Part One Intellectual Property Rights in General
Part One Intellectual Property Rights in General
Part One Intellectual Property Rights in General
Intellectual property laws have goals to attain. The interpretation of these laws demands a
good understanding of the rationale behind each component of law. To facilitate this
opportunity, discussion on justification of IP is important.
To this effect, this part aims to introduce the concept of intellectual property rights and
the justifications for their protections. As such, it deals with the origin, concept and scope
of intellectual property rights.
Objectives
At the end of this part, you will be able to
Identify the general natures of intellectual property;
Distinguish the various types of intellectual property;
Identify the water shade between the specific subject matters of intellectual
properties;
Explain the justifications for the protection of intellectual properties.
IP is a section of law which protects creations of the mind, and deals with intellectual
creations. Is it a workable definition? It is also commonly said that one cannot patent or
copyright ideas.
more efficiently than ever, undermining the creator’s work. There is a general feeling in
the developed countries that much of this sort of copying takes place in the third world
due to the relaxation of legal standards. All these factors have prompted the international
community as a whole to accord due recognition to intellectual property and intellectual
property regime.
Thus, the above reasons widen the scope of intellectual property rights. Among the
bundles of intellectual property rights, copyright that deals with the protection of literary,
artistic and scientific works is one.
The areas mentioned under (1) belong to the copyright branch of intellectual property.
The areas mentioned in (2) are usually called “neighboring rights”, that is, rights
neighboring on copyright. The areas mentioned under 3, 5 and 6 constitute the industrial
property branch of IP. The areas mentioned may also be considered as belonging to that
branch.
The expression industrial property covers inventions and industrial designs. Simply
stated, inventions are new solutions to technical problems, and industrial designs are
aesthetic creations determining the appearance of industrial products. In addition,
industrial property includes trademarks, service marks, commercial names and
designations, including indications of source and appellations of origin, and protection
against unfair competition. Hence the aspect of intellectual creations -although existent -
is less prominent, but what counts here is that the object of industrial property typically
consists of signs transmitting information to consumers, in particular, as regards products
and services offered on the market, and that the protection is directed against
unauthorized use of such signs which is likely to mislead consumers and misleading
practices in general.
Scientific discoveries are not the same as inventions. The general treaty on the
international recording of scientific discoveries /1978/ defines a scientific discovery as
‘the recognition of phenomena, properties or laws of the material universe not hitherto
recognized and capable of verification. “(Art. 1(1)(i)). Inventions are new solutions to
specific technical problems. Such solutions must, naturally rely on the properties or laws
of the materials universe /otherwise they could not be materially or ‘technically’ applied/,
but those properties or laws need not be properties or laws’ not hitherto recognized’. An
invention puts to new use, to new technical use, the said properties or laws, whether they
are recognized (“discovered”) simultaneously with making the invention or whether they
were already recognized (“discovered”) before and independently from the invention.
Industrial and cultural development may be favoured by stimulating creative activity and
facilitating the transfer of technology and the dissemination of literary and artistic works.
In the Ethiopian legal system too the protection of intellectual property rights is afforded
at constitutional level. The FDRE Constitution recognizes that every Ethiopian citizen
has the right to ownership of private property with certain restrictions. Article 40(2)
defines private property as any tangible or intangible product which has value and is
produced by the labor, creativity, enterprise or capital of an individual citizen,
associations which enjoy juridical personality under the law. Thus, the constitution
declares protection for every property whether it is tangible or intangible. That means
protection is afforded equally for intellectual property rights as any other property since
they are intangible products.
It is difficult to determine what types of ownership we should allow for non corporeal,
intellectual objects, such as writings, inventions and secret business information. There
are intellectual properties which are not products of the mind. For instance, all
trademarks are not products of the mind. Trademarks creation does not necessarily
require intellectual activity. The same holds true for geographic indication. They don’t
require the work of the mind like patent and copyright.
The other problem is related to problems of philosophy. They believed that human beings
cannot be regarded as a creator of something. They say human beings cannot create
something. Which is also reflected in religions?
The problems also relate with epistemology. What we reflect is what we observe from the
world (our experience, life experience). The then contemporary writers wrote that IP
lacks essential characters to be considered property.
Through time the laws of various countries started to incorporate protection to intellectual
creativity, though they are independent. There are two factors in lumping intellectual
property rights together. These are: Conceptual Basis and Historical Basis
Historical
The convention establishing the WIPO was signed in Stockholm in 1967 and entered into
force in 1970. However, the origin of WIPO goes back to 1883- the Paris Convention on
industrial property and 1886- the Berne Convention on copyright. Both were placed
under the supervision of the Swiss Federal Government. Initially there were two
secretaries (one for industrial property, and other for copyright). However, in 1893 the
two secretaries united. United International Bureaux for the Protection of IP (BIRPI)
became WIPO.
Conceptual
IP rights objects (enterprises) are inherently inappropriable. They are intangible by
nature. Use by others cannot be denied by using the possession of a property first created.
Once you have written a book and published it then the public may make use of that
property.
marks, trade names, geographical indications, and industrial design), plant breeder rights,
biodiversity, etc.
Patents
A patent is a type of intellectual property right which allows the holder of the right to
exclusively make use of and sale an invention when one develops an invention. Invention
is a new process, machine, manufacture, composition of matter. It is not an obvious
derivation of the prior art (It should involve an inventive step). A person who has got a
patent right has an exclusive right. The exclusive right is a true monopoly but its grant
involves an administrative process.
Copyright
It is an intellectual property which does not essentially grant an exclusive right over an
idea but the expressions of ideas which makes if different from patent law. Patent is
related with invention - technical solution to technical problems. Copyright is a field
which has gone with artistic, literary creativity- creativity in scientific works, audio-
visual works, musical works, software and others. There are neighboring rights. These are
different from copyright but related with it – performers in a theatre, dancers, actors,
broadcasters, producers of sound recorders, etc. It protects not ideas but expressions of
ideas as opposed to patent.
Copyright protects original expression of ideas, the ways the works are done; the
language used, etc. It applies for all copyrightable works. Copyright lasts for a longer
period of time. The practice is life of author plus 50 years after his/her life.
Administrative procedures are not required, unlike patent laws, in most laws but in
America depositing the work was necessary and was certified thereon but now it is
abolished.
of a product. It deals with appearance: how they look like. Appearance is important
because consumers are interested in the outer appearance of a product. It is exclusively
concerned with appearance, not quality.
The principles which have been utilized in developing industrial design law are from
experiences of patent and copyright laws. It shares copyright laws because the design is
artistic. It shares patent law because there are scientific considerations. Design law
subsists in a work upon registration and communication. It makes them close to patent
law since they are also founded in patent law. Duration is most of the time 20 years like
the patent law trademark Rights law.
Right of Publicity
It protects the right to use one’s own name or likeness for commercial purposes.
Geographic Indication
It is indications on products of the geographic origin of the goods. It indicates the general
source. The indication relates to the quality or reputation or other characteristics of the
good. For example, “made in Ethiopia” is not influenced by the geographical Indication.
Trade Secrets
It gives the owner of commercial information that provides a competitive edge the right
to keep others from using such information if the information was improperly disclosed
to or acquired by a competitor and the owner of the information took reasonable
precautions to keep it secret. It protects confidential secrets of some commercial value.
The holder of the secret wants this information to be protected; some protect the holder
from an unauthorized disclosure of the information. A tort law, unfair competition or
contract law can protect such information which is secret /confidential information/. The
holder (owner) has to do his/her best to keep the information secret. Trade secrets exist
without registration as it is to make the information public, for example, the formula of
Coca Cola. Information that are protected in trade secrets can be patentable if they are
novel and non obvious. But it is, most of the time, not to make the secret public.
However, their full-fledged IP rights are contestable.
1. Territorial
Any intellectual property issued should be resolved by national laws. Why is it an issue?
Because intellectual property rights have one characteristic which other national rights do
not have. In ownership of intellectual property of immovable properties, issues of cross
borders are not probable. But in intellectual properties, it is common. A film made in
Hollywood can be seen in other countries. The market is not only the local one but also
international. If a design in China is imitated by another person in France which law
would be applicable?
3. Assignable
Since they are rights, they can obviously be assigned (licensed). It is possible to put a
dichotomy between intellectual property rights and the material object in which the work
is embodied. Intellectual property can be bought, sold, or licensed or hired or attached.
4. Independence
Different intellectual property rights subsist in the same kind of object. Most intellectual
property rights are likely to be embodied in objects.
6. Divisible (Fragmentation)
Several persons may have legally protected interests evolved from a single original work
without affecting the interest of other right holders on that same item. Because of the
nature of indivisibility, intellectual property is an inexhaustible resource. This nature of
intellectual property derives from intellectual property’s territorial nature. For example,
an inventor who registered his invention in Ethiopia can use the patent himself in
Ethiopia and License it in Germany and assign it in France. Also, copyright is made up of
different rights. Those rights may be divided into different persons: publishers, adaptors,
translators, etc.
Review Questions
1. Is intellectual property really property? Why? Why not?
2. What distinguishes intellectual property from other types of property?
3. Copyright, patent, trademark, and other similar rights have their own peculiar features.
What are these? Why are they merged together and called intellectual property?
Property right is a natural right. A person has a right to own the creation of his mind in
the same manner he owns creation of his labour. When a person is deprived of what he
has created he becomes.
At the beginning, everything was common but by using labour /intellect/ it has become
private. We need to protect somebody’s labour because it is a natural right. So, it may
take to conclude that intellectual property rights are natural rights.
The problem is that natural right theory doesn’t cope with the temporal limitation of
intellectual property rights. It is true that temporal limitation is applicable to intellectual
property. Intellectual property is most of the time limited in time as to the protection
accorded by law. This theory may be justifiable for corporeal ownership in which its
existence may be for indefinite period of time. In intellectual property, however, after
lapse of a certain time the work will be part of the public domain.
Nothing can be called with greater prosperity man’s property than the fruits of his labour.
The property in any article or reason of his own mechanical labour is never denied him;
the labor of his mind is no less worth of the protection of the law.
A person has a natural right to the fruits of her labour and that this should be recognized
as her property, whether in tangible or intangible term.
John Locke has two theses. 1) Everyone has property right in the labour of his own body.
The labour of his body and the work of his hands are properly his. 2) The appropriation
of an unowned object (ideas or theories) arises out of application of human labour to that
object. Mixing one’s own labour with unowned thing confers upon a property right in the
whole thing. However, after appropriation there must remain objects of similar quality in
sufficient quantity for others: “Enough and as good left for other.”
more equal (equality). He will be freer. It is believed that the work is the personal
expression of the author’s or the inventor’s thoughts. So he should be given the right to
decide when and how his work may be produced or performed in public, and the right to
prevent mutilations and changes. Intellectual property laws are to be there to protect the
author’s or the inventor’s manifestation of his personality. This is also backed by the
need for the safeguarding of the individual’s freedom of expression.
There are arguments counterfeiting this. Whenever the law gives an exclusive right to the
innovator, the right holder is not enabled to control the problem. There are so many ways
of resolving a problem. That means there is no intellectual property law which prohibits
other innovators from innovating a solution to the same problem. This is not sound in
copyrights since they protect expression of ideas.
Patent for a drug for a certain illness does not prohibit innovating another drug for the
same illness. However, each monopolizes their right until another comes. So, the
monopolistic nature is undeniable. That is why governments try to control such
monopolization.
What if design law does not exist? Some say without intellectual properties, designers
will not engage in such business and then a given society may not promote cultures.
There is a counter argument for the monopolization of a patent. The economic incentives
given to an inventor enforce another person to invent around the patented idea. It
stimulates others to develop an alternative solution because of the monopolization of the
patented idea. So it induces inventing around an existing patent.
There is a counter argument to this, i.e., if we end up in giving different solutions to the
same problem, it will result in economic waste since there are different problems which
we have to give solutions to.
The other version of utilitarian theory is incentive (bargain) theory. The protection given
to intellectual property is an incentive to individuals not only to create works of the mind
but also to publicize and disseminate them into the public. It is to encourage creativity
and publicity. Works of the mind are very important to a given society for its social,
cultural and economic development.
Those works require investment in terms of time, money and effort. So without
protection people will not invest on them. They are no less investment demanding than
corporeal thing and the protection of the law is needed. In addition, creativity by itself is
not adequate. If the work of a mind is not made available to the public, that is not useful.
With protection publicity will be encouraged thereby enabling their publicity and serve
their intended purpose. Upon the expiry of their period of protection the public will start
to use the properties. When right is protected then the creator will make his work to be
known. Without protection people may not make their works known. The state is
bargaining with individuals.
Do intellectual properties really stimulate innovation? Are not there any stimulators other
than intellectual property rights? It is a controversial issue.
The other question is: does the theory really work? Numerous assertions are made. There
are factors other than intellectual property rights which stimulate innovation.
Before the existence of intellectual property rights there were innovations. Some say,
even great works of the mind are created without the existence of protection. As an
example, we can take Shakespeare’s writings. What incentives encouraged these people?
What they are saying is there are born creators, who continue creating even without
protection. People create for different reasons: to satisfy their natural urge, necessity,
fame… Some writers say copyright is unnecessary restriction on the public favor of the
author. For them, when there is shortage, a better system is needed and creativity follows
even without legal protection.
However, the critics must be seen seriously in light of the world’s development. In older
days, people may write books because violation itself is very difficult, there were no
printing machines, no mechanism of dissemination, no recording machines for
reproduction and distribution.
In history, works of the literature were even limited to certain groups, elites of the church.
These days, however, the situation the changed. The critics on incentive theory will not
work firmly today.
Even if consumers are prepared to pay the prices charged by the right owners, the latter
may not meet the demands of the public in sufficient quantities. This will lead to
compulsory license.
The grant of rights has little positive effect in promoting investment that is required for
the production of new inventions, technical innovation, literary and artistic productions
and the like.
Whilst no monopolies in the strict sense are applied by economists, intellectual property
rights have the potential to be used to anti-competitive effect, particularly where they are
pooled together or used as a lever to obtain other ends.
Intellectual property rights can be used to suppress free speech and access to information.
Regarding issues related to intellectual property rights, we have attached the following
different materials written by different scholars. Please read them critically.
intellectual objects, such as writings, inventions, and secret business information. The
complexity of copyright, patent, and trade secret law reflects this problem.
According to one writer "patents are the heart and core of property rights, and once they
are destroyed, the destruction of all other property rights 'will follow automatically, as a
brief postscript."Though extreme, this remark rightly stresses the importance of patents to
private competitive enterprise. Intellectual property is an increasingly significant and
widespread form of ownership of intellectual property. Many have noted the arrival of the
"post-industrial society" in which the manufacture and manipulation of physical goods is
giving way to the production and use of information. The result is an ever-increasing
strain on our laws and customs protecting intellectual property. Now, more than ever,
there is a need to carefully scrutinize these institutions.
As a result of both vastly improved information-handling technologies and the larger role
information is playing in our society, owners of intellectual property are more frequently
faced with what they call ”piracy" or information theft (that is, unauthorized access to
their intellectual property). Most readers of this article have undoubtedly done something
considered piracy by owners of intellectual property. Making a cassette tape of a friend's
record, videotaping television broadcasts for a movie library, copying computer programs
or using them on more than one machine, photocopying more than one chapter of a book,
or two or more articles by the same author—all are examples of alleged infringing activ-
ities. Copyright, patent, and trade secret violation suits abound in industry, and in
academia, the use of another person's ideas often goes unacknowledged. These
phenomena indicate widespread public disagreement over the nature and legitimacy of
our intellectual property institutions. This article examines the justifiability of those
institutions.
Expressions of ideas are copyrightable; ideas themselves are not. While useful, this
notion of separating the content of an idea from its style of presentation is not un-
problematic. Difficulty in distinguishing the two is most apparent in the more artistic
forms of authorship (such as fiction or poetry), where style and content interpenetrate. In
these mediums, more so than in others, how something is said is very much part of what
is said (and vice versa).
A related distinction holds for patents. Laws of nature, mathematical formulas, and
methods of doing business, for example, cannot be patented. What one patents are
inventions—that is, processes, machines, manufactures, or compositions of matter. These
must be novel (not previously patented); they must constitute non obvious improvements
over past inventions; and they must be useful (inventions that do not work cannot be
patented). Specifying what sorts of “technological recipes for production" constitute
patentable subject matter involves distinguishing specific applications and utilizations
from the underlying unpatentable general principles. One cannot patent the scientific
principle that water boils at 212 degrees, but one can patent a machine (for example, a
steam engine) which uses this principle in a specific way and for a specific purpose.
