’s and Shaft’s testimony. Claim 1 of the ’860 patent indicates that the result of the folding step is a plastic material in “folded condition including a fold, a folded longitudinal first side and an open longitudinal second side, the web on one side of the fold defining a front sheet and the web on the other side of the fold defining a rear sheet.” ’860 Patent, cl. 1. When this result is successfully achieved, longitudinal sealing of the web and insertion of cheese into the tube may subsequently occur. Id. Upon hearing the evidence at trial, a reasonable jury could have found that the difference between the “result” obtained in the patented machine and that obtained in the accused machine is insubstantial. However, the evidence is barely enough to support such a finding. In support of his conelusory statement that “the end product is substantially the same,” (R. 185 at 137), Schroeder stated that “the intent in both cases is trying to form a tube that subsequently can be longitudinally sealed and affect [sic] a hermetic package and at the same time provide an opening feature.” {Id. at 137-38.) Although it is faithful to the broad claim language of the asserted patents, the second statement lacks much specificity. In particular, Schroeder did not expressly compare the specific result of the patented invention — a fold with a crease — with that of the accused product and process — a fold without a crease. Nevertheless, in view of Schroeder’s and Shaft’s testimony that fin seal and lap seal technologies are interchangeable, a reasonable jury could have found insubstantial differences with respect to the result of the folding step. iii. Conclusion Therefore, I conclude that a reasonable jury could have found that, with respect to the function, way, and result of both the continuous slice limitation and the folding step, the differences between the claimed and accused devices are insubstantial. However, I underscore that in at least one respect, the evidence is barely enough to support the finding. In any event, I now explore whether defendants’ all-elements rule arguments are waived, and, if not, whether the all-elements rule precludes a finding of infringement under the doctrine of equivalents. b. All-Elements Rule i. Waiver Argument Defendants orally moved for judgment as a matter of law at the close of plaintiffs case-in-chief. Defendants described two of their motions as (1) “judgment as a matter of law there’s no infringement of any of the claims of the ’860 patent under the doctrine of equivalents;” and (2) “judgment as a matter of law that there’s no infringement of the ’724 patent under the doctrine of equivalents.” (R. 171 at 84-85.) When defendants made these initial motions, and when they renewed these motions after the close of plaintiffs case-in-chief, (R. 177 at 218), defendants did not specifically note the all-elements rule as a basis for judgment in their favor. Following the verdict, in their JMOL brief, defendants for the first time expressly argued that plaintiffs theory of equivalence effectively eliminates both the folding step and continuous slice limitation, (R. 188 at 22-26), and thus that plaintiffs equivalence claim is barred by the all-elements rule. Plaintiff contends that defendants waived their all-elements rule argument by not previously raising it before or during trial. As stated earlier, the specificity or notice-giving function of a JMOL motion must be judged in context. Acosta, 717 F.2d at 881-32. The Supreme Court has made clear the connection between equivalency — a factual question for the trier of fact — and two “legal limitations” on the doctrine of equivalents, namely, prosecution history estoppel and the all-elements rule. In Warner-Jenkinson, the Court set forth specific instructions for district court judges: Where the evidence is such that no reasonable jury could determine two elements to be equivalent, district courts are obliged to grant partial or complete summary judgment.... Of course, the various legal limitations on the application of the doctrine of equivalents are to be determined by the court, either on a pretrial motion for partial summary judgment or on a motion for judgment as a matter of law at the close of the evidence and after the jury verdict. Thus, under the particular facts of a case, if prosecution history estoppel would apply or if a theory of equivalence would entirely vitiate a particular claim element, partial or complete judgment should be rendered by the court, as there would be no further material issue for the jury to resolve. Warner-Jenkinson, 520 U.S. at 38 n. 8, 117 S.Ct. 1040 (citations omitted) (emphasis added). The Court’s instructions are clear. When a party makes “a motion for judgment as a matter of law [as to nonin-fringement under the doctrine of equivalents] at the close of the evidence and after the jury verdict,” id., the judge must determine whether the all-elements rule precludes a finding of infringement under the doctrine of equivalents. Here, defendants