Trade secrets include a variety of confidential and valuable business information, such as
sales, marketing, pricing, and advertising data, lists of customers and suppliers, and such
things as plant layout and manufacturing techniques. Trade secrets must not be generally
known in the industry, their nondisclosure must give some advantage over competitors,
and attempts to prevent leakage of the information must be made (such as pledges of
secrecy in employment contracts or other company security policies). The formula for
Coca-Cola and bids on government contracts are examples of trade secrets.
Trade secret subject matter includes that of copyrights and patents: anything which can
be copyrighted or patented can be held as a trade secret, though the converse is not true.
Typically a business must choose between patenting an invention and holding it as a trade
secret. Some advantages of trade secrets are (i) they do not require disclosure (in fact they
require secrecy), whereas a condition for granting patents (and copyrights) is public
disclosure of the invention (or writing); (2) they are protected for as long as they are kept
secret, while most patents lapse after seventeen years; and (3) they involve less cost than
acquiring and defending a patent. Advantages of patents include protection against re-
verse engineering (competitors figuring out the invention by examining the product
which embodies it) and against independent invention. Patents give their owners the
exclusive right to make, use, and sell the invention no matter how anyone else comes up
with it, while trade secrets prevent only improper acquisition (breaches of security).
Copyrights give their owners the right to reproduce, to prepare derivative works from, to
distribute copies of, and to publicly perform or display the "original work of authorship."
Their duration is the author's life plus fifty years. These rights are not universally
applicable, however. The most notable exception is the "fair use" clause of the copyright
statute, which gives researchers, educators, and libraries special privileges to use
copyrighted material.
The possession or use of an intellectual object by one person does not preclude others
from possessing or using it as well. If someone borrows your lawn mower, you cannot
use it, nor can anyone else. But if someone borrows your recipe for guacamole, that in no
way precludes you, or anyone else, from using it. This feature is shared by all sorts of
intellectual objects, including novels, computer programs, songs, machine designs,
dances, recipes for Coca-Cola, lists of customers and suppliers, management techniques,
and formulas for genetically engineered bacteria which digest crude oil. Of course,
sharing intellectual objects does prevent the original possessor from selling the
intellectual object to others, and so this sort of use is prevented. But sharing in no way
hinders personal use.
This characteristic of intellectual objects grounds a strong prima facie case against the
wisdom of private and exclusive intellectual property rights. Why should one person have
the exclusive right to possess and use something which all people could possess and use
concurrently? The burden of justification is very much on those who would restrict the
maximal use of intellectual objects. A person's right to exclude others from possessing
and using a physical object can be justified when such exclusion is necessary for this
person's own possession and unhindered use. No such justification is available for
exclusive possession and use of intellectual property.
One reason for the widespread piracy of intellectual property is that many people think it
is unjustified to exclude others from intellectual objects.' Also, the unauthorized taking of
an intellectual object does not feel like theft. Stealing a physical object involves depriving
someone of the object taken, whereas taking an intellectual object deprives the owner of
neither possession nor personal use of that object—though the owner is deprived of
potential profit. This nonexclusive feature of intellectual objects should be kept firmly in
mind when assessing the justifiability of intellectual property.
Since a condition for granting patents and copyrights is public disclosure of the writing or
invention, these forms of intellectual ownership do not involve the exclusive right to
possess the knowledge or ideas they protect. Our society gives its inventors and writers a
legal right to exclude others from certain uses of their intellectual works in return for
public disclosure of these works. Disclosure is necessary if people are to learn from and
build on the ideas of others. When they bring about disclosure of ideas which would have
otherwise remained secret, patents and copyrights enhance rather than restrict the free
flow of ideas (though they still restrict the idea's widespread use and dissemination).
Trade secrets do not have this virtue. Regrettably, the common law tradition which offers
protection for trade secrets encourages secrecy. This makes trade secrets undesirable in a
way in which copyrights or patents are not.
John Lock’s version of this labor justification for property derives property rights in the
product of labor from prior property rights in one's body. 16 A person owns her body and
hence she owns what" it does, namely, its labor. A person’s labor and its product are
inseparable, and so ownership of one can be secured only by owning the other. Hence, if
a person is to own her body and thus its labor, she must also own what she ' joins her
labor with—namely, the product of her labor.
This formulation is not without problems. For example, Robert Nozick wonders why a
person should gain what she mixes her labor with instead of losing her labor. (He
imagines pouring a can of tomato juice into the ocean and asks whether he thereby ought
to gain the ocean or lose his tomato juice.) More importantly, assuming that labor's fruits
are valuable, and that laboring gives the laborer a property right in this value, this would
entitle the laborer only to the value she added, and not to the total value of the resulting
product. Though exceedingly difficult to measure, these two components of value (that
attributable to the object labored on and that attributable to the labor) need to be
distinguished.
Locke thinks that until labored on, objects have little human value, at one point
suggesting that labor creates 99 percent of their value. This is not plausible when labor is
mixed with land and other natural resources. One does not create 99 percent of the value
of an apple by picking it off a tree, though some human effort is necessary for an object
to have value for us.
What portion of the value of writings, inventions, and business information is attributable
to the intellectual laborer? Clearly authorship, discovery, or development is necessary if
intellectual products are to have value for us: we could not use or appreciate them
without this labor. But it does not follow from this that all of their value is attributable to
that labor. Consider, for example, the wheel, the entire human value of which is not
appropriately attributable to its original inventor's.
The value added by the laborer and any value the object has on its own are by no means
the only components of the value of an intellectual object. Invention, writing, and thought
in general do not operate in a vacuum; intellectual activity is not creation ex nihilo. Given
this vital dependence of a person's thoughts on the ideas of those who came before her,
intellectual products are fundamentally social products. Thus even if one assumes that the
value of these products is entirely the result of human labor, this value is not entirely
attributable to any particular laborer (or small group of laborers).
Separating out the individual contribution of the inventor, writer, or manager from this
historical/social component is no easy task. Simply identifying the value a laborer's labor
adds to the world with the market value of the resulting product ignores the vast
contributions of others. A person who relies on human intellectual history and makes a
small modification to produce something of great value should no more receive what the
market will bear than should the last person needed to lift a car receive full credit for
lifting it. If laboring gives the laborer the right to receive the market value of the resulting
product, this market value should be shared by all those whose ideas contributed to the
origin of the product. The fact that most of these contributors are no longer present to
receive their fair share is not a reason to give the entire market value to the last
contributor.
Thus an appeal to the market value of a laborer's product cannot help us here. Markets
work only after property rights have been established and enforced, and our question is
what sorts of property rights an inventor, writer, or manager should have, given that the
result of her labor is a joint product of human intellectual history.
Even if one could separate out the laborer's own contribution and determine its market
value, it is still not clear that the laborer's right to the fruits of her labor naturally entitles
her to receive this. Market value is a socially created phenomenon, depending on the
activity (or non activity) of other producers, the monetary demand of purchasers, and the
kinds of property rights, contracts, and markets the state has established and enforced.
The market value of the same fruits of labor will differ greatly with variations in these
social factors.
Consider the market value of a new drug formula. This depends on the length and the
extent of the patent monopoly the state grants and enforces, on the level of affluence of
those who need the drug, and on the availability and price of substitutes. The laborer did
not produce these. The intuitive appeal behind the labor argument—"I made it, hence it's
mine"—loses its force when it is used to try to justify owning something others are
responsible for (namely, the market value). The claim that a laborer, in virtue of her
labor, has a "natural right" to this socially created phenomenon is problematic at best.
Thus, there are two different reasons why the market value of the product of labor is not
what a laborer's labor naturally entitles her to. First, market value is not something that is
produced by those who produce a product, and the labor argument entitles laborers only
to the products of their labor. Second, even if we ignore this point and equate the fruits of
labor with the market value of those fruits, intellectual products result from the labor of
many people besides the latest contributor, and they have claims on the market value as
well.
So even if the labor theory shows that the laborer has a natural right to the fruits of labor,
this does not establish a natural right to receive the full market value of the resulting
produce. The notion that a laborer is naturally entitled as a matter of right to receive the
market value of her product is a myth. To what extent individual laborers should be
allowed to receive the market value of their products is a question of social policy; it is
not solved by simply insisting on a moral right to the fruits of one's labor.
Having a moral right to the fruits of one's labor might also mean having a right to possess
and personally use what one develops. This version of the labor theory has some force.
On this interpretation, creating something through labor gives the laborer a prima facie
right to possess and personally use it for her own benefit. The value of protecting
individual freedom guarantees this right as long as the creative labor, and the possession
and use of its product, does not harm others.
But the freedom to exchange a product in a market and receive its full market value is
again something quite different. To show that people have a right to this, one must argue
about how best to balance the conflicts in freedoms which arise when people interact.
One must determine what sorts of property rights and markets are morally legitimate.
One must also decide when society should enforce the results of market interaction and
when it should alter those results (for example, with tax policy). There is a gap—
requiring extensive argumentative filler—between the claim that one has a natural right
to possess and personally use the fruits of one's labor and the claim that one ought to
receive for one's product whatever the market will bear.
Such a gap exists as well between the natural right to possess and personally use one's
intellectual creations and the rights protected by copyrights, patents, and trade secrets.
The natural right of an author to personally use her writings is distinct from the right,
protected by copyright, to make her work public, sell it in a market, and then prevent
others from making copies. An inventor's natural right to use the invention for her own
benefit is not the same as the right, protected by patent, to sell this invention in a market
and exclude others (including independent inventors) from using it. An entrepreneur's
natural right to use valuable business information or techniques that she develops is not
the same as the right, protected by trade secret, to prevent her employees from using
these techniques in another job.
In short, a laborer has a prima facie natural right to possess and personally use the fruits
of her labor. But a right to profit by selling a product in the market is something quite
different. This liberty is largely a socially created phenomenon. The "right" to receive
what the market will bear is a socially created privilege, and not a natural right at all. The
natural right to possess and personally use what one has produced is relevant to the
justifiability of such a privilege, but by itself it is hardly sufficient to justify that
privilege.
The desert argument suggests that the laborer deserves to benefit from her labor, at least
if it is an attempt to do something worthwhile. This proposal is convincing, but does not
show that what the laborer deserves is property rights in the object labored on. The
mistake is to conflate the created object which makes a person deserving of a reward with
what that reward should be. Property rights in the created object are not the only possible
reward. Alternatives include fees, awards, acknowledgment, gratitude, praise, security,
power, status, and public financial support.
Many considerations affect whether property rights in the created object are what the
laborer deserves. This may depend, for example, on what is created by labor. If property
rights in the very things created were always an appropriate reward for labor, then as
Lawrence Becker notes, parents would deserve property rights in their children. Many
intellectual objects (scientific laws, religious, and ethical insights, and so on) are also the
sort of thing that should not be owned by anyone.
Furthermore, as Becker also correctly points out, we need to consider the purpose for
which the laborer labored. Property rights in the object produced are not a fitting reward
if the laborer does not want them. Many intellectual laborers produce beautiful things and
discover truths as ends in themselves. The appropriate reward in such cases is recog-
nition, gratitude, and perhaps public financial support, not full-fledged property rights,
for these laborers do not want to exclude others from their creations.
Property rights in the thing produced are also not a fitting reward if the value of these
rights is disproportional to the effort expended by the laborer. 'Effort' includes (1) how
hard someone tries to achieve a result, (2) the amount of risk voluntarily incurred in
seeking this result, and (3) the degree to which moral considerations played a role in
choosing the result intended. The harder one tries, the more one is willing to sacrifice,
and the worthier the goal, the greater are one's deserts.
Becker's claim that the amount deserved is proportional to the value one's labor produces
is mistaken. The value of labor's results is often significantly affected by factors outside a
person's control, and no one deserves to be rewarded for being lucky. Voluntary past
action is the only valid basis for determining desert. Here only a person's effort (in the
sense defined) is relevant. Her knowledge, skills, and achievements insofar as they are
based on natural talent and luck, rather than effort expended, are not. A person who is
born with extraordinary natural talents, or who is extremely lucky, deserves nothing on
the basis of these characteristics. If such a person puts forward no greater effort than
another, she deserves no greater reward. Thus, two laborers who expend equal amounts
of effort deserve the same reward, even when the value of the resulting products is vastly
different. Giving more to workers whose products have greater social value might be
justified if it is needed as an incentive. But this has nothing to do with giving the laborer
what she deserves.
John Rawls considers even the ability to expend effort to be determined by factors
outside a person's control and hence a morally impermissible criterion for distribution.
How hard one tries, how willing one is to sacrifice and incur risk, and how much one
cares about morality are to some extent affected by natural endowments and social
circumstances. But if the ability to expend effort is taken to be entirely determined by
factors outside a person's control, the result is a determinism which makes meaningful
moral evaluation impossible. If people are responsible for anything, they are responsible
for how hard they try, what sacrifices they make, and how moral they are. Because the
effort a person expends is much more under her control than her innate intelligence,
skills, and talents, effort is a far superior basis for determining desert. To the extent that a
person's expenditure of effort is under her control, effort is the proper criterion for desert.
Giving an inventor exclusive rights to make and sell her invention (for seventeen years)
may provide either a greater or a lesser reward than she deserves. Some inventions of
extraordinary market value result from flashes of genius, while others with little market
value (and yet great social value) require significant efforts.
One is that after the appropriation there must be "enough and as good left in common for
others." This proviso is often reformulated as a "no loss to others" precondition for
property acquisition. As long as one does not worsen another's position by appropriating
an object, no objection can be raised to owning that with which one mixes one's labor.
Under current law, patents clearly run afoul of this proviso by giving the original inventor
an exclusive right to make, use, and sell the invention. Subsequent inventors who
independently come up with an already patented invention cannot even personally use
their invention, much less patent or sell it. They clearly suffer a great and unfair loss
because of the original patent grant. Independent inventors should not be prohibited from
using or selling their inventions. Proving independent discovery of a publicly available
patented invention would be difficult, however. Nozick's suggestion that the length of
patents be restricted to the time it would take for independent invention may be the most
reasonable administrative solution. In the modem world of highly competitive research
and development, this time is often much shorter than the seventeen years for which most
patents are currently granted.
Copyrights and trade secrets are not subject to the same objection (though they may
constitute a loss to others in different ways). If someone independently comes up with a
copyrighted expression or a competitor's business technique, she is not prohibited from
using it. Copyrights and trade secrets prevent only mimicking of other people's
expressions and ideas.
more than one can use. So in addition to leaving enough apples in the orchard for others,
one must not take home a truckload and let them spoil. Though Locke does not
specifically mention prohibiting waste, it is the concern to avoid waste which underlies
his proviso prohibiting spoilage. Taking more than one can use is wrong because it is
wasteful. Thus Locke's concern here is with appropriations of property which are
wasteful.
Since writings, inventions, and business techniques are nonexclusive, this requirement
prohibiting waste can never be completely met by intellectual property. When owners of
intellectual property charge fees for the use of their expressions or inventions, or conceal
their business techniques from others, certain beneficial uses of these intellectual
products are prevented. This is clearly wasteful, since everyone could use and benefit
from intellectual objects concurrently. How wasteful private ownership of intellectual
property is depends on how beneficial those products would be to those who are excluded
from their use as a result.
But copyrights and patents are neither necessary nor important for achieving these goals.
The right to exclude others from using one's invention or copying one's work of
authorship is not essential to one's sovereignty. Preventing a person from personally
using her own invention or writing, on the other hand, would seriously threaten her
sovereignty. An author's or inventor's sense of worth and dignity requires public ac-
knowledgment by those who use the writing or discovery, but here again, giving the
author or inventor the exclusive right to copy or use her intellectual product is not
necessary to protect this.
Though patents and copyrights are not directly necessary for survival (as are food and
shelter), one could argue that they are indirectly necessary for an individual's security and
survival when selling her inventions or writings is a person's sole means of income. In
our society, however, most patents and copyrights are owned by institutions (businesses,
universities, or governments). Except in unusual cases where individuals have
extraordinary bargaining power, prospective employees are required to give the rights to
their inventions and works of authorship to their employers as a condition of
employment. Independent authors or inventors who earn their living by selling their
writings or inventions to others are increasingly rare. Thus arguing that intellectual
property promotes individual security makes sense only in a minority of cases.
Additionally, there are other ways to ensure the independent intellectual laborer's security
and survival besides copyrights and patents (such as public funding of intellectual
workers and public domain property status for the results).
Controlling who uses one's invention or writing is not important to one's privacy. As long
as there is no requirement to divulge privately created intellectual products (and as long
as laws exist to protect people from others taking information they choose not to divulge
—as with trade secret laws), the creator's privacy will not be infringed. Trying to justify
copyrights and patents on grounds of privacy is highly implausible given that these
property rights give the author or inventor control over certain uses of writings and
inventions only after they have been publicly disclosed.
Trade secrets are not defensible on grounds of privacy either. A corporation is not an
individual and hence does not have the personal features privacy is intended to protect.
Concern for sovereignty counts against trade secrets, for they often directly limit
individual autonomy by preventing employees from changing jobs. Through employment
contracts, by means of gentlemen's agreements among firms to respect trade secrets by
refusing to hire competitors' employees, or simply because of the threat of lawsuits, trade
secrets often prevent employees from using their skills and knowledge with other
companies in the industry.
Some trade secrets, however, are important to a company's security and survival. If
competitors could legally obtain the secret formula for Coke, for example, the Coca-Cola
Company would be severely threatened. Similar points hold for copyrights and patents.
Without some copyright protection, companies in the publishing, record, and movie
industries would be severely threatened by competitors who copy and sell their works at
lower prices (which need not reflect development costs). Without patent protection,
companies with high research and development costs could be underpriced and driven out
of business by competitors who simply mimicked the already developed products. This
unfair competition could significantly weaken incentives to invest in innovative
techniques and to develop new products.
The next section considers this argument that intellectual property is a necessary
incentive for innovation and a requirement for healthy and fair competition. Notice,
however, that the concern here is with the security and survival of private companies, not
of individuals. Thus one need to determine whether, and to what extent, the security and
survival of privately held companies is a goal worth promoting. That issue turns on the
difficult question of what type of economy is most desirable. Given a commitment to
capitalism, however, this argument does have some force.
patents and copyrights—"to promote the progress of science and the useful arts"—is
itself utilitarian. Given the shortcomings of the other arguments for intellectual property,
the justifiability of copyrights, patents, and trade secrets depends, in the final analysis, on
this utilitarian defense.
This approach is paradoxical. It establishes a right to restrict the current availability and
use of intellectual products for the purpose of increasing the production and thus future
availability and use of new intellectual products. As economist Joan Robinson says of
patents: "A patent is a device to prevent the diffusion of new methods before the original
investor has recovered profit adequate to induce the requisite investment. The
justification of the patent system is that by slowing down the diffusion of technical
progress it ensures that there will be more progress to diffuse. . . . Since it is rooted in a
contradiction, there can be no such thing as an ideally beneficial patent system, and it is
bound to produce negative results in particular instances, impeding progress
unnecessarily even if its general effect is favorable on balance. Although this strategy
may work, it is to a certain extent self-defeating. If the justification for intellectual
property is utilitarian in this sense, then the search for alternative incentives for the
production of intellectual products takes on a good deal of importance. It would be better
to employ equally powerful ways to stimulate the production and thus use of intellectual
products which did not also restrict their use and availability.
Government support of intellectual work and public ownership of the result may be one
such alternative. Governments already fund a great deal of basic research and
development, and the results of this research often become public property. Unlike
private property rights in the results of intellectual labor, government funding of this
labor and public ownership of the result stimulate new inventions and writings without
restricting their dissemination and use. Increased government funding of intellectual
labor should thus be seriously considered.
This proposal need not involve government control over which research projects are to be
pursued. Government funding of intellectual labor can be divorced from government
control over what is funded. University research is an example. Most of this is supported
by public funds, but government control over its content is minor and indirect. Agencies
at different governmental levels could distribute funding for intellectual labor with only
the most general guidance over content, leaving businesses, universities, and private
individuals to decide which projects to pursue.
any alternative mechanism would. For example, could better overall results be achieved
by shortening the length of copyright and patent grants, or by putting a time limit on trade
secrets (and on the restrictions on future employment employers are allowed to demand
of employees)? Would eliminating most types of trade secrets entirely and letting patents
carry a heavier load produce unproved results? Additionally, we must determine whether
and to what extent public funding and ownership of intellectual products might be a more
efficient means to these results.
We should not expect an across-the-board answer to these questions. For example, the
production of movies is more dependent on copyright than is academic writing. Also,
patent protection for individual inventors and small beginning firms makes more sense
than patent protection for large corporations (which own the majority of patents). It has
been argued that patents are not important incentives for the research and innovative
activity of large corporations in competitive markets. The short-term advantage a
company gets from developing a new product and being the first to put it on the market
may be incentive enough.
That patents are conducive to a strong competitive economy is also open to question. Our
patent system, originally designed to reward the individual inventor and thereby stimulate
invention, may today be used as a device to monopolize industries. It has been suggested
that in some cases "the patent position of the big firms makes it almost impossible for
new firms to enter the industry" and that patents are frequently bought up in order to
suppress competition.
Trade secrets as well can stifle competition, rather than encourage it. If a company can
rely on a secret advantage over a competitor, it has no need to develop new technologies
to stay ahead. Greater disclosure of certain trade secrets—such as costs and profits of
particular product lines—would actually increase competition, rather than decrease it.
Since with this knowledge firms would then concentrate on one another's most profitable
products. Furthermore, as one critic notes, trade secret laws often prevent a former
employee "from doing work in just that field for which his training and experience have
best prepared him. Indeed, the mobility of engineers and scientists is often severely
limited by the reluctance of new firms to hire them for fear of exposing themselves to a
lawsuit." Since the movement of skilled workers between companies is a vital mechanism
in the growth and spread of technology, in this important respect trade secrets actually
slow the dissemination and use of innovative techniques.
These remarks suggest that the justifiability of our intellectual property institutions is not
settled by the facile assertion that our system of patents, copyrights, and trade secrets
provides necessary incentives for innovation and ensures maximally healthy competitive
enterprise. This argument is not as easy to construct as one might at first think; substan-
tial empirical evidence is needed. The above considerations suggest that the evidence
might not support this position.
Conclusion
Justifying intellectual property is a formidable task. The inadequacies of the traditional
justifications for property become more severe when applied to intellectual property.
Both the nonexclusive nature of intellectual objects and the presumption against allowing
restrictions on the free flow of ideas create special burdens in justifying such property.
We have seen significant shortcomings in the justifications for intellectual property.
Natural rights to the fruits of one's labor are not by themselves sufficient to justify
copyrights, patents, and trade secrets, though they are relevant to the social decision to
create and sustain intellectual property institutions. Although intellectual laborers often
deserve rewards for their labor, copyrights, patents, and trade secrets may give the laborer
much more or much less than is deserved. Where property rights are not what is desired,
they may be wholly inappropriate. The Lockean labor arguments for intellectual property
also run afoul of one of Locke's provisos—the prohibition against spoilage or waste.
Considerations of sovereignty, security, and privacy are inconclusive justifications for
intellectual property as well.
This analysis suggests that the issue turns on considerations of social utility. We must
determine whether our current copyright, patent, and trade secret statutes provide the best
This discussion also suggests that copyrights are easier to justify than patents or trade
secrets. Patents restrict the actual usage of an idea (in making a physical object), while
copyrights restrict only copying an expression of an idea. One can freely use the ideas in
a copyrighted book in one's own writing, provided one acknowledges their origin. One
cannot freely use the ideas a patented invention represents when developing one's own
product. Furthermore, since inventions and business techniques are instruments of
production in a way in which expressions of ideas are not, socialist objections to private
ownershipof the means of production apply to patents and trade secrets far more readily
than they do to copyrights. Trade secrets are suspect also because they do not involve the
socially beneficial public disclosure which is part of the patent and copyright process.
They are additionally problematic to the extent that they involve unacceptable restrictions
on employee mobility and technology transfer.
In 1980, a book entitled Documents on Australian Defence and Foreign Policy 1968-
1975 was published by George Munster and Richard Walsh. It reproduced many secret
government memos, briefings and other documents concerning Australian involvement in
the Vietnam war, events leading up to the Indonesian invasion of East Timor, and other
issues. Exposure of this material deeply embarrassed the Australian government. In an
unprecedented move, the government issued an interim injunction, citing both the Crimes
Act and the Copyright Act. The books, just put on sale, were impounded. Print runs of
two major newspapers with extracts from the book were also seized. The Australian High
Court ruled that the Crimes Act did not apply, but that the material was protected by
copyright held by the government. Later, Munster and Walsh produced a book using
summaries and short quotes in order to present the information (Munster 1982).
This example is one of many that show how copyright is used to protect the interests of
the powerful in the face of challengers, at the expense of free speech. Yet copyright is
standardly justified on the grounds that it promotes creation and dissemination of ideas.
Copyright is one of four main types of intellectual property or, in other words, ownership
of information. The others are patents, trademark and trade secrets. Copyright covers the
expression of ideas such as in writing, music and pictures. Patents cover inventions, such
as designs for objects or industrial processes. Trademarks are symbols associated with a
good, service or company. Trade secrets cover confidential business information.
The type of property that is familiar to most people is physical objects. People own
clothes, cars, houses and land. When people own ideas, this is called intellectual property.
But there has always been a big problem with owning ideas—exclusive use or control of
ideas doesn't make nearly as much sense as it does applied to physical objects.
Many physical objects can only be used by one person at a time. If one person wears a
pair of shoes, no one else can wear them at the same time. (The person who wears them
often also owns them, but not always.) This is not true of intellectual property. Ideas can
be copied over and over, but the person who had the original copy still has full use of it.
Suppose you write a poem. Even if a million other people have copies and read the poem,
you can still read the poem yourself. In other words, more than one person can use an
idea—a poem, a mathematical formula, a tune—without reducing other people's use of
the idea. Shoes and poems are fundamentally different in this respect.
This article outlines the case against intellectual property. It begins by mentioning some
of the problems arising from ownership of information. Then I turn to weaknesses in the
standard justifications for intellectual property. Next is an overview of problems with the
so-called "marketplace of ideas," which has important links with intellectual property.
Finally, I outline some alternatives to intellectual property and some possible strategies
for moving towards these alternatives.
to whoever can pay. Publicly funded information is "privatized" and thus is not freely
available (Nelkin 1984).
More generally, intellectual property is one more way for rich countries to extract wealth
from poor countries. Given the enormous exploitation of poor people built into the world
trade system, it would only seem fair for ideas produced in rich countries to be provided
at no cost to poor countries. Yet in the GATT negotiations, representatives of rich
countries, especially the US, have insisted on strengthening intellectual property rights.
Surely there is no better indication that intellectual property is primarily of value to those
who are already powerful and wealthy (Drahos 1995; Patel 1989).
The potential financial returns from intellectual property are said to provide an incentive
for individuals to create. In practice, though, most creators do not actually gain much
benefit from intellectual property. Independent inventors are frequently ignored or
exploited (Lancaster 1992). When employees of corporations and governments have an
idea worth protecting, it is usually copyrighted or patented by the organization, not the
employee. Since intellectual property can be sold, it is usually the rich and powerful that
benefit. The rich and powerful, it should be noted, seldom contribute much intellectual
labour to the creation of new ideas.
The first argument for intellectual property is that people are entitled to the results of
their labour. Hettinger's response is that not all the value of intellectual products is due to
labour. Nor is the value of intellectual products due to the work of a single labourer, or
any small group. Intellectual products are social products.
Suppose you have written an essay or made an invention. Your intellectual work does not
exist in a social vacuum. It would not have been possible without lots of earlier work—
both intellectual and nonintellectual— by many other people. This includes your teachers
and parents. It includes the earlier authors and inventors who have provided the
foundation for your contribution. It also includes the many people who have discussed
and used ideas and techniques, at both theoretical and practical levels, and provided a
cultural foundation for your contribution. It includes the people who have built printing
presses, laid telephone cables, built roads and buildings and in many other ways have
contributed to the "construction" of society. Many other people could be mentioned. The
point is that any piece of intellectual work is always built on and inconceivable without
the prior work of numerous people.
Hettinger points out that the earlier contributors to the development of ideas are not
present. Today's contributor therefore cannot validly claim full credit.
Is the market value of a piece of an intellectual product a reasonable indicator of a
person's contribution? Certainly not. As noted by Hettinger and as will be discussed in
the next section, markets only work once property rights have been established, so it is
circular to argue that the market can be used to measure intellectual contributions.
Hettinger summarizes this point in this fashion: "The notion that a laborer is naturally
entitled as a matter of right to receive the market value of her product is a myth. To what
extent individual laborers should be allowed to receive the market value of their products
is a question of social policy."
A related argument is that people have a right to possess and personally use what they
develop. Hettinger's response is that this doesn't show that they deserve market values,
nor that they should have a right to prevent others from using the invention.
A second major argument for intellectual property is that people deserve property rights
because of their labour. This brings up the general issue of what people deserve a topic
that has been analysed by philosophers. Their usual conclusions go against what many
people think is "common sense." Hettinger says that a fitting reward for labour should be
proportionate to the person's effort, the risk taken and moral considerations. This sounds
all right—but it is not proportionate to the value of the results of the labour, whether
assessed through markets or by other criteria. This is because the value of intellectual
work is affected by things not controlled by the worker, including luck and natural talent.
Hettinger says "A person who is born with extraordinary natural talents, or who is
extremely lucky, deserves nothing on the basis of these characteristics".
A musical genius like Mozart may make enormous contributions to society. But being
born with enormous musical talents does not provide a justification for owning rights to
musical compositions or performances.
Likewise, the labour of developing a toy like Teenage Mutant Ninja Turtles that becomes
incredibly popular does not provide a justification for owning rights to all possible uses
of turtle symbols.
What about a situation where one person works hard at a task and a second person with
equal talent works less hard? Doesn't the first worker deserve more reward? Perhaps so,
but it is not obvious that property rights provide a suitable mechanism for allocating
rewards, especially since the market disproportionately rewards the person who
successfully claims property rights for a discovery.
A third argument for intellectual property is that private property is a means for
promoting privacy and a means for personal autonomy. Hettinger responds that privacy is
protected by not revealing information, not by owning it. Trade secrets cannot be
defended on the grounds of privacy, because corporations are not individuals. As for
personal autonomy, copyrights and patents aren't required for this.
A fourth argument is that rights in intellectual property are needed to promote the
creation of more ideas. Hettinger thinks that this is the only argument for intellectual
property that has a possibility of standing up to critique. He is still somewhat sceptical,
though. He notes that the whole argument is built on a contradiction, namely that in order
to promote the development of ideas, it is necessary to reduce the freedom with which
people can use them.
This argument for intellectual property cannot be resolved without further investigation.
Hettinger says that there needs to be an investigation of how long patents and copyrights
should be granted, to determine an optimum period for promoting intellectual work. It
should be noted that although the scale and pace of intellectual work has increased over
the past few centuries, the length of protection of intellectual property has not been
reduced, as might be expected, but greatly increased. The United States got along fine
without copyright for much of the 1800s. Where once copyrights were only for a period
of a few years, they now may be for the life of the author plus 50 years. In many
countries, chemicals and pharmaceuticals were not patentable until recently (Patel 1989).
This suggests that even if intellectual property can be justified on the basis of fostering
new ideas, this is not the driving force behind the present system of copyrights and
patents.
There are plenty of practical examples of the failure of the marketplace of ideas. Groups
that are stigmatized or that lack power seldom have their viewpoints presented. This
includes ethnic minorities, prisoners, the unemployed, manual workers and radical critics
of the status quo, among many others (McGaffey 1972). Even when such groups organise
themselves to promote their ideas, their views are often ignored while the media focus on
their protests, as in the case of peace movement rallies and marches (Gwyn 1966).
Demonstrably, good ideas do not always win out in the marketplace of ideas. To take one
example, it can hardly be argued that the point of view of workers is inherently less
worthy than that of employers. Yet there is an enormous imbalance in the presentation of
their respective viewpoints in the media. One result is that quite a few ideas that happen
to serve the interests of employers at the expense of workers—such as that the reason
people don't have jobs is because they aren't trying hard enough to find them—are widely
accepted although they are rejected by virtually all informed analysts.
There is a simple and fundamental reason for the failure of the marketplace of ideas:
inequality, especially economic inequality (Baker 1989; Hanson 1981). Perhaps in a
group of people sitting in a room discussing an issue, there is some prospect of a
measured assessment of different ideas. But if these same people are isolated in front of
their television sets, and one of them owns the television station, it is obvious that there is
little basis for testing of ideas. The reality is that powerful and rich groups can promote
their ideas with little chance of rebuttal from those with different perspectives. Large
corporations pay for advertisements and other forms of marketing. Governments shape
media agendas as well as directly regulating the media. The mass media themselves are
powerful enterprises—whether owned by government or industry—that promote their
own interests as well as those of their advertisers (Bagdikian 1993).