moved for judgment as a matter of law as to noninfringement under the doctrine of equivalents. This motion was sufficient to raise the applicability of the all-elements rule. Requiring that a defendant make two discrete Rule 50 motions — one based on substantiality of the evidence, and another based on the all-elements rule' — and holding that failure to make the latter motion constitutes a waiver would not only lead to unjust results in patent litigation but would prevent a court from performing its function as required by Warner-Jenkinson. In particular, in cases in which substantial evidence supported a finding of equivalency as to the function, way, and result prongs of the tripartite test, but where a plaintiffs theory of equivalence vitiated a claim element, the plaintiff could “prove” infringement absent legal infringement if the defendant did not sufficiently specify that its JMOL motion as to noninfringement was directed to the all-elements rule. In effect, waiver would prevent a court from exercising its role as the sole arbiter of legal limitations on the doctrine of equivalents. Additionally, the Seventh- Circuit counsels me to reject “a rigid interpretation of the requirements of Rule 50(b).” Bonner, 657 F.2d at.989. As the advisory committee notes on Rule 50 indicate, the requirement of specific articulated grounds for a JMOL motion is so that the responding party may correct overlooked deficiencies in proof. See Fed.R.Civ.P. 50 advisory .committee notes 1991 amendment subdivision (a). Here, defendants’ JMOL motion with respect to noninfringement under the doctrine of equivalents put plaintiff on notice of the equivalence issue and the legal limitation on the doctrine’s application. Plaintiff was not prejudiced in any way in connection with its ability to present proof or argument to the jury. Rule 50 is designed to flush out arguments so that errors may be prevented without the need for appellate intervention. Urso v. United States, 72 F.3d 59, 61 (7th Cir.1995). Arguments relating to the doctrine of equivalents and to the legal limitations on its application were sufficiently “presented to the district court, so the function of Rule 50 has been served.” Id. Finally, waiver is one means by which a legal forfeiture may occur. See Freytag v. Commissioner of Internal Revenue, 501 U.S. 868, 894 n. 2, 111 S.Ct. 2631, 115 L.Ed.2d 764 (1991) (Scalia, J., concurring). Forfeitures are never favored; equity always leans against them. See Advanced Cardiovascular Sys., Inc. v. SciMed Life Sys., Inc., 988 F.2d 1157, 1163 (Fed.Cir.1993) (discussing laches). Neither a waiver nor a forfeiture occurred here. Accordingly, defendants did not waive noninfringement arguments grounded in the all-elements rule and it is my role to determine whether, based on either sub-stantiality of the evidence or the all-elements rule, defendants’ motion must be granted. iii. Application of the All-Elements Rule Defendants argue that plaintiffs theory of equivalence “effectively eliminates” both the continuous slice limitation and folding step of the ’860 and ’724 patent claims. Plaintiff disagrees. As noted above, the all-elements rule is a question for the court. Warner-Jenkinson, 520 U.S. at 38 n. 8, 117 S.Ct. 1040. As promulgated by the Supreme Court and developed by the Federal Circuit, the rule proscribes equivalence theories that vitiate claim elements. Id.; see also Overhead Door Corp. v. Chamberlain Group, Inc., 194 F.3d 1261, 1271 (Fed.Cir.1999). “[F]or a patentee who has claimed an invention narrowly, there may not be infringement under the doctrine of equivalents in many cases, even though the patentee might have been able to claim more broadly. If it were otherwise, then claims would be reduced to functional abstracts, devoid of meaningful structural limitations on which the public could rely.” Sage Prods., 126 F.3d at 1424. In Sage Products, the claims at issue were directed to a disposal container. The independent claim at issue recited, inter alia, the two elements of “an elongated slot at the top of the container body” and “a first constriction extending over said slot.” Id. at 1422. The accused device contained a slot within the container body, and plaintiff argued that “having two constrictions below the top of the container [in the accused device] is the same, for purposes of infringement, as having one constriction above and one constriction below [as claimed].” Id. at 1422-23. Declaring that “the doctrine of equivalents does not grant [the plaintiff] license to remove entirely the ‘top of the container’ and ‘over said slot’ limitations from the claim,” the Federal Circuit held that the defendant did not infringe the asserted patent. Id. at 1424, 1426. It reasoned that: The claim at issue defines a relatively simple structural device. A skilled patent drafter would foresee the limiting potential of the “over said slot” limitation. No subtlety of language or complexity of the technology, nor any subsequent change in the state of the