Some ideas are good—in the sense of being valuable to society—but are unwelcome.
Some are unwelcome to powerful groups, such as that governments and corporations
commit massive crimes (Ross 1995) or that there is a massive trade in technologies of
torture and repression that needs to be stopped (Wright 1991). Others are challenging to
much of the population, such as that imprisonment does not reduce the crime rate or that
financial rewards for good work on the job or grades for good school-work are
counterproductive (Kohn 1993). (Needless to say, individuals might disagree with the
examples used here. The case does not rest on the examples themselves, but on the
existence of some important cases where unwelcome but socially valuable ideas are
marginalised.) The marketplace of ideas simply does not work to treat such unwelcome
ideas with the seriousness they deserve. The mass media try to gain audiences by pleas-
ing them, not by confronting them with challenging ideas (Entman 1989).
The marketplace of ideas is often used to justify free speech. The argument is that free
speech is necessary in order for the marketplace of ideas to operate: if some types of
speech are curtailed, certain ideas will not be available on the marketplace and thus the
best ideas will not succeed. This sounds plausible. But it is possible to reject the
marketplace of ideas while still defending free speech on the grounds that it is' essential
to human liberty (Baker 1989). Conversely, defending free speech does not mean
If the marketplace of ideas doesn't work, what is the solution? The usual view is that
governments should intervene to ensure that all groups have fair access to the media
(McGaffey 1972). But this approach, based on promoting equality of opportunity, ignores
the fundamental problem of economic inequality. Even if minority groups have some
limited chance to present their views in the mass media, this can hardly compensate for
the massive power of governments and corporations to promote their views. In addition,
it retains the role of the mass media as the central mechanism for disseminating ideas. So-
called reform proposals either retain the status quo or introduce government censorship
(Ingber 1984).
Underlying the market model is the idea of self-regulation: the "free market" is supposed
to operate without outside intervention and, indeed, to operate best when outside
intervention is minimized. In practice, even markets in goods do not operate
autonomously: the state is intimately involved in even the freest of markets (Moran and
Wright 1991). In the case of the marketplace of ideas, the state is involved both in
shaping the market and in making it possible, for example by promoting and regulating
the mass media. The world's most powerful state, the US, has been the driving force
behind the establishment of a highly protectionist system of intellectual property, using
power politics at GATT, the General Agreement on Tariffs and Trade (Drahos 1995).
Courts may use the rhetoric of the marketplace of ideas but actually interpret the law to
support the status quo (Ingber 1984). For example, speech is treated as free until it might
actually have some consequences. Then it is curtailed when it allegedly presents a "clear
and present danger," such as when peace activists expose information supposedly
threatening to "national security" (Gleditsch 1987). But speech without action is
pointless. True liberty requires freedom to promote one's views in practice (Baker 1989).
Powerful groups have the ability to do this. Courts only intervene when others try to do
the same.
As in the case of trade generally, a property-based "free market" serves the interests of
powerful producers. In the case of ideas, this includes not only governments and
corporations but also intellectuals and professionals linked with universities,
entertainment, journalism and the arts. Against such an array of intellectual opinion, it is
very difficult for other groups, such as manual workers, to compete (Ginsberg 1986). The
marketplace of ideas is a biased and artificial market that mostly serves to fine-tune
relations between elites and provide them with legitimacy (Ingber 1984).
The implication of this analysis is that intellectual property cannot be justified on the
basis of the marketplace of ideas. The utilitarian argument for intellectual property is that
ownership is necessary to stimulate production of new ideas, because of the financial
incentive. This financial incentive is supposed to come from the market, whose
justification is the marketplace of ideas. If, as critics argue, the marketplace of ideas is
flawed by the presence of economic inequality and, more fundamentally, is an artificial
creation that serves powerful producers of ideas and legitimates the role of elites, then the
case for intellectual property is unfounded. Intellectual property can only Serve to
aggravate the inequality on which it is built.
The alternative
The alternative to intellectual property is straightforward: intellectual products should not
be owned. That means not owned by individuals, corporations, governments, or the
community as common property. It means that ideas are available to be used by anyone
who wants to.
One example of how this might operate is language, including the words, sounds and
meaning systems with which we communicate every day. Spoken language is free for
everyone to use. To allow any group to own language raises the spectre of George
Orwell's 1984. (Actually, corporations do control bits of language through trademarks.)
Another example is scientific knowledge. Scientists do research and then publish their
results. A large fraction of scientific knowledge is public knowledge (Ziman 1968). There
are some areas of science that are not public, such as classified military research. It is
generally argued that the most dynamic parts of science are those with the least secrecy.
Open ideas can be examined, challenged, modified and improved. To turn scientific
knowledge into a commodity on the market, as is happening with genetic engineering
(Mackenzie et al. 19&0; Weiner 1986), arguably inhibits science.
Few scientists complain that they do not own the knowledge they produce. Indeed, they
are much more likely to complain when corporations or governments try to control
dissemination of the ideas. Most scientists receive a salary from a government,
corporation or university. Their livelihoods do not depend on royalties from published
work.
University scientists have the greatest freedom. The main reasons they do research are for
the intrinsic satisfaction of investigation and discovery—a key motivation for many of
the world's great scientists—and for recognition by their peers. To turn scientific
knowledge into intellectual property would dampen the enthusiasm of many scientists for
their work.
Neither language nor scientific knowledge are ideal; indeed, they are often used for
harmful purposes. It is difficult to imagine, though, how turning them into property could
make them better.
The case of science shows that vigorous intellectual activity is quite possible without
intellectual property, and In fact that it may be vigorous precisely because information is
not owned. But there are lots of areas that, unlike science, have long operated with
intellectual property as a fact of life. What would happen without ownership of
information? Many objections spring to mind. Here I'll deal with a few of them.
Plagiarism is a great fear in the minds of many intellectual workers. It Is often thought
that intellectual property provides a protection against plagiarism. After all, without
copyright, why couldn't someone put their name on your essay and publish it? Actually,
copyright provides very little protection against plagiarism and is not a good way to deal
Plagiarism means using the ideas of others without adequate acknowledgement. There are
several types of plagiarism. One is plagiarism of ideas: someone takes your original idea
and, using different expression, presents it as their own. Copyright provides no protection
at all against this form of plagiarism. Another type of plagiarism is word-for-word
plagiarism, where someone takes the words you've written—a book, an essay, a few
paragraphs or even just a sentence—and, with or without minor modifications, presents
them as their own. This sort of plagiarism is covered by copyright—assuming that you
hold the copyright. In many cases, copyright is held by the publisher, not the author. In
practice, plagiarism goes on all the time, in various ways and degrees (Broad and Wade
1982; Mallon 1989; Posner 1988), and copyright law is hardly ever used against it. The
most effective challenge to plagiarism is not legal action but publicity. At least among
authors, plagiarism is widely condemned. To be exposed as a plagiarist is more than
sufficient motivation for most writers to take care to avoid it.
There is an even more fundamental reason why copyright provides no protection against
plagiarism: the most common sort of plagiarism is built into social hierarchies.
Government and corporate reports are released under the names of top bureaucrats who
did not write them; politicians and university presidents give speeches written by
underlings. These are examples of a pervasive misrepresentation of authorship in which
powerful figures gain credit for the work of subordinates (Martin 1994). Copyright, if it
has any effect at all, reinforces rather than challenges this sort of institutionalized
plagiarism.
What about all the writers, inventors and others who depend for their livelihood on
royalties? First, it should be mentioned that only a very few individuals make enough
money from royalties to live on. Most of the rewards from intellectual property go to a
few big companies. But the question is still a serious one for those intellectual workers
who depend on royalties and other payments related to intellectual property.
The alternative in this case is some reorganization of the economic system. Intellectual
Getting rid of intellectual property would reduce the incomes of a few highly successful
creative individuals, such as author Agatha Christie, composer Andrew Lloyd Webber
and filmmaker Steven Spielberg. Publishers could reprint Christie's novels without
permission, theatre companies could put on Webber's operas whenever they wished and
Spielberg's films could be copied and screened anywhere. Jurassic Park T-shirts, toys and
trinkets could be produced at will. This would reduce the income of and, to some extent,
the opportunities for artistic expression by these individuals. But there would be
economic resources released: there would be more money available for other creators.
Christie, Webber and Spielberg might be just as popular without intellectual property to
channel money to them and their family enterprises.
But what about the incentive to create? Without the possibility of wealth and fame, what
would stimulate creative individuals to produce works of genius? Actually, most creators
and innovators are motivated by their own intrinsic interest, not by rewards. There is a
large body of evidence showing, contrary to popular opinion, that rewards actually reduce
the quality of work (Kohn 1993). If the goal is better and more creative work, paying
creators on a piecework basis, such as through royalties, is counterproductive.
Review Questions
1. Why have legal scholars failed to put a single definition for the concept of intellectual
property?
2. Discuss the peculiar features of intellectual property.
3. Explain natural right theory and utilitarian theory with their similarities and differences
4. Why do skeptics not recognize the protection of IP?
In this second part, a detailed commentary will be given on the pertinent legal provisions
of copyright and neighboring right law by raising issues which deserve consideration in
such work. This part incorporates the subject matter of copyright laws.
Obviously, every law determines its subjects, and copyright law is not an exception to
this principle. This implies the need to identify and deliberate on the legally provided
requirements for the subsistence of copyright protection. On these grounds we have given
due attention to these and other related issues.
On top of this, time and energy is devoted to explain the rights and limitations imposed
upon copyrights. As we indicated here-in-before, existence of a property, in principle,
implies existence of an owner. And this warrants the discussion as to who the owner of
copyright is or should be. Similarly, copyright owners, just as an owner of any property,
may transfer or alienate their property in accordance with the law. These latter issues are
also addressed.
Undeniably, the mere existence of a law, no matter how strong prohibitions it may have,
does not guarantee the protection intended to be accorded. This implies the need for
provision of remedies in case of violations. Thus, the infringement of copyright and the
legally available remedies are discussed.
which are related to copyrights are recognized. Therefore, the nature and extent of the
rights of these persons (neighboring right owner) are dealt with.
Objectives
At the end of this part of the discussion, you will be able to:
Explain the basic features of copyright;
Identify the justifications for copyright protection;
Discuss authors rights and their limitations;
Explain the nature of neighboring rights;
Distinguish neighboring right from copyright;
Explain the scope of neighboring right.
Introduction
To identify “where” and “when” we apply the provisions of the copyright law we need to
distinguish which works are copyrightable and which are not. In this regard we will begin
by indicating the particular subject matters of copyright and then move on to point out
what qualifies such works for legal protection. This must, however, be preceded by the
definition of copyright.
Finally, a deserved attention will be given for those works which are out rightly excluded
from the protection of copyright law irrespective of the fact that they belong to the
domains which copyright law claims to protect and also satisfy the legal requirements.
At this juncture, it is proper to see the philosophical justifications in the two traditions. In
common law, “the copyright system accords protection to authors for more
instrumentalist reasons: the grant of rights is intended as an incentive to creativity and
hence to the production of a wide variety of works, to the betterment of society.”
Copyright is simply the right to prevent the copying of physical materials and its object is
to protect the owner of the copyright against reproduction or use of that material which
he has not authorized. In common law, “copyright is not a natural right but an artificial
right and a creature of the law to be enjoyed for such time and under such regulations as
the law may direct”. In this system, the economic argument is the foreground. Generally,
the philosophy is that whosoever takes the initiative in creating the material and makes
the investment to produce it and makes it should be allowed to reap the benefits. Since
the economic reward is the basis, the concept of copyright had no difficulty in
incorporating the film producer, the performer, and the phonogram producer and in some
cases broadcasting organizations into the copyright system. In other words, they are
copyright holders. Thus it is possible in this system for juridical persons like film,
phonogram or broadcasting companies to be the first owners. The more commercially
oriented basis of copyright in this system has resulted in the absence of moral rights in
many classical common law copyright systems.
In this regard, the Constitution of the USA provides that the congress shall have power …
to promote the progress of science and useful arts by securing for limited times to authors
and inventors the exclusive right to their respective writing and discoveries. Hence, the
enactment of copyright legislation by congress under the terms of the Constitution is not
based upon any natural right that the author has in his writings. But authors are granted
copyrights on the ground that the welfare of the public will be served and progress of
science and useful arts will be promoted by securing to them exclusive rights to their
writings for limited periods. Thus, the primary goal in according copyright is to benefit
the public by stimulating the creator with the reward from the protection.
Unlike the common law legal system, the droit d’auteur or civil law system bases itself
on an essentially individualistic ground and recognizes copyright as a natural right. “The
droit d’auteur system is largely premised upon notions of natural rights and the inherent
right of an author to the fruits of his intellectual and creative endeavors.” Copyright
protection is justified, not because the society benefits from the protection but the author
has an inherent right on the fruits of his mind. Since the right in this system has an
inherent nature, the right is not solely dependent upon statute.
In this system, it is believed that “copyright in the work springs from the act of personal
creation; the work is part of a personality of the author and remains linked to him”. A
close link is recognized to exist between the work and the personality of the author, and
indeed a moral link. This gives the author the right to publish the work or not as he
wishes. When he wishes, he can publish in such forms as he wishes and to defend it
against any distortion or abuses. Thus, since the right is natural and individual, it can only
originate in an individual and not in a juridical person. In this system, also producers of
phonograms*, broadcasters, and performers are not considered as authors, but are granted
rights under a different rubric, known as “neighboring rights” or “related rights”.
television broadcasting, films for public exhibition in cinemas, etc, and even
computerized systems for the storage and retrieval of information.
Copyright has been defined as the right to multiply copies of a published work, or the
right to make the work public and still retain the beneficial interest therein. It has also
been defined as the exclusive right of multiplying copies of an original work or
composition, and consequently preventing others from so doing.
Copyright deals with the rights of intellectual creators in their creation. Most works, for
example books, paintings or drawing, exist only once they are embodied in a physical
object. But some of them exist without embodiment in a physical object. For example,
music or poems are works even if they are not, or even before they are, written down by a
musical notation or word.
writer and artist from the unlawful reproduction of his material. It is concerned only with
the copying of physical material and not with the reproduction of ideas and it does not
give a monopoly to any particular form of words or design.
If it could be shown that two precisely similar works were in fact produced wholly
independently of one another, the author of the work that has published first would have
no right to restrain the publication by the other author of that author’s independent and
original work.
Copyright protection is not in ideas but in the form of expressions (countenance) that has
embodied the idea. The claim is not to ideas, but to the order of words, and this order has
a marked identity and a permanent endurance.
Nothing can with greater propriety be called a man’s property than the fruit of his brains.
The property in any article or substance accruing to him by reason of his own mechanical
labour is never denied him: the labour of his mind is no less arduous and consequently no
less worthy of the protection of the law.
Before the Act of 1911, in England, it seems that the expression ‘copyright’ was confined
to the right of multiplying copies and did not include the performing right in dramatic or
musical works, and it is a matter of some doubt whether the expression “copyright” was
before that date used only in relation to the right to restrain publication of published
works so as to include also the right of an author to restrain publication of his
unpublished works.
Since the Act of 1911, copyright came to be used as all the rights conferred by the Act
upon authors, composers and artists in respect of their literary, dramatic, musical and
artistic works. It doesn’t essentially mean a right to do something but a right to restrict
the doing of acts by others and, when copyright is referred to as an “exclusive right,” the
emphasis is on the word “exclusive”. The Act of 1956 accordingly defines “copyright’ as
meaning the exclusive right to do and authorize other persons to do the acts restricted
under that Act by the copyright in a work of that description.
Copyright law, however, protects only the form of expression of ideas, not the ideas
themselves. The creativity protected by copyright law is creativity in the choice and
arrangement of words, musical notes, colors, shapes and so on. Copyright law protects
the owner of rights in artistic works against those who “copy”, that is to say those who
take and use the form in which the original work was expressed by the author.
Copyright developed as the means by which ‘works’, i.e. materials deserving copyright
protection, reach the public. At the beginning it was the invention of the printing press
which gave copyright its impetus. The protection of printed material against unauthorized
reproduction was the main concern of copyright and the right to prevent such
reproduction. The reproduction right was the basic and the main right, followed by the
translation right in literary works.