art, such as later-developed technology, obfuscated the significance of this limitation at the time of its incorporation into the claim. If Sage desired broad patent protection for any container that performed a function similar to its claimed container, it could have sought claims with fewer structural encumbrances. Id. at 1425 (citations and footnotes omitted). In a subsequent decision, the Federal Circuit explained that: the proposed application of the doctrine in Sage Products would have utterly written out of the claim not one, but at least two (maybe more) express limitations of the claim. Indeed under Sage Products’ equivalents theory, a finding of equivalents for one limitation (“at the top”) would necessarily require writing out of the claim another limitation (“over said slot”). No matter how the patentee purported to apply the claim to the accused device under the doctrine, the device was always missing at least one limitation. Thus, the claim language specifically negated the patentee’s equivalence theory. Overhead Door, 194 F.3d at 1271. At trial, plaintiff presented and relied on evidence of known interchangeability. Specifically, it was known in the prior art that (1) belts with cleats are interchangeable with those without cleats; and that (2) lap seals are interchangeable with fin seals. Plaintiff offered this evidence in order to show that (1) a continuous slice, as claimed, is equivalent to a discontinuous slice, as embodied in the Kustner machines; and that (2) the claimed method of folding, which involves V-folding, is equivalent to the method of forming a lap seal embodied in the Kustner machines. But unlike the Bush patent, plaintiffs patents do not mention interchangeable cleated or uncleated belts, and instead— distinguishing themselves from Bush — add the words “continuous slice.” I must assume that “continuous slice” has some meaning, or else the drafters would not have used it. The drafters could have used broader language — using something like “a length of flattened food item or items” instead — and incorporated language into the specification indicating that cleats might or might not be used. They did not. Instead, plaintiff drafted claims of limited scope, claiming now that the doctrine of equivalents encompasses what plaintiff was arguably entitled to claim — but did not claim. Therefore, like Sage Products, “[n]o subtlety of language or complexity of the technology, nor any subsequent change in the state of the art, such as later-developed technology, obfuscated the significance of this [continuous slice] limitation at the time of its incorporation into the claim.” Sage Prods., 126 F.3d at 1425. Similarly, the patent drafters prepared apparatus and method claims that employ a specific type of folding — V-folding. Indeed, original claim 1 of the ’860 patent application contained the terms “V-folded condition” and “V-fold.” Though the “V-” in these terms was deleted during prosecution, such deletions cannot circumvent the “written description” requirement of 35 U.S.C. § 112, which requires that an applicant be “in possession” of the claimed invention as of the filing date. (Decision and Order of 10/26/99.) In view of intrinsic evidence, I concluded, when construing the claim term “folding,” that the specification of the ’860 patent supports only V-folding. (Decision of 8/7/98 at 10-12.) Now, having heard plaintiffs own evidence that lap seals were in the prior art at the time the parent application was filed, I conclude that plaintiff could have disclosed in the specification that folding might also be effectuated by specific prior art methods of forming lap seals. Plaintiff did not. The deficiency of its claims is further highlighted by plaintiffs unsuccessful attempts to amend the specification with language which appears to imply that V-folding was simply a preferred embodiment of “folding.” Again, like Sage Products, “[n]o subtlety of language or complexity of the technology, nor any subsequent change in the state of the art, such as later-developed technology, obfuscated the significance of this [folding] limitation at the time of its incorporation into the claim.” Sage Prods., 126 F.3d at 1425. Like the theory of equivalence advanced in Sage Products, plaintiffs theory of equivalence effectively eliminates two clear limitations in the claims: (1) the requirement in the claims and specification that the slice be “continuous;” and (2) the requirement that only “V-folding” falls within the metes and bounds of the claimed invention. Defendants were entitled to rely on the clear structural limitations of the ’860 and ’724 patents, and should not be held accountable for placing reliance thereon. Accordingly, because the claim language of the ’860 and ’724 patents “specifically negate[s]” plaintiffs equivalence theory, see Overhead Door, 194 F.3d at 1271, I hold that the all-elements rule bars a finding of infringement under the doctrine of equivalents. III. INEQUITABLE CONDUCT Notwithstanding my conclusion that the all-elements rule bars a finding of infringement under the doctrine of equivalents, I now set forth my findings of fact and conclusions of law on the inequitable conduct bench trial issue. A. Applicable Law “Each individual associated with the filing and prosecution of a patent application has a duty of candor and good faith in dealing with the [Patent] Office, which includes a duty to disclose to the Office all information known to that individual to be material to patentability as defined in this section.” 37 C.F.R. § 1.56. “Applicants for patents, including their patent attorneys, are required to prosecute patent applications in the PTO with candor, good faith, and honesty.” Elk Corp. v. GAF Bldg. Materials Corp., 168 F.3d 28, 30 (Fed.Cir.1999). Failure to do so may give rise to a charge of inequitable conduct. Id. A determination of inequitable conduct represents the ultimate sanction against a patentee — unenforceability of his patent. Akron Polymer Container Corp. v. Exxel Container, Inc., 148 F.3d 1380, 1383 (Fed.Cir.1998). To prove inequitable conduct, the party asserting the defense must prove by clear and convincing evidence that (1) material information known to an applicant in the applicant group was withheld from the Patent Office; and (2) the failure to disclose resulted from an intent to deceive the Patent Office. Elk Corp., 168 F.3d at 30. As a preliminary matter, a threshold level of both materiality and intent must be established. Baxter Int’l, Inc. v. McGaw, Inc., 149 F.3d 1321, 1327 (Fed.Cir.1998). If established, the court must then weigh materiality and intent. “The more material the omission, the less evidence of intent will be required in order to find that inequitable conduct has occurred.” Id. Finally, the court must adjudge whether the applicant’s conduct is so culpable as to warrant a determination that the patent is unenforceable. Id. Absent a showing of the requisite materiality and intent, the defense fails as a matter of law. Although material information most often falls neatly within the rubric of “prior art,” it need not always do so. Materiality includes “ ‘any information that a reasonable examiner would substantially likely consider important in deciding whether to allow an application to issue as a patent.’” Akron Polymer, 148 F.3d at 1382 (quoting Akron Polymer Container Corp. v. Exxel Container, Inc., Nos. 95-1023-1035, 1995 WL 620148, at *5 (Fed. Cir. Oct. 20, 1995)). Assuming that the Patent Office is not aware of it, information is material to patentability when it is not cumulative to information already of record or being made of record in the application, and (l)[i]t establishes, by itself or in combination with other information, a prima facie case of unpatentability of a claim; or (2)[i]t refutes, or is inconsistent with, a position the applicant takes in ... [a]sserting an argument of patentability. 37 C.F.R. § 1.56. Intent need not be proven by direct evidence, but may be inferred from clear and convincing evidence of the surrounding circumstances. LaBounty Mfg., Inc. v. United States Int’l Trade Comm’n, 958 F.2d 1066, 1076 (Fed.Cir.1992). “Close cases should be resolved by disclosure, not unilaterally by the applicant.” Id. B. Applicant Group The duty of disclosure extends to: (1) Each inventor named in the application; (2) Each attorney or agent who prepares or prosecutes the application; and (3) Every other person who is substantively involved in the preparation or prosecution of the application and who is associated with the inventor, with the assignee or with anyone to whom there is an obligation to assign the application. 37 C.F.R § 1.56(c). As applied to plaintiff, the duty of disclosure extends to an applicant group comprising inventors Vincent Meli, Michael Matharani, Ted Brzezinski, Shaft, and James Urmanski; patent attorneys Gus Siller and Michael Mazza; and director of engineering Mark Peterson, (see R. 191 Ex. 19). No conclusive evidence was proffered at trial that plaintiffs executives were substantively involved in the preparation or prosecution of the applications that respectively issued as the ’860 and ’724 patents. C. Kustner KA Machine Defendants argue that plaintiff, with the intent to deceive, withheld from the Patent Office material information concerning the Kustner KA machine. 