Copyright protects literary, artistic, and scientific work. It protects the economic and
moral rights of the author /creator/. These are the two interests which the law recognizes
in the copyright field. Works protected are works of the intellect. It protects the
production and dissemination of the work but not of ideas. This introduces the dichotomy
of ideas and expression of ideas.
The question is why are ideas not protected? Ideas are inherently inappropriable. It is
impossible to physically control the idea. Is there a difference between ideas and
expressions of ideas in appropriability? There is no! Granting monopoly of ideas is not
advantages to the society. Even a person may be prohibited from discussing ideas.
scientific and technological development of the country”. For the achievement of those
goals by the literary, artistic and similar creative works, there should be copyright
protection. That is why also the preamble says it is necessary to protect works that make
literary, artistic and similar creative works.
There are two theories about the justifications of copyright protection. The first theory is
natural rights theory that states that copyright is not the creation of the law but always
existed in the consciousness of man. The product of mental labour is by right the property
of the person who created it. It follows then that the public has no more right or
justification to take away or impair the originator’s property in his mental creation than it
has to deprive him of any other of his ownerships. Thus, what the law has to do is just
recognize this natural right which is deserving of protection.
The second theory is the bargain or contract theory. This theory starts with the premise
that people will be encouraged to produce new creations if there be some reward as an
incentive. It means a creation of mind is merely a contribution to a common stock of
knowledge and enjoyment of mankind in which the public have heritage. In this theory,
copyright is relegated to the level of an artificial right and a creature of the municipal law
of each country to be enjoyed for such time and under such regulations as the law of each
state may direct. The theory dictates that had it not been for the need to encourage new
creations, the creator or works of the mind would have been denied of the right or
ownership to his creations.
However, though there is controversy between these theories, they advocate that
protection should be given to copyright ownership. On top of this, copyright is justified
on a number of grounds.
First, there are reasons of social justice which advocated that the author should be able to
benefit from the fruits of his labour. This benefit given to the author is in the form of
royalties which are compensations for the use of the copyrighted material. These royalties
function as an intellectual worker’s remuneration. However, denial of protection goes
against the ideals of common social justice. The remuneration paid to authors is borne by
the ultimate ‘consumers’, that is, purchasers of books and records, or the paying
customers of the cinema or theatre. Thus, it is through the copyright system that the
equitable contribution of ‘consumers’ of intellectual property is ensured.
In this regard, one writer dictates that:
“It will continue to be ingratitude of making that they who teach wisdom by the surest
means shall generally live poor and unregarded, as if they were born only for the public,
and had no interest in their own well being, but were to be lighted up like tapers and
waste themselves for the benefit of others.”
The second ground relates to cultural progress, which is ensured through the system of
copyright protection. By putting the results of his intellectual activities at the disposal of
mankind, he contributes to the spread of knowledge and cultural education of millions of
people. If his works are protected by copyright, the author will be encouraged to produce
new creations and thereby enrich his county’s store of literature, drama, music and
science. Listen to what a certain author had to say; “without copyright, there would be no
incentive for creative individuals to write novels, paint pictures or compose books. Nor
would there be any incentive for publishers, broad casters and record companies to invest
in the exploitation of those works.” Thus cultural progress will be lost if there is no
copyright protection in a country. But if his works are protected, the intellectual labourer
will engage in his work with more spirit and as a result there will be progress in the
culture of a given country.
Thirdly, copyright protection can also be justified on moral grounds. We can say that the
work is the personal expression of the author’s thoughts__ “the child of his thought.”
Therefore, he should be given the right to decide when and how his work may be
reproduced or performed in public and the right to prevent mutilations.
Taking the expressions of Cavendish and Kate pool, “the main purpose of copyright law
is to ensure that authors receive some share of any money and prestige resulting from the
The fourth justification for copyright protection will be on economic grounds. The
necessary investment for the creations of intellectual works is easily obtained if
protection exists. Creating a property right in works enables them to be traded and
permits copyright owners to earn money from their works. It provides a very useful and
effective way of exploiting a work economically. It also envisages a mechanism for
allocation of risks and income derived from the sale of the work. Granted the fact that
copyright is intangible, absent property right, the producer of works of the mind will find
it difficult to recover his expenses. Thus, the investment that is necessary for the creation
of works (e.g. filmmaking or architecture) or for their exploitation (e.g. Book publishing,
record manufacturing) will be more easily obtained if protection exists.
In general, a creation of works of the mind is a result of tremendous cost – it needs time
money, labour, etc. Unless these creations are protected, the author will not be able to
appropriate the value of the information that he produced.
Finally, the justification for copyright is that without it “the freedom of expression in
literature and arts … would be in danger.” Once it is conceded that copyright enhances
the publication of creative works, it is obvious that it enables the society to have access to
new ideas and new works. In addition, an idea becomes useful only in proportion to the
degree of communication and its supreme triumph would be achieved where it is known
to all men. To the extent that creative works are available, freedom of expression is
enhanced because the public will express its ideas in works of the mind published in
abundance because of copyright protection.
Copyright protection is above all one of the means of promoting, enriching and
disseminating the national cultural heritage. A country’s development depends to a very
great extent on the creativity of its people, and encouragement of individual creativity
and its dissemination is a sine qua non for progress.
Adoption of the law is the first step. The practical value of the law depends on its
effective and efficient application. This can be achieved through setting up of appropriate
authors’ organization for collection and distribution of authors’ fees. Copyright, if
effectively implemented, serves as an incentive to authors and their assignees /the
publishers/ to create and disseminate knowledge. It is something that society must
necessarily accept if it wishes to encourage intellectual creativity to ensure the progress
of the sciences, the arts and of knowledge in general, to promote the industry using
authors’ works and to render it possible to distribute such works in an organized manner
among the widest possible circle of interested persons.
Copyright protection, from the view point of the creator of works, makes sense only if the
creator actually derives benefits from such works, and this cannot happen in the absence
of publication and dissemination of his works and the facilitation of such publication and
dissemination. This is the essential role of copyright in developing countries.
There are several factors influencing intellectual creativity in developing countries, apart
from the pecuniary condition of most of the authors and intellectual creators themselves,
who need to be offered incentives and subsidies. There is the shortage of paper for the
production of text books for the process of continuing education (both formal and non
formal), and for production of prescribed and recommended books as also general books,
which are to be placed within the reach of the common man in these countries.
The role of governments in this activity could include financial assistance in the creation
and production of text books and other educational literature; inputs for training, as also
help for expansion of library system, the creation of mobile libraries to serve far - flung
and remote rural areas, etc. In this whole chain, the various links, viz authorship,
publishing, distribution, and fostering of the library movement on a broad base, cannot be
underrated, and need to be carefully nurtured and coordinated.
In the later nineteenth and in the twentieth century’s considerable socio –economic and
political change on the one hand, and rapid strides in technological development on the
other, have brought about substantial changes of outlook in relation to copyright. The
freedom and expansion of the press, the gradual disappearance of the feudal order, the
growth of adult training and mass education schemes, the raising of standards in higher
education, the increase in the number of universities, institutions of higher learning and
of libraries, the emphasis on the use of national languages, the development of science
and technology, the changed map of the world with the birth of a number of newly
independent developing nations- all these factors have caused conceptual changes.
The challenge in this new situation is to maintain a balance between provisions of
adequate rewards to creators of works and to ensure that such rewards are in harmony
with the public interest and the needs of modern society.
Copyright has a special role in the context of development. Particularly since the 1950s,
when the political map of the world changed considerably, and several states
progressively became independent and other states were newly created, developing
countries have had to cope with the enormous problems of educating the masses of their
peoples. Some developing countries, racing against time in order to provide mass
education by methods both formal and non-formal, are facing acute challenges in respect
of encouraging and fostering intellectual creativity, and satisfying the urgent need for
promoting knowledge, particularly in the field of science and technology, in their
countries.
Most developing countries, on attaining independence, have given priority to the training
of their peoples and to education, in order to meet the need for staff and management
personnel to design and implement development policies and plans. Progressively,
emphasis had to be placed on the need to give an essentially national character to the
training of the people.
It is indeed important that people be trained in a manner that is in keeping with their
natural environment. Consequently, teaching material, including literary, artistic and
scientific works, has to be created by authors originating in the community to which the
works are addressed, and the community has in turn to see and recognize its reflection in
them. A reasonable level of recourse to foreign works will continue to remain desirable,
in order to facilitate cultural interchange and the reciprocal flow of ideas.
Developing countries may need to introduce such legislation also in order to protect the
traditional manifestations of their culture which are the expression of their national
identity. Once the law has been enacted, the infrastructure for its application has to be
established.
Which of the competing theories are given recognition in our law? Is it the natural right
theory or utilitarian theory? It is possible to promote the cultural, scientific, technological
development of a country when creators are allowed to control their work. It is the
utilitarian theory which is included under the preamble. In countries like the USA it is
stated that copyright law is important for the society. Similarly, copyright law in
Ethiopia has the public purpose in that by rewarding authors, it is possible to encourage
them and produce works useful to the society. It is a means to an end /the social end / in
creating the creator’s interest. However, in France, (the birth place of natural right
theory), copyright law is important for the recognition of the natural right of the author.
In the case of utilitarian theory, if a certain creation does not benefit the society in case of
conflicts of interest between the individual and the society, it will be rejected. The
preamble of any law has an implication in the interpretation of many cases. In a copyright
word, there is always a conflict between the creator and the public because the public
want the work to be accessible and the creator not. In the preamble, moral rights are not
mentioned although inside the law all the moral rights are mentioned. By the way, in
British it is called Copyright whereas in France it is named as authors rights.
To give more emphasis, if we see the preamble of the proclamation as to the question of
why copyright protection, it is because of the role of those works in bringing about
overall change. It is provided, in the Preamble of the Proclamation, that “literary, artistic
and similar creative works have a major role to the cultural, social, economic, scientific
and technological development of a country”. It seems the legislator wants to give
incentive for societal benefit. These may be related with the bargain or utilitarian theory.
Thus, it may be argued that utilitarian theory is the justification for the protection of
copyright in the Ethiopian copyright law.
Art. 2(8) defines copyright as an economic right subsisting in a work and in appropriate
case moral right to an author. It leans more to the Anglo-American tradition unlike the
civil code, which is inclined to the author’s rights in the continental legal system.
Some argue that common law tradition is important in encouraging others to create more
and more, and in effect it is important in the development of an art. This is also
something to do with the social structure in those traditions. In Anglo-American
traditional, money is everything as opposed to the continental tradition.
On the other hand, it can be argued under the Ethiopian copyright system, copyright
includes the economic and moral rights of the author though it emphasize the economic
rights in the definition part of the Proclamation. However, the moral rights of the author
in his works are equally treated like economic rights under Art.8 of the Proclamation.
Author is defined as a person who has intellectually created a work (Art2 (12) of the
Proclamation). To be an author it requires mental creation that the juridical person lacks.
Thus, the right can only originally be vested on physical persons as juridical persons do
not have a mind for intellectual creations. Moreover, the rights of performers, producers
of sound recordings and broadcasting organizations are, like the civil law legal system,
neighboring rights, not copyrights. However, the concept of neighboring rights does not
exist in the U.S. law, which is the signatory for common law legal system, as it either
qualifies for copyright protection or unfair competition laws or the Federal
Communication Act (for broadcasts in certain situations). This tempts us to conclude that
the copyright system in Ethiopia is aligned to the civil law legal system.
Copyright taken as a natural right is also reflected in the Constitution of the Federal
Democratic Republic of Ethiopia (FDRE). The FDRE Constitution recognizes the right to
private property as one of the democratic rights. Private property as defined in Art.40 (2)
of the constitution includes any intangible product having value. Copyright being a
property right on an intangible product of labor and creativity, and having value, becomes
the private property of the author, thereby being recognized as one of the democratic
rights. Therefore, it is a natural right of a person to create an intellectual property, have
ownership right over it thereby making it private property. This implies that a natural
right theory is recognized in our copyright system.
Moreover, according to Art.13 (2) of the FDRE Constitution, the fundamental rights and
freedoms including the democratic rights are to be interpreted in a manner conforming to
the principles of the Universal Declaration of Human Rights (UDHR). The UDHR is also
recognized through the Transitional Government Charter. And in this Declaration,
copyright is recognized as human right, i.e., natural right (Art.27). Therefore, under the
FDRE Constitution copyright is protected on the basis of the recognition that it is a
natural right. Moreover, the UDHR is made an integral part of our law as per Art 9(4) of
the FDRE constitution. Hence, it can be argued that the UDHR is recognized through Art
13(2) of our constitution and economic and moral rights are made part and parcel of the
Ethiopian law, as they are incorporated under the UDHR. In this regard, the UDHR
specifically provides that everyone has the right to protection of the moral and material
interest resulting from any scientific, literary or artistic production of which he is the
author.
Therefore, it may also be concluded that it is the natural right basis that serves as the
primary justification for the protection of copyrights under the Ethiopian legal system.
There is no definition in the proclamation for those protected works, however. Therefore,
if we are to understand the nature of such works, it is necessary to resort to foreign
literatures. Literary, dramatic and musical works can all be reproduced either in sounds
or by written symbols. They can be performed on a stage or printed in books.
Artistic works on the other hand, remain subject to their own rules. Each picture (or
graph, chart, building, sculpture) is a complete copyright work in itself and in most cases
physically indivisible; words in the other three categories are not.
Is the title of a book protected? Shall we protect the title ፍቅር እስከ መቃብር? Does it give
economic interest /does it have economic value? Is it discouraging not to allow
protection?
What about advertisement slogan, like Pepsi የዘመኑ ምርጫ? There is an economic value
in it. Advertising companies are interested in money. Some don’t protect it and others
protect it under copyright law.
B. oral works
These are speeches, lectures like public speeches by politicians, religious leaders.
However, every speech is not protectable. It should be original and fixed in a tangible
medium of communication. It should be either written or recorded.
D. Musical composition
This is a work consisting of music. It is a copyrightable work without a word or
performance because performance is protected by neighboring right.
F. Architectural works
This is a three dimensional work done by the architect. Is there a creative choice for the
works done by the structural engineer?
G. Artistic works
These include paintings, drawings, fine arts, sculpture
H. photographs
These are pictures taken by the camera man using the camera. There are other special
requirements for photograph protection under Art 6(2): they should form part of a
collection and bear the name and address of the author. The role of the camera today is
very high. But the creative input of the photographer is important.
However, literary work does not necessarily mean a work of literature. It has to be
construed broadly, for instance, to include computer programs. Protecting computer
programs and data base as per Article 4(1) is another development of the proclamation
accommodating technological development. Also as per Art 10 of the TRIPs agreement, a
computer program should be protected as literary work similar to the Berne convention.
But the question is, is there a room for us to grant patent for computer programs? Some
say that a computer program is just a set of instructions which are expressions and do not
have industrial applicability and it should be protected as a copyright. When one develops
a software program, one does not need materials other than paper and pen and the
computer itself.
How do you see applied arts? Would objects that can be protected under the industrial
design law be also additionally protected under copyright law?
Regarding derivative work, the construction, of the new work depends on a previous
work. Translated, adapted and modified work can be copyrighted. Under Art 4(1), the
protection extends to the way (manner) the previous work has had been selected arranged
and complies, compilation. What matters is the manner of compilation and not the
content. Adaptation is a change of a work which falls one category in to another category.
For instance, a book may be adapted to a film. A literary work may be adapted to a
theatrical play. In case of transformation (modification), which is copyrightable, the new
work has characteristics which derive it from the old work. Sometimes, it is difficult to
differentiate between the two works.
Thus, the other copyrightable works are adaptations, translations and collection of works
which are generally called derivative works. A derivative work is so comprehensive that
it includes translation, dramatization, fictionalizations, films, recovering, arrangements,
abridgments, condensation in which a work may be recast, transformed or adopted.
Under our proclamation, also, derivative works, which include translation, adaptations,
arrangements and other transformations or modifications of works, collection of works
such as encyclopedia or anthologies or databases, whether in machine readable or other
form provided that such collections are original by reason of the selection or arrangement
of their contents are copyrightable works. (See Art. 4(1) of the proclamation).
to adapt the work himself, and to authorize others, if he so wishes. As Per Art 7(1) (c) of
the proclamation, save Art 9 to 19 of the proclamation, the author or owner of the work
has the exclusive right to carry out or authorize adaptation of the work.
The other component of derivative works is translation. The author can derive benefits
from his works by authorizing its publication in different languages when he himself
translates the work. Here also he can derive material benefits from his work that has
been translated by a third party as the third party can not translate the work of an author
without the permission of the author or owner like adaptations.
The only exceptional situation for translation is giving power to the Ethiopian Intellectual
Property Office to grant license to authorize the translation of a published work.
However, there is discrepancy between the Amharic version and English version of this
article. Under the Amharic version the office may grant license for the sake of public
interest. But we can’t find such a requirement under the English version.
There are different ways by which works of authors may be deemed to be a proper
subject matter of copyright protection. In addition to the requirement that an author
produces a work that is a proper subject of copyright protection, national laws extend
protection only to legally defined works of the authors, i.e., the subject matter of
copyright protection. In other words, the subject matters of copyright are those works to
which the national laws are meant to accord protection.
Those work, firstly, that are recognized as copyrightable works (subject matter of
copyright protection) are productions in the domain of literary, artistic and similar
creations. However, the code does not define “similar creations.”
The other issue that relates to the subject matter of copyright protection is expression, not
ideas. Every literary and artistic creation is an embodiment of, at least three basic
elements: ideas or facts, their patterning and their expression. Of these three elements,
expression of ideas is" the only peg upon which copyright can be hung." In other words, a
copyright protection centers upon the expression of an idea and it does not extend to the
idea itself. The effective meaning of this proposition is that the right secured by copyright
is the right to that order of words that the author has selected to express his ideas. The
creativity protected by the copyright law is the creativity in the choice and arrangement
of words, musical notes, colours, shapes and so on. Subject matter in itself, therefore, as
for example, the theme, the plot of a novel or play or the subject of an essay or article,
cannot be protected apart from its expression. Thus:Ideas and information can't be owned
as copyright because in themselves they can't exist in a material form. The person who,
for instance, contributes an idea for an advertisement, proposes the subject for a book, or
tells his life story to a journalist, has no copyright grounds for claiming remuneration.
Similarly, according to Art __of the Proclamation ideas are not protected.
the work is no longer found at the place of its creation where upon the place where it is
found is taken into consideration to see whether the unpublished work is in an acceptable
theory.
Coming to our Law, Art 3(1) (a) envisages that the works of an author whose nationality
is Ethiopian is automatically protected by the proclamation. In addition, if the author is a
foreign national but his principal residence is Ethiopian, he will get the same protection
as of the Ethiopian author.
In case of published works, if the work is firs published in Ethiopia, this work will be
protected regardless of the nationality of authors. In other words, though the author is a
foreign national, as long as his work is first published in Ethiopia, to protect his work, the
proclamation will be applicable. However, if the work is first published abroad, it should
be published in Ethiopia within 30 days to get protection of the proclamation. Unless the
work of the foreign national is first published in Ethiopia or published abroad and
published in Ethiopia within 30 days, it will not be a subject matter of copyright
protection. (See Art. 3(1) (b) of the proclamation). Therefore, regardless of the nationality
or residence of the author, his work will get copyright protection and be the subject
matter of copyright protection if the work is first published in Ethiopia or first published
abroad and published in Ethiopia or first published abroad and published in Ethiopia
within 30 days.
The question may be what does publication mean? Its definition can be inferred from
Art.2 (22) of the proclamation which, defines "published work" as a work or a sound
recording, tangible copies of which have been made available to the public in a
reasonable quantity for sale, rental , public lending or for other transfer of the ownership
or the possession of the copies, provided that, in the case of a work, the making available
to the public took place with the consent of the author or other owner of copyright, and in
the case of sound recording, with the consent of the producer of sound recording.
Therefore, publication will be considered as issuance of authorized copies to the public,
including making the work available by means of electronic retrieval systems. Copies
should also be reproductions of the work in any material term (not just in writing). Works
are published only when authorized reproductions in written form had been issued to the
public. An authorized publication is one made with the agreement of the copyright owner
or someone to whom the necessary control has been delegated.
The other thing for the existence of publication is that more than one reproduction must
be made. Making a single copy is not publication. Moreover, the actual text of the work
should be reproduced.
On top of this, the provisions of the proclamation will be applied for the works of
performers, producers of sound recordings and broadcasting organizations that are
eligible for protection by virtue of and in accordance with an international convention or
other international agreements to which Ethiopia is a party.
However, the provisions concerning copyright and neighboring right should not extend to
a material object. In other words, the protection given to the music or painting or dance
will not be applicable for the ownership of the musical instrument or the painting
materials (see Art. 3(7) of the proclamation).
The other works that are subject matters of copyright protection are stated under Art-4 of
the proclamation as derivative works. These are translations, adaptations, arrangements
and other transformations or modifications of works and collection of works like
encyclopedia, anthologies, databases etc. We will look these works latter.
Another question is: at what point in time is residence taken into account under Article 3?
Art 3(2) of the Berne convention says habitual residence. This is assimilated with
nationals of member states. Under our proclamation, it refers to Ethiopian residents
which is determined based on the provisions of the civil code. The justification is to
encourage authors to make their work available to the Ethiopian society.
Regarding the time of residence, it is argued that the author may be a resident any point
in time after publication. As long as he has protectable interest at the moment he becomes
resident. At the moment he ceases to be resident, the protection will also wither away.
Art 6 provides that copyright protection is automatic-the protection comes upon creation
of the work. There is no formality. However, there are two conditions: originality and
fixation. We will see those requirements as formal and substantive.
The requirement that a work be expressed in a material form means that "the work must
exist in some form that may be perceived and reproduced by third parties." This
requirement is an explanation of the exclusion of ideas from the ambit of copyright
protection.
This requirement of material form is stated under Art 6 (1) (b) of the proclamation. It is
clearly provided that " the author of a work shall, irrespective of the quality of the work
and the purpose for which the work may have been created, be entitled to protection, for
his work without any formality and upon creation where it is: a) original; and b) fixed.
Starting from the time of creation and fixation, there is copyright protection. It is a clear
provision that requires a work be recorded in a medium which is not ephemeral. Fixation
is also defined under Art 2(11) of the proclamation as the “embodiment of works or
images or sounds, or of the representations thereof, from which they can be perceived,
reproduced or communicated through a device prepared for the purpose".
Art. 2(11) defines fixation as embodiment in a material form or a medium from which the
work can be perceived or reproduced. The elements are: embodiment, a device, and in
such a way that the content cold be retrieved from the device, could be reproduced. For
instance, musical works (compositions) can be embodied in an audio-cassette, CD what
about lecture notes and traditional music song by illiterates? Who has to fix them? What
about stage production and choreographic works? Is it the person who created the work
or any other?
Fixation is not, however, a requirement in continental law countries. In Europe, a work
will be copyrighted if it fulfills the criteria of originality. That is to mean, due to lack of
fixation a work may be excluded from being copyrighted. And due to this a work may be
misappropriated.
Thus, why is fixation a requirement so far as the creation exists? Do you think it is
appropriate to confuse creation with fixation? The other question may be: is there any
assurance that the public will exploit the work after the time of protection lapses, if there
is no fixation?
However, there is no prohibition at international level. Even the Berne convention, which
is the most comprehensive international document on literary, artistic and scientific
works, indicates the possibility of making fixation as a requirement (Art. 2(2) of the
convention).
forms of copyright works, available without further formalities even the symbol ©,
commonly seen on copyright works, is really unnecessary.
Since copyright subsists only in original works of the mind, it is necessary to ascertain
what is meant by the word ‘original’ and the nature and degree or quality of originality of
a work to sustain a valid copyright. The requirement of originality means that the
product must originate from the author in the sense that it is a result of skill, industry or
experience employed by him. In effect, the meaning of the originality requirement is that
the work must not be copied from another or must not have been in the public domain.
Thus copyright protection is given to literary and artistic works and not to ideas, and
therefore it is original skill or labour in execution of the work, and not originality of
thought, which is required. The originality required by copyright laws relates to the
expression of thought in which the work is clothed. It does not have anything to do with
originality of ideas which enjoy no protection under copyright law. Rather it relates to
expressions that are embodied in copyrightable works.
Some scholars tried to make a contrast between novelty and originality. Novelty – if a
person giving an idea is known already by others, a person who independently creates
that idea can’t get patent protection. The idea should not be anticipated by a prior art.
Originality – Even though a given expression is created by others a person who
independently comes up with the same expression can seek copyright protection. There is
a possibility of similarity of artistic works. E.g. Two photographers taking same thing
may the same photographs.
Originality in copyright should not thus be taken to mean novelty, in the sense of original
or inventive thought. All that is needed to satisfy originality is that the author contributes
something more than merely trivial variation something recognizably his own. Since his
work need not be novel, all that is needed to obtain copyright is that the work be
originated with the author who has not copied it from another.
Therefore, originality should not be confused with novelty: when two artists paint a
picture of the same landscape each creates a work, each being original since it reflects the
personality of the maker. Nor should originality be confused with the merits of the work
or intrinsic value of the work or even with the purpose of the work; these factors seem
immaterial to the protection obtained.
It is inevitable that when two people deal with a common idea or fact, no matter how
varied the form of expression may be, certain common elements will appear in their
respective works. There might be similarity in the work due to the fact that both works
deal with the same subject matter or have the same common source, but if each work is
independently developed, neither will be denied a valid copyright.
In addition, originality is not defeated by the fact that the work has its source in the public
domain. An author who borrows from the public domain in creating a copyrightable
work is entitled to protection against one who copies his work rather than the work in the
public domain. The fact that the source of a work is in the public domain “doesn’t void
copyright, although the protection is limited to the new and original work of the author”.
Accordingly, the requirement of originality as a requisite for copyright protection has
been incorporated under our law by virtue of Art 6(1) (a) of the proclamation. Under this
article, for the entitlement of copyright protection, the work of an author should be
original without any other formality and irrespective of the merit and purpose of the
work.
Therefore, originality in our law is a substantive requirement for copyright protection.
Unless the work of the author is original, it will be devoid of copyright ability.
Is originality not concluded in the concept of authorship under Art 2(2)? To what extent
is it original when the law says the work is original? What level of creativity should be
required for the work to qualify as original? Is it trying to imply that adequate skill and
judgment is needed by including originality? Our law does not tell us the level of
creativity.
There are two approaches in answering the questions raised in relation to originality:
1. Anglo – American Approach
2. Continental law Approach
In Anglo-American approach, the level of creativity is low (but existing), whereas in
continental law approach it is a high level. The Americans believe that if skill, judgment
and labour are involved, it is original. In England, schedules of Football soccer are
protected under illustration. In the continental law, a work is protected if the work shows
the creative capacity of the author (የፀሐፊው የፈጠራ ችሎት የተከተበበት). The author’s
personality must be shown.
Which approach is enshrined under the Ethiopian law? It may be argued that the Anglo-
American is included since our level of creativity is very low and we have to encourage
creativity by protecting low level of creativity.
If the work is illegal, copyright should not exist as it will encourage unlawful activities
and different laws should coexist. The other is whether or not the content is unlawful; it
should not be the determinative factor for the copyright ability of the work as it will be
against freedom of expression and the law does not expressly require so.
Which trend is given recognition in the copyright law? It may be argued that the
preamble states that the purpose of copyright law is for scientific, educational and
cultural development. Laws have to co-exist with each other. So, we should not grant a
copyright for a work which does not co-exist with other laws.
Review Questions
1. From those theories (natural right and utilitarian), which theory is recognized regarding
the protection of copyright?
2. To which legal system (common law or continental law) is the current Ethiopian
copyright system attached?
3. Define copyright in your own understanding.
4. Discuss the requisites for copyright protection.
5. Some legal systems favor fixation as a requirement for copyright protection but others
do not. Why?
6. Discuss the difference between originality and novelty.
Objectives
At the end of this chapter, the student will be able to:
Discus the nature of economic and moral rights;
Distinguish economic rights from moral rights;
Explain the different economic rights accorded to copyright owners;
Identify the need and peculiar features of moral rights;
Learns about the need, type and extent of limitations imposed upon copyright.
4.1 Authorship
4.1.1 Types of authorship
The owner of the copyrightable work is always either the actual author or someone who
has acquired the copyright from the author directly or indirectly, by agreement or by
operation of law. Then, the first type of author is the original author who has created the
work (Art. 21(1) of the proclamation). This person is the person who crate, i.e., writes or
composes the wok or who originates the whole of one work.
However, it is not always a single author that creates a work. It is important to underline
that the actual authors, where from copyright descends to others can be more than one.
The first type of these authors may be co-authors. As per Art 21(2) of the proclamation,
where the work is a work of several authors, the coauthors shall be the original joint
There are also works created by another employed or commissioned by a person in the
course of his employment contract of service. In this case, unless agreed otherwise, the
original owner of the rights shall be the employer or the person who commissioned the
work. (See Art. 21(4) of the proclamation). In other words, if an author produces a work
under a contract of service or in the course of his employment, the employer will own the
copyright unless the author and employer agree otherwise. A contract of service is a
certain kind of relationship between a person and his work and the person or firm for
whom he does the work. The author may be a salaried employee or a commissioned
freelance
In this regard a contract of service should be taken as the work in which the employer
closely directs and controls it. If the authors are given only a vague brief on none and the
execution of the task is left to his judgment, the Arthur is not under a contract of service
but a “contract for services.”
It should also be taken as works unconnected with the daily work for the employer.
Works unconnected with the author’s duties and done in his spare time will not belong to
the employer. Moreover, the employer should have the power to hire or fire at will
and/or the work is done for a set remuneration.
In case of audiovisual works, the producer is the owner of economic rights. However, the
script writer, director, cameraman, lyricist, composer and other authors thereof shall
enjoy the right of authorship in the work. On top of this, the authors of the screen play,
musical works and other works that are incorporated in an audiovisual work and can be
exploited separately shall be entitled to exercise their copyright independently as
envisaged under Art 21(5) of the proclamation.
Lastly, save sub articles (1) and (2) of Art 22, a publisher whose name appears on the
work shall be presumed to represent the author and, in this capacity, shall be entitled to
exercise and enforce the moral and economic rights of the author. But this presumption
is reputable, i.e. there will be a contrary propose. In other words, it uses is proof to the
contrary, the publisher can’t represent the author. Moreover, this presumption shall cease
to apply when the author reveals his identity (see Art. 22(3) of the proclamation).
Copyright can be owned jointly if the work results from the joint efforts of several
authors (Art-21(2). The co-authors shall be the original joint owners of economic rights.
But the contribution of the author is not distinct from the other but it must be a co-
operation result. However, a mere giving of an idea to an author may not enable a person
to be regarded as an author. He must take part in the creation. The right of co-owners
extends to each of every particle of the work. There are no independent distinct parts for
each co-owner. It is ownership of the whole by all. If the contribution is distinct, there is
no joint ownership.
It can be argued that the Ethiopian deserves protection though he jointly owns works with
others as this avoids discrimination among citizens. This also helps Ethiopians to get
experience by working with others although incidentally foreigners benefit.
What about works created by employment contract? See Art 21(4). The work will be
owned by the employer or the person who commissioned the work. This is a significant
departure from the civil code which provides ownership in favour of the author alone.
The civil code was blamed for not encouraging investment by investors partly because
the prevailing ideology by then was copyright is a protection to creative minds. Thus,
legal persons were not entitled to own copyright as they lack mental faculty. Then, to
provide ownership to employers may be in contradiction with such ideology.
But currently the employers are owners of works created through contract of service.
However, what the employer owns is economic right. The moral rights are to the author
because creative works are the brain child of him. He is the person who gave birth to the
work. Upon his death, the moral rights will devolve to his successor or heirs.
At this juncture let’s raise one question. An Ethiopian citizen may work in foreign firm
and may come up with a creative work. Will that work be protected under this
proclamation simply because the author is an Ethiopian? Let us take that the work is
created abroad, where there is no reciprocity and international arrangement. Should we
protect the economic right of foreign employers?
The second element is the moral right. It includes non-property attributes of an intellectual and
moral character, which give legal expression to the intimate bond that exists between a literary or
artistic work and its author’s personality. It is intended to protect his personality as well as his
work. The moral right of the author is a recognition that copyrightable works are extensions of
the personalities of their creators, i.e. it is the "outward manifestation of the author’s inner self. ”
Once it is conceded that copyright consists of two classes of rights, it seems necessary to show
the stage at which the two rights are divorced. The moral rights of author as an extension of his
personality come into existence “as soon as the author puts pen to paper.” Under the Ethiopian
law, this is more so because it is provided in Art 6(1) of the proclamation that the “up on
creation” confers upon the author an in corporeal right of ownership, ceteris paribus the other
requirements.