1. Materiality According to defendants, the information was material because it is substantially likely that a reasonable examiner would have considered the information important. Specifically, defendants contend that the information establishes a prima facie case of unpatentability of the asserted claims under: (1) 35 U.S.C. § 102(b); (2) § 102(a); and (3) § 102(f). (R. 189 at 18.) I now assess whether defendants established that the specific information possessed by plaintiff meets a threshold level of materiality. a. § 102(b) Title 35 U.S.C. § 102(b) provides that “[a] person shall be entitled to a patent unless ... the invention was patented or described in a printed publication in this or a foreign country or in public use or on sale in this country, more than one year prior to the date of the application for patent in the United States.” Thus, the statutory section accords prior art status to an invention that is “on sale” more than one year before the applicant’s filing date. Defendants argue that the information held by plaintiff regarding the KA machine was material from a § 102(b) standpoint, that is, the information could have given rise to the “on-sale” bar. In response, plaintiff first argues that since the jury found in its special verdict that defendants had not proven that the Kustner KA machine was “on sale,” then the information held by plaintiff is not prior art and is not material, and this court is bound by the jury finding. Second, plaintiff argues that even if the trial evidence is considered on its merits, defendants failed to prove by clear and convincing evidence that the KA machine is prior art. Before assessing the evidence on its merits, I reject plaintiffs assertion that this court is bound by the jury’s finding that the KA machine is not prior art. In its special verdict form, the jury was asked: “Do you find that defendants proved by clear and convincing evidence that claims 14, 15, 18, 21, 22, 24, or 25 of the ’724 patent are invalid, as anticipated because the Kustner Model KA machine was on sale in the United States prior to June 5, 1988?” (R. 181 at 3.) In contrast, the question for this court under inequitable conduct essentially is: “Do you, judge, conclude that it is substantially likely that a reasonable examiner would have considered the information held by plaintiff concerning the Kustner Model KA machine to be important in deciding whether to allow the ’724 patent application to issue?” These questions are very different. In the first question, the jury was asked to find whether the evidence proved that the Kustner Model KA machine was in fact “on sale” in the United States, thus giving rise to the § 102(b) statutory bar that renders claims invalid. In the second question, this court asked whether it is substantially likely that a reasonable examiner, had she known what information plaintiff held about the Kustner KA machine, would have considered the information important during prosecution. As noted above, information is “important” (i.e. material) when it supports a prima facie case of unpatentability of claims, or is inconsistent with an applicant’s arguments. See 37 C.F.R. § 1.56. Information does not lose the status of “important” merely because the patentee in litigation implies that it would have been successful in rebutting an examiner’s pri-ma facie case had it disclosed the information. On the contrary, the law imposes the duty of candor on the applicant notwithstanding an applicant’s confidence that it will successfully rebut the prima facie case. In their brief, defendants distill the true nature of plaintiffs proffered argument: an attempt to elevate the standard for inequitable conduct from “material information” to “information a jury found to be invalidating.” (R. 199 at 8.) Indeed, such an elevated standard would encourage inequitable conduct. After all, “[withholding the information and securing the patent would entitle [inventors] to the presumption of validity, and would require clear and convincing evidence of invalidity to overcome that presumption.” (Id.) Accordingly, plaintiffs argument cannot stand. I now assess the evidence adduced at trial on its merits to determine whether a threshold level of materiality has been established. The “critical date” for purposes of the “on sale” bar — i.e., one year before the parent application was filed — is June 5, 1988. “An on sale bar determination requires that [1] the claimed invention asserted to be on sale was operable, [2] the complete invention claimed was embodied in or obvious in view of the device offered for sale [in the United States], and [3] the sale or offer was primarily for profit rather than for experimental purposes.” KeyStone Retaining Wall Sys., Inc. v. Westrock, Inc., 997 F.2d 1444, 1451 (Fed.Cir.1993). Accordingly, I inquire whether the information in the applicant group’s possession during prosecution of the patents would have established a prima facie case of each of the three “on sale” requirements, and therefore, a prima facie case of unpatentability of a claim. As to operability, the relevant evidence at trial was provided by inventor Meli, who testified that in late 1987, prior to the critical date, he received from Gerald Miller, head of plaintiffs subsidiary, IWS slices produced by the Kustner machine. (R. 175 at 77.) The packages were longitudinally heat sealed, (id.), in a “polypropylene of some sort,” (id. at 92). Meli testified that he understood the machine to be inoperable “with polypropylene, sealing it at the higher speeds.” (Id. at 89.) However, he knew that “the Kustner machine design was a hot fill, then the web was crimped, and then cooled.” (Id. at 83.) For purposes of the