Thus, there will be no difficulty in the determination of the judicial status of an incomplete work.
No one other than the author can have ownership in it, or it can’t be a thing without master. To
the extent that it is created, it confers copyright on the author. In other words, “the work shall be
deemed to exist, with or without being revealed to the public, when the [author’s] conception has
been realized, even incompletely.” It is the mere creation that matters, and it is not a requirement
that it be completed. If it be argued that moral right starts at the time of completion of the work, a
paradoxical situation arises because there will follow alienation of the moral rights from the
author for the time between the beginning of the creation and its completion. The alienation of
the inalienable is something alien to the concept of moral rights, which always attaches to the
person of the author, hence a paradox.
When we come to the economic aspect of copyright, until the moment of disengagement of the
author from his work, and submitting it to the public, the work remains an expression of his
personality and it can’t be subject to commerce. Until then, “it is a rough draft, a design which
the artist may modify and destroy at will”
However, when the author decides that his work is completed and reveals it to the public by the
act of publication, that moment marks the beginning of economic rights. Accordingly, the
economic rights come into existence much later than moral rights do. Once the author has
published his work, it falls in commerce and becomes the subject of transaction.
This should not imply, however, that the economic and moral rights are distinct entities that
stand by themselves. The one is related to the other and sometimes the existence of one implies
that of the other. The protection of economic rights, for example, necessitates the simultaneous
disclosure of the work, which is an aspect of moral right.
Be that as it may, it is obviously admitted that economic and moral rights are incorporated under
Art 7 and 8 of the proclamation. Besides, the law defines copyright as an economic right and
moral right subsisting in a work as per Art 2 (8) of the proclamation though it unfairly
emphasizes economic rights. Moreover, economic and moral rights are made part and parcel of
the Ethiopian law as they are incorporated under the Universal Declaration of Human Rights
(UDHR) to which Ethiopia is a founding party and an integral part of our law as per Art 9(4) of
the FDRE constitution. The UDHR provides that everyone has the right to protection of the
moral and material interest resulting from any scientific, literary or artistic production of which
he is the author.
Once the existence of economic and moral right is admitted under Ethiopian copyright and
neighboring rights proclamation, then it remains to discuss the major components that make up
economic and moral aspects of the author or copyright owner respectively.
should be compensated and rewarded, and is entitled to receive remuneration from the use of his
work by others.
To put it differently, one of the main purposes of copyright law is to ensure that authors receive
some share of any money resulting from the exploitation of their works. In order to achieve this
objective, the law provides a number of exclusive rights exercisable by the author or copyright
owner against all other persons. Among these are reproduction right, derivative work right,
distribution right, importation right, public display right, performance right, broadcasting right
and other communication of the work to the public right ( see Art. 7(1) of the proclamation).
A) Right of reproduction
Reproduction, as an exclusive right of the author, is recognized under Art 7(1) (a) of the
proclamation. As part of the economic rights of the author, reproduction allows the author or
copyright owner to exclude all others from reproducing the work in the form of a copy or phone
record.
Art. 2 (25) of the proclamation defines reproduction as the making of one or more copies of a
work or sound recording in any manner or form, including any permanent or temporary storage
of work or sound recording in an electronic form. It is possible to say that reproduction is
copying a literary, artistic and scientific work (or indeed any copyrightable work) in any material
form that includes writing and all the multitudinous forms of ordinary printed matter (from a
single coupon through magazines and news papers to sheet music, books and encyclopedias),
photocopies, video and cassette tapes, and soon.
To put it differently, reproduction consists in material fixation of the work of the author by any
means as to cause its communication to the public in an indirect manner. Such communication is
so indirect that it is made possible because of the existence of intermediary devices like cassettes,
discs, copies, cinematographic films and the like so that the communication of the work to the
public is facilitated. A point noteworthy is that the fixation into the material form of the work is
the key in the absence of which reproduction cannot exist. In essence, therefore, reproduction is a
copy.
Then it is illegal to reproduce the work in any material form (e.g. print of any size, video or
audio recordings, and films) and specifically includes storing the work in any medium by
electronic means (including on computer disk) without the permission of the author or copyright
owner.
A work of literary and artistic creation is said to be fixed in a material medium when it is
crystallized in any way so that it is rendered durably perceptible to sight, hearing or touch.
Therefore, without fixation it is impossible to protect the right of reproduction, as reproduced
works should be fixed.
It is generally submitted that the right of the owner of copyright to prevent others from making
copies of his work is the most basic right under copyright. No doubt, the right of reproduction
would be economically perfect, where the law recognizes the authors exclusive right to distribute
copies, the right to authorize lending or rental copies after reproduction that helps to alleviate the
abuse of the author’s right of reproduction. This is also recognized under Art.7 (1) (d) of the
proclamation.
It is this right of reproduction that is put under the exclusive domain of the author or copyright
owner pursuant to Art 7 (1) (a) of the proclamation. As an economic right, it can be the subject
of commerce and may be transferred, for consideration or gratuitously, by the author during his
lifetime. Upon his death, this right devolves upon his heirs who will be able to authorize the
reproduction of his work.
Under the Ethiopian law of copyright and neighboring rights proclamation, derivative works are
categorized into translations, adaptations, arrangements, transformation or modification of works
and collection of works pursuant to Art 4 (1).
Among these, the right of translation is treated as an aspect of the economic rights of an author
as per Art 7(1) (b) of the proclamation. It is clear that the author or owner of the work has
exclusive right to translate his work or to authorize others to translate it. Therefore, the author
can derive benefits from his works by authorizing its publication in different languages when he
himself translates the work. In addition, he can derive material benefits from his work that has
been translated by a third party. This shows that an author or owner of a copyright can object to
translation of his work. Accordingly, a person cannot translate the work of another without the
authorization of the author. The basic reason behind this law is that it would be contrary to social
progress to benefit from an author’s intellectual work without granting him appropriate
remuneration or compensation.
However, under Art 1655 (2) of the civil code an author cannot object to translation of his work.
A person can translate the work of another without securing the blessing of the author. In that
case, all that is expected of a translator is to state, at the beginning of the work, the fact that the
translation is made without the authorization of the author (Art. 1655 (2) of the civil code).
Under Art 1655 (3) of the civil code failure to discharge this obligation is deemed to be
prejudicial to the author’s rights.
Coming back to the proclamation, translation rights, i.e., the right of the original author to
translate and authorize translation of his works is exclusive right as per Art 7 (1) (b) of the
proclamation. In other words, the copyright owner is given the exclusive right to translate and/or
authorize translation of their copyrightable works.
Therefore, the right of translation cannot be secured free of charge. As a derivative work, the
translation has derived its inspiration from the original. The author is the one who provided the
translator with an original from which the latter creates his work of translation. Therefore, for
providing the original upon which the translation depends for its creation, the original author
must be rewarded. Thus the pecuniary aspect of authors rights are protected, in cases of
translations, if the original author is given the right to claim remuneration from a person who
translates his work.
In general, no one may translate a copyrightable work without the permission of the author or
copyright owner. However, in many ways a translation is quite separate from the work on which
it is based. It is a new work and is entitled to its own new copyright, regardless of the copyright
status of the original. It qualifies for protection, or does not, entirely on its own. The translator is
the legal author; publication of a translation does not constitute publication of its original and
vice versa.
Translations can, however, never completely sever their connection with the parent original.
Besides when a work is translated into more than one language, the copyright situating for each
version is totally separate.
The second type of derivative work is adaptation. In this regard, like translation, the author or
owner of the work has exclusive right to carry out or authorization of adaptation of his work as
per Art 7 (1) (c) of the proclamation. If a work is to qualify as an adaptation, it is a requirement
that either it expressly refers to the original work or it is evident that it derives its inspiration
from the original work. Adaptation retains the intellectual content and general construction of the
original but clothes it in a different outward form.
If a person seeks to adapt an original work, therefore, he must in advance secure the permission
of the author of the original. Put differently, the author has an exclusive right to adapt the work
himself, and to authorize others, if he so wishes.
into a television script for performance on television and similarly with dramatic adaptations for
radio and film.
When granting someone the right to dramatize a literary work one must therefore specify which
or how many of the possible types of dramatic works he will be permitted to make. One must
also specify whether or not he has the right to reproduce his dramatization in volume form- and
if he has, what payment is due to the original copy proprietor on such an edition
The other form of adaptation may be adapting a work to a strip cartoon. Strip cartoons are works
in which the story or action is conveyed wholly or mainly by means of pictures in a form suitable
for reproduction in a book, or in a newspaper, magazine or similar periodical. The pictures are
protectable as artistic works (drawings or photographs as the case may be) while the text is
protectable as a literary work. It is now an infringement to base a strip cartoon (with or without
words) on a substantial part of an existing literary or dramatic works without obtaining
permission from the owner of the picturization rights.
In general, Art 7 (1) (c) of the proclamation entitles the author to make the adaptation of his
work and to authorize the adaptation of his work. However, once the author has authorized the
adaptation of his work, it is the person who makes the adaptation that will be the owner of the
adapted work. This arises from Art 4 (a) of the proclamation, which protects adaptation as an
original work. That means, the person who adapted the work enjoys independent and separate
right from the owner of the copyright in the original work.
The other exclusive derivative right given to the author or owner of copyright is the right to
arrange or authorize other persons to arrange his works pursuant to Art 7(1) (c) of the
proclamation. However, the person who makes substantially a new arrangement of works after
authorization is entitled to copyright protection in the new version.
owner gets an economic benefit from the reproduced works by sale or rent. The only means of
securing an economic benefit from the fruits of his work is either sale or rent.
Therefore, the law guarantees such kind of right to the author or owner of copyright works. Then
no one may distribute the work of the author to the public by sale or rental without permission of
the author or copyright owner. If someone did this, it is a copyright infringement.
However, this shall not apply to rental or public lending of computer program except where the
program is an essential object of the rental or lending (see Art. 7(2) of the proclamation). Our
copyright law defines public lending as a temporary transfer of possession of an original work or
a copy of a work or sound record by libraries achieves or similar institutions whose service is
available to the public without making profit. Also, rental is defined under Art 2(27) of the
proclamation as a temporary transfer of possession of a work, sound recording or fixation of a
performance for a profit making purpose. The law also did not omit to define computer program.
Under sub article 7 of Art 2, it is defined as a set of instructions, expressed in words, codes,
schemes or in any other form, which is capable, when incorporated in a machine- readable
medium, of causing a computer to perform or achieve a particular task or result.
However, the display of works may be made in various ways. The author or copyright owner can
display his work by means of a film slide, television image, or otherwise on screen or by means
of any other device or process.
F) Right of performance
The author or owner is granted of a work exclusive right to perform (produce) his work by Art
7(1) g) of the proclamation. In other words, the performance right of the author protects one of
the channels through which economic benefits deriv from. The expression “performance” refers
to production and is used interchangeably in literatures on copyright. It is possible to define
performance from the word “performer” defined under Art, 2 (19) of the proclamation, as acting,
singing, delivering, declaiming or playing in or showing otherwise any literary and artistic
works.
Art. 2 (24) of proclamation defines public performance as performing a work to the public by
recitation, playing, dancing, acting or otherwise, either directly or using any communication
media; in case of an audiovisual work, showing the images in sequence and; in case of sound
recording making the sound recording audible to the public. It can be said that performance is
reciting, rendering, playing, dancing or acting of a work either directly or by means of any
device or process.
So to perform a work publicly is to do the above activities at a place open to public or at any
place where a substantial number of persons outside of a normal circle of a family or its social
acquaintances are gathered, or transmit or otherwise communicate the performance of the work
to the public by means of any device or process, whether the members of the public is capable of
receiving the performance in the same place or in separate places and at the same time or
different times.
Also, it is possible to say that, in addition to acting on a stage, performance includes delivery in
the case of lectures, addresses, speeches and sermons, and in general includes any mode of visual
or acoustic presentation, including presentation by means of a sound recording, film, broadcast
or cable program of the work. Performance of a work includes all cases where a literary,
dramatic or musical work is shown or made audible to the public using words, sound, gesture etc
without a work being fixed in a material form.
Literary works can only be performed by straight reading or delivery – direct to an audience or
via television, radio, records, tapes or films. Any other performance of a written work
presupposes that it is in or has been adapted into a dramatic form.
It is only necessary to obtain permission to perform a work if the performance is given in public
–which means anywhere outside the domestic circle. Performance anywhere else (whether live
or through the media of television, radio, sound recordings, films or videos) even including
private clubs, and certainly including hotels-needs permission from the author or owner of the
work.
Even the possession or purchase of a musical score, TV or radio set, sound recording or dramatic
script does not by itself entitle its owner to perform the work it contains in public. Separate
permission must always be obtained from the author or owner of the work to perform it. This
exclusive right of performance, in whatever form it occurs, is put in the exclusive domain of the
author or owner of the work. Thus, the author or owner of the work during their lifetime and
their heirs thereafter are the beneficiaries of all pecuniary interests deriving from the
performance and authorization of the performance of the works of the author.
G) Right of broadcasting
The other economic right of the author or owner of copyrightable work is broadcasting of his
work. Broadcasting is defined under Art 2 (3) of the proclamation as transmission by wireless
means for public reception of sounds or of images and sounds. Therefore, in order to transmit his
works with sounds or images and sounds through a wireless means, the author or owner has an
exclusive right.
No one may broadcast a substantial part of any copyright work, or any adaptation or translation
of it, without permission of the author or owner of the work. He has an exclusive economic right
on the broadcasting of such copyrightable works as per Art 7 (1) (h) of the proclamation.
Under Art 7 (1) (i) of the proclamation, this right (the right to communicate his work to the
public) is exclusively given to the author or owner of the work. Therefore, no one may include in
a cable programmed service a substantial part of any copyrightable work without the permission
of the author or owner of the work.
In general, irrespective of the means of communication of works to the public, the author or
owner of a work has the exclusive right to carry out or authorize communication of the work to
the public.
I will say a final word as to the economic rights of the author or owner of a work. In case of
original work of art or original manuscript of a writer or a composer, the author or his heirs shall
have the inalienable right to have a share of the resell price of the work subsequent to the first
transfer of the work by the author. However, the amount of the share and the conditions of
entitlement will be determined by the regulation (see Art. 7(3) of the proclamation.
The various ramifications of the doctrine of moral right may be said to consist of the right to
create and to publish in any form desired, the creator’s right to claim the paternity of this work,
the right to prevent every deformation, mutilation or other modification thereof, the right to
withdraw and destroy the work, the prohibition against excessive criticisms and the prohibition
against all other injuries to the creator's personality.
The doctrine of moral rights of authors is the out-growth of centuries of literary and artistic
creativeness and it is indigenous to continental jurisprudence. To be precise, its origin is France
and its parentage multiple. This is said because the French statute of March 11 1957 provides
that “the author has the right to demand respect for his name and authorship and for the integrity
of his work.” In other words, the law of March 11, 1957 concerning literary and artistic rights
replaced previous legislation and codified the rules enunciated by the courts, including those
relating to the moral right. Accordingly, the moral right has taken on a statutory character.
When a person creates, be he an author, a painter, a sculptor, an architect or a musician, he does
more than bring into the world a unique object having exploitative possibilities: he also projects
into the world part of his personality and subject it to the ravages of public use. J. Holmes of the
United States, in this regard is reputed to have said this:
Personality always contains something unique. It expresses its singularity even in hand writing,
and a very modest grade of art has in it something irreducible, which is one man’s alone, that
something he may copyright.
Moreover, Oscal Walde expressing the relationship between the author’s personality and his
work said as follows: A work of art is a unique result of a unique temperament. Its beauty comes
from the fact that the author is what he is …….Art is the most intense of individualism that the
world has ever known.
Thus, the work bears the stamp of its author’s personality because in every man’s work, the
character of the writer is recorded. Use and dissemination of the work, therefore, not only bring
economic profit, they also enhance the author’s name and fame. The author seeks economic gain
and the promotion of his reputation through his work.
Accordingly, independently of the economic aspect of copyright, and even after the transfer of it,
the author has the right to claim authorship of his work and to object to any distortion,
mutilation, modification or other “derogatory” action in relation to his work which would be
prejudicial to his honor or reputation.
Attached inalienably to the author as per Art 8 (2) of our proclamation, therefore, the moral right
always protects the personality of the author. Like the economic aspect of copyright, the moral
aspect has many ingredients that constitute the bundle of rights in it and that is the reason, which
calls for a discussion of the components of moral rights.