inequitable conduct determination, the testimony of inventors Shaft and Brzezinski fell short of showing material knowledge. It is only evident from the testimony that the inventors heard “rumors,” (R. 175 at 100), and a “passing comment,” (R. 176 at 70), about Kustner’s activities. Nevertheless, I conclude that Meli’s testimony presents a pri-ma facie case of the operability prong of the “on sale” bar. Although Meli believed that the KA machine was inoperable at high speeds, he knew that the machine was operable at lower speeds, producing heat-sealed packages similar to those produced by the claimed invention. Therefore, at least from a prima facie standpoint, inop-erability at high speeds does not diminish the materiality of the Kustner machine. These observations notwithstanding, it is the “device offered for sale [in the United States]” component of the “on sale” bar determination that disposes of defendants’ assertions as to materiality under § 102(b). In particular, Meli indicated that prior to the beginning of the instant litigation, he had no knowledge that Kustner was attempting to market machines in the United States. (Id. at 91.) Moreover, there was no direct evidence at trial that anyone else in plaintiffs applicant group, including the attorneys prosecuting the patent applications, had knowledge of such sales. Therefore, I conclude that a prima facie case as to the “device offered for sale” component is not met by the evidence. It follows that defendants failed to show that members of the applicant group had knowledge probative of a prima facie case of unpatentability, and that from a § 102(b) standpoint defendants failed to make a threshold showing of materiality, b. § 102(a) Title 35 U.S.C. § 102(a) states that a person shall be entitled to a patent unless “the invention was known or used by others in this country, or patented or described in a printed publication in this or a foreign country, before the invention thereof by the applicant for patent.” Defendants argue that plaintiff withheld material information by failing to apprise the Patent Office of the date of a Kustner brochure depicting the KA machine — because the brochure was undated, the Patent Office could not consider it as a § 102(a) “printed publication.” In response, plaintiff first cites what it labels “ample” trial evidence showing conception and reduction to practice regarding its patented machine by July 1987, which antedates the November 1988 date of the Kust-ner brochure. Second, plaintiff argues that “the jury’s findings ... include a finding that Schreiber’s invention was made prior to September 1987. The jury’s verdict therefore moots the ... Brochure Section 102(a) argument raised by the defendants.” (R. 196 at 10 n. 3.) Plaintiffs arguments are without merit. Regarding the latter argument, as I discussed above, this court’s inquiry is entirely different from the question posed by the jury questions. The issue is not whether plaintiff could have rebutted the examiner’s prima facie case of anticipation or obviousness if given the opportunity. The essential issue is whether members of plaintiffs applicant group held knowledge that a reasonable examiner would substantially likely have considered important in deciding whether to allow the ’860 and ’724 patents to issue. Under the patent laws, an applicant may not assume the role of examiner. The applicant must submit material information to the examiner, and then attack or rebut the examiner’s prima facie case. As to the former argument concerning conception and reduction to practice, plaintiffs constructive reduction to practice date was the filing date of the parent application of the ’860 and ’724 patent applications. That filing date was June 5, 1989. Because the date of the Kustner brochure, November 1988, predates June 5,1989, an examiner potentially could have made out a prima facie case of unpatenta-bility. Before or after the prima facie case was made, plaintiff could have filed a Rule 181 affidavit to “swear behind” the Kustner brochure. These remarks notwithstanding, I conclude that the evidence adduced at trial does not establish that members of the applicant group actually knew of the date of the brochure. With respect to employees of plaintiff falling within the applicant group, the record is devoid of evidence. With respect to the attorneys prosecuting the ’860 patent, the evidence brought forth at trial was that in a letter, they instructed director of engineering Peterson to: please determine the publication date, the page numbers of the Kustner brochure. Furthermore, it should be confirmed that the document is a brochure published by Kustner industries. Once this information is supplied to the Examiner, I believe he will consider its disclosure in his next Office Action. (R. 191, Ex. 19.) The attorneys apparently did not know the publication date, and their “office was simply told no one knows the date of that brochure,” (R. 189 at 26). Because not even a colorable showing that members of the applicant group had knowledge of the brochure was made here, a threshold showing of materiality certainly was not made. Accordingly, inequitable conduct cannot stem from plaintiffs failure to furnish the publication date of the Kust-ner brochure to the Patent Office. c. § 102(f) Title 35 U.S.C. § 102(f) provides that “[a] person shall be entitled to a patent unless ... he did not himself invent the subject matter sought to be patented.” This is a derivation provision, which provides that one may not obtain a patent on that which is obtained from someone else whose possession of the subject matter is inherently ‘prior.’ It does not pertain only to public knowledge, but also applies to private communications between the inventor and another which may never become public. OddzOn Prods., Inc. v. Just Toys, Inc., 122 F.3d 1396, 1401-02 (Fed.Cir.1997). Defendants argue that plaintiff withheld material “detailed evidence about the manner in which Kustner’s machine worked.” (R. 189 at 18 n. 10.) According to defendants, the evidence “likely would have drawn a § 102(f) rejection on the grounds that Schreiber’s ‘invention’ was derived from the work of others.” (Id.) Plaintiff counters that: the defendants’ § 102(f) argument should be rejected for two separate reasons: (1) even if addressed on the merits, it must be rejected since the brochure is dated too late to be relevant to any derivation issue ... and (2) the § 102(f) argument should not be considered here, since the defendants failed to place Schreiber on notice of it during discovery, it was not raised at trial, and it would be unfair to consider it now. (R. 196 at 10.) Plaintiff misconstrues defendants’ argument. While defendants focus on disclosure of the manner in which Kustner’s machine worked, plaintiff seeks to redirect this court’s focus to the sales brochure discussed above. I will address defendants’ argument as formulated. Additionally, I disagree with plaintiffs assertion that it would be unfair to consider the § 102(f) argument. It would be unfair to the Patent Office and the public if plaintiff withheld material information with intent to deceive, but this court formalistically refused to consider probative evidence. I thus address defendants’ argument on its merits, inquiring whether the applicant group withheld information that a reasonable examiner would have substantially likely considered important. At trial, inventor Meli repeatedly demonstrated that he held knowledge about the Kustner KA machine. For instance, he adopted his previous deposition testimony: “A. I believe ... [Kustner] had replaced the crimping belts with some chains that carried, they were doing the same thing without utilizing the rubber belts. There were chains on sprockets going down carrying cross bars. That’s how they pre-crimped. Then the drums. After that, [Stappard, plaintiffs sales agent,] did tell us that they were heating them, and I am not sure whether it was one pair of drums or two pairs of drums.... Then after that in coming out of the cooling tank, they went into some real weird configuration to get to a stacker.” (R. 175 at 80). Further, as stated above, in 1987 Miller gave Meli IWS packages that had been produced by the Kustner machine, (id. at 77), and Meli believed the packages were wrapped in a “polypropylene of some sort,” (id. at 92). Miller also showed Meli photographs of the KA machine. (Id. at 86.) At trial Meli agreed that in “late 1987, [he] knew that the Kust-ner machine design was a hot fill, then the web was crimped, and then cooled.” (Id. at 83.) Meli testified as to an April 1988 meeting he had with Robert Bush (inventor of the Bush patent), Miller, and others “to give us permission to develop a machine ... to sell in competition with [Kustner].” (Id. at 83-84.) The following interchange took place on direct examination: Q. Was there a discussion at that meeting about how the Kustner machine worked? A. I don’t remember that. Q. [Defendants’ attorney references Meli’s deposition.] You were asked the following question: “Q. Was there discussion about how the Kustner machine worked? “A. No. I don’t think so. all aware of how it worked,.’ We ivere True answer? A. Yes. Q. In April of 1988? A Yes. (Id. at 85 (emphasis added).) Meli’s testimony shows that he and those present at the meeting, including Miller, did indeed know how the Kustner machine worked. The issue remains whether the evidence shows that attendees’ awareness encompassed material information. That issue is illuminated by a November 16, 1987 letter from plaintiffs sales agent to Miller. The letter describes how the Kustner machine worked: The level control appeared to operate in an entirely different manner to ours [i.e., the Bush machine] and IQMM [a Spanish company] indicated it was perfect. The Cheese Pump appeared to be much smaller in size and drive, the registration was simple and accurate and totally different in principle to [plaintiffs]. The system of cooling appeared to be identical to ours. IQMM did in