A) Right of paternity
The right of paternity entitles the author to insist that he and not another person is credited with
the authorship of the work he created. An author is a man who brought out of nothingness some
'child' of his thought and up on its creation he is dubbed the ‘father’ of such ‘child’. As a unique
result of a unique temperament, the work of art is the most intense mode of individualism that
the world has ever known. Its beauty is an external reflection, a projection of the creator’s inner
self to the external world, that is, its beauty comes from the fact that the author is what he is.
As a result, the author is given the right to require all others to associate his name with his work
and to prevent attribution of his name to a work that is not his. The right to paternity is, therefore,
firstly, the right of the creator of the work to present himself to the public as such, secondly, to
require others to present him as such, and thirdly, to prevent others from attributing works to
him which he has not created. In essence, the right of paternity protects the author not only
against unauthorized denial but also against false imputation of paternity as well.
Of the three ingredients of paternity right, the first is the right of the author to demand his name
to appear on all copies as well as on advertising or other publicity for the work. The second
component prevents plagiarism of his work. Out and out plagiarism presents at once the most
obvious violation of this interest and the most serious invasion of the author’s pecuniary rights.
The third aspect provides protection against being named as the author of a work that has been
mutilated or altered.
Therefore, it is possible to say that the principle of paternity right has had numerous applications,
in cases involving the mention of the author’s name in advertisements and following quotation
from his works, questions of collaborator’s rights, protection of the artists signature, mention of
the author’s name on photographic or cinematographic reproductions, and confusion concerning
the identity of a designer of bindings, arising from a book dealer’s window display of bindings
belonging to the dealer.
In Ethiopia, the author of a work does have the right to claim authorship of his work. In other
words, he has the right to be identified as an author upon copies published to the public save the
work is included in reporting current events by means of broadcasting (see. Art 8(1) (a) of the
proclamation). Also pursuant to Art 22 (1) of the proclamation, the person in whose name the
work was published shall be deemed to be the author there-of unless there is a contrary proof.
Thus, a creator of a work can demand others to identify him as the author once his name
appeared on the work. This right is basic in the sense that it is the stake by virtue of which the
author establishes his name in the minds of consumers’ of his work thereby producing fans for
himself. The fact that he is permitted to have his work published under his name necessarily
affects his reputation and thus impairs or increases his future earning capacity.
Failure to associate his name with his work denies him recognition of his achievement while
attribution of his name to a work not his own preys on the value of his name and makes him
'heir’ to the consequences of another’s labor. Alteration of an author’s work both misrepresents
the author’s efforts and mischaracterizes the personality to which the work is attributed. Hence
the right to paternity is a fundamental moral right.
This right of paternity extends to a translator and the director of a film. In other words, like any
other authors, directors and translators have the right to be identified whenever their work is
published commercially (including by means of an electronic retrieval system); performed,
shown or exhibited in public; broadcast or included in a cable program service; or included in a
film or sound recording that is issued to the public. Also, it is obvious that the authors of works
of architecture, sculpture and works of artistic craftsmanship also have the right to be identified
on the original as well as in graphic works or photographs of their work that are issued to the
public.
On the contrary, though he has the right to be identified (to claim authorship), he has the right to
remain anonymous or to use a pseudonym as per Art 8 (1) (b) of the proclamation. In other
words, the author of the work can remain silent without disclosing his name or the identification
can be in the form of a pseudonym, initials or 'any reasonable form of identification' if the author
prefers. Moreover, the author may claim the benefit of presumption of authorship granted under
Art. 22 (1) of the proclamation notwithstanding that he used a pseudonym provided that there is
no doubt as to his identify (see Art. 22(2) of the proclamation). However, to be anonymous for
his work or using pseudonym is a right reserved for the author not an obligation for him. In other
words, in Ethiopia an author is entitled to use pseudonym, or publish his work anonymously.
Therefore, if the author wishes to use pseudonym, he has the right to be identified in his
pseudonym. It means the obligation to disclose the name of the creator of a work extends not
only to his true name, but also to the pseudonym. The moral rights protect the identity of the
creator as he has chosen it. In this regard; I want to raise one foreign case that has a direct
relevance for our law. The plaintiff-author had published two uncopyrighted stories under a
pseudonym. Subsequently after the plaintiff had acquired a reputation in his own name, the
defendant published the two stories under the plaintiff’s actual name, without permission.
However, the plaintiff’s motion for temporary injunction of these facts was granted by the court.
To put differently, the author has the right to have the integrity of his work respected i.e., he may
prevent all unauthorized deformations, mutilations or modifications. This right does not arise
until, after completion, the work has been put on the market by the author, has been sold, or has
been made the subject to contracts of publication or performance. From that time on, the author
has the right to insist that its integrity must not be violated by measures which could alter or
distort it. Therefore, a non author cannot make changes in the work except upon securing the
author’s permission.
Thus, the right of integrity is infringed if a derogatory treatment of a copyright work, or part of a
work is published commercially: performed, shown or exhibited in public; broadcast, or included
in a cable program service; or if copies of a film or sound recording of, or including, a
derogatory treatment of a work are issued of the public. The right of integrity is also infringed if
a graphic work or a photograph of a derogatory treatment of the model for a building, a sculpture
or a work of artistic craftsmanship is published.
In connection with integrity of the work, there is a situation where an extremely delicate problem
arises. This is a problem of protecting the integrity of the work when the author has authorized
its adaptation to a different medium, as in the case of adaptation of a novel for a cinema or a
theatre. The problem here is to ascertain to what extent the author of the original work can insist
on its integrity when this claim conflicts with creative freedom of the adapter who is the would-
be author of the work which purports to be equally original. How may a conflict between these
two equally valid moral rights be resolved?
Expectedly, the mutual obligations of the parties themselves relative to the fidelity of the adapted
work to the original may be specified in the contract. In this respect at least three possible types
of such contracts may be distinguished.
In the first category are contracts in which adaptation is authorized unconditionally. All the
adapter is required to do is that he executes the contract in good faith, and to refrain from
distorting the spirit of the original work with the intention of doing harm. In the absence of such
intention, the adapter is at liberty to make all changes he thinks necessary for the purpose of
adaptation.
The second type of contract is one which contains clauses authorizing all changes and
modifications which do not distort the spirit and character of the original. Under such contracts
modification in the original work that is required by necessities arising from the need to
commercialize the adaptation are said to be reasonable in so far as they respect the work’s
psychological tenor and the essence of the author’s thought.
The third type of contract is such that the author who has authorized an adaptation of this work
actively participates in the process of adaptation-as a scenario or a dialogue writer, for instance.
Thus under this type of contract, the original author stipulates that his text be subject to no
modifications without his approval.
Under the Ethiopian law, undoubtedly the right of preservation of integrity of an author’s
copyrighted work is provided under Art 8 (1) (c) of the proclamation. It provides that the author
of the work has the right to object to any distortion, mutilation or other alteration of his work,
where such an act is or would be prejudicial to his honor or reputation. Therefore, no person will
be allowed to distort, mutilate or alter the work without the author’s consent where the act is or
would be prejudicial to his honor or reputation. Giving permission by the author to alter, mutilate
or distort his work that prejudices his honor or reputation is unthinkable. Thus, any one can’t
alter or mutilate or distort the work of the author if this affects his honor or reputation, unless he
permits, though he is not an owner of economic rights.
The other protection of the right to integrity of a work comes from the provision of Art 2686 (1)
of the civil code. It provides that the publisher violates his obligations if he makes changes
without the author’s consent. Once he has undertaken to make the work public in the form in
which it has been submitted to him, he could not make any changes for he could have refused to
publish it if he had been of the opinion that the work needed changes. Thus, Art 2686 (1)
imposes the duty on the publisher to reproduce the work without abridgments, additions or
modifications. Hence the integrity of the work is preserved because the author is given the right
to prevent alterations, mutilations or truncations of his work after it has left his possession.
C) Right to publish
The right to publish a work or to keep it secret is said to be a natural and incontestable as the
right to create. So long as a work has not been completely created- of which the author alone can
be the judge- it remains a mere expression of the creator’s personality, as it has no existence
beyond that which he tentatively intends to give it.
It is exclusively for the author to determine whether the work shall be published at all, and if it is
to be published, when, where, by whom and in what form. In other words, the author of an
unpublished work, so long as he does not publish it, may keep it as a private matter which he is
not obliged to give to the world.
Only the author can decide whether his work corresponds to his original conception, at what
moment it is completed, and whether it is worthy of him. He alone is able to determine when it
should be disclosed, put into circulation on the market and treated as a chattel, which may be
exploited for profit. Usually, however, authors do not have at their disposal the financial
capability, the administrative facility and the technical know how required for the exercise of
their right of publication and, as a result, they enter into contract of publication. It is hardly
necessary, therefore, to point out that the court’s assumption of power to decide on the
completeness of the work is negation of the most obvious aspect of the author’s moral right- of
determining the completeness of his own creations. The corollary of the right of the author to
publish his work is that the author is at liberty not to publish his work.
A copyrightable work is published only when authorized copies are issued to the public in a
written form (any kind of hand writing, typing or printing) or by means of an electronic retrieval
system. An authorized publication is one made with the agreement of the author or copyright
owner or someone to whom the necessary control has been delegated.
Accordingly, the Ethiopian law of Copyright and Neighboring Rights proclamation under Art 8
(1) (d) gives the right to publish his work only to the author. The author is undoubtedly free to
publish his work irrespective of whether he is an owner of economic right or not. In other words,
the author has the exclusive right to decide whether and when a work is to be released to the
public. The issuance of his reproduced word to the public is at the disposal of the author. No one
may publish a copyrightable work of the author without the permission of him. Apart from this, a
person publishing a work of the author cannot do so without infringing the authors’ rights.
well-defined and that the author can complete it in a period not exceeding two years. In addition,
under Art 2270 (1), a sale contract may be concluded even if its object is a future thing that has
no existence at the time of the contract. Provided that the seller undertakes to deliver such future
thing-as, for instance, when the author contracts to write a dialogue for a cinema-the contract is
valid by virtue of Art 2270(1).
The immediate legal question presenting itself in exploring the extent of this aspect of moral
right is the treatment accorded by law to contracts obliging one party to create. Once it is
conceded that the right to create a work is an aspect of individual liberty, it will be easier to
admit the corollary, i.e., the right of an author not to create, to refuse to create. A court cannot
give a mandatory injunction compelling the author to create a work for so to do goes against the
creator’s individual liberty.
In line with this argument, Art. 1776 mandatorily provides that specific performance is not to be
ordered if and when such order affects the liberty of the debtor-the author in our case. And there
is no better liberty for the author than to be free to create or not to create. Thus, the author is at
absolute liberty to create or not to create a promised work without being obliged to create it. If he
refused to create the promised work, however, he is liable for any damages caused to the
promisee by his act of breach of the contract and that is the outrage of his liability for he can’t be
forced to create
The usefulness of this right is difficult to see, however. Once the thought is expressed, circulated
and criticized, it cannot be erased. Copies of a work which have been sold cannot be destroyed.
Hence, the rationale for this right, i.e., the change of conviction of the author or his convictions
being obsolete due to changes that are brought about by the passage of time, cannot work even if
the author exercises his right to withdraw. Thus the author whose conviction is changed has
actually only one recourse: to set the creations forth in a new edition.
This right of the author is not directly incorporated under Ethiopian law. It can be inferred from
Art. 2687 (1), however, when the law states that the author is at any time given the right to make
corrections or improvements. These corrections or improvements may require the withdrawal of
prior editions and thereby prejudice the interest of the publisher. In such cases, he will be
indemnified by the author for the expenses he incurred by the act of corrections or improvements
(Art. 2687 (2). Hence, the author can make any additions, suppressions and other modifications,
which he thinks necessary in order to make the work conform to the state of his intellectual
convictions. However, the right to withdrawal is not incorporated in the new Copyright and
Neighboring Rights proclamation.
Now, before winding the discussion, two problems require a brief discussion at this point- the
question of inalienability and the problem of descent of moral right upon death of the author.
Much confusion concerning the concurrence of inalienability has been created by the claim that
the moral right is inalienable, whatever may happen to the property aspects of the copyright.
By inalienability of moral right is meant that due to its very nature as a personal right, it is not
capable of transfer. Nevertheless, an express contractual waiver of the moral right by the author
is valid. In line with this, Art 8 (3) of our proclamation provides that the author or his heirs or
legatees may waive their moral right stated under Art. 8 (1) of the proclamation where: the
waiver is made in writing clearly specifying the right is waived and the circumstances in which
the waiver applies, the waiver specifies the nature and extent of modification or the action in
respect of which the right waived. However, this contractual waiver may solve the problem
which arises at the time a person is authorized to adapt the work of the author. In sum, it is not
impossible for the moral right to be alienated from the author. Actually, the moral right is
inalienable only in the sense that, like all personal rights, it is incapable of transfer by sale or gift.
Regarding the transmissibility of the moral right to the author’s heirs, one can say that rights of
personality usually expire with the death of the person and the transmission of moral right
sounds odd. This is also recognized in our law under Art. 8 (2) of the proclamation which
provides that moral rights shall not be transmissible during the life time of the author.
But it has been said that the protection of the memory of a deceased author has called for an
exception to the rule, an exception which allows transfer of moral rights. Accordingly Art 8 (2)
of the proclamation envisages that moral rights shall be transferred in accordance with the law to
heirs or legatees after the death of the author.
The moral components of the author’s rights are sometimes said to have 'positive’ components
and “negative’ components. The right to create a work, to publish it, to change it, to withdraw it
from circulation, and to destroy it are said to be innate positive components. On the other hand,
the right to prevent others from making changes or from committing acts detrimental to the
authors honor or reputation are considered negative components that require no personal act by
the author and may, therefore, be transferred to his heirs. From among the components of the
“positive” aspects of the moral right, the right to publish is the only right that is transmissible to
his heirs. However, moral rights shall be enjoyed by heirs or legatees of the author until the
expiry of economic rights (see Art. 8(14) of the proclamation).
Therefore, in order to reproduce the work of the author, firstly, the reproduction should be in a
single copy. It means if a work is copied more than once, it will be an infringement. Secondly,
the copy should be made by a physical person, not artificial /legal / person, to use the copy for
his own personal purpose, not for using it for public service.
Lastly, the work that has to be reproduced shall be a published work. Published work is defined
under Art. 2(22) of the proclamation as a work or a sound recording , tangible copies of which
have been made available to the public in a reasonable quantity for sale, rental , public lending
or for other transfer of the ownership or the possession of the copies, provided that , in the case
of a work, the making available to the public took place with the consent of the author or other
owner of copyright, of the producer of the sound recording. So, we can say that it is impossible
to reproduce the work of another unless the work is a published work or work is known to the
public.
The private use standard in this respect may not be understood to give the impression that it is
only the person who actually makes the copy that is allowed to use it privately. The user may get
it from other sources. The essential point is that the copy is used privately and no more than one
copy of a work is made at a time. Therefore, if who makes the single copy is not a decisive
element as long as he is a physical person, in so far as the copy is made in a single copy from a
published wok and this copy is intended for private use, the person may furnish himself with a
copy of protected materials for his private ( personal ) purpose.
However, reproduction of works for private (personal) purposes is not allowed under Art 9 (2) of
the proclamation where reproduction is that of a work of architecture in the form of a building or
other construction, musical work in the form of notations, or of the original or copy made and
signed by the author of a work of fine art, the whole or a substantial part of a data base in a
digital form, a computer program except as provided in Art 14 of the proclamation; or a work
that would conflict with or causes unreasonable harm to the normal exploitation of the work or
the legitimate interest of the author.
Some argued that private reproduction without the consent of the author or copyright owner is
permitted only in the case of backup copy. That means a person, who bought the original may
copy it and will have a reserve copy for his personal purpose as per Article 9 of the
proclamation.
4.3.2. Quotation
The other limitation on the exclusive right of the copyright owner for the reproduction of his
work is quotation of a published work. The Ethiopian law considers under Art 10 (1) of the
proclamation as lawful to make quotations from a work which has already been available to the
public. The law clearly provides that the owner of copyright cannot forbid the reproduction of a
quotation of a published work.
However, the law allows reproduction of a quotation of published work by way of illustrations in
publications, broadcasts or sound or visual recordings where the extent of the quotation is
justified by the purpose and is compatible with fair practice. In other words, quotation shall be
compatible with fair practice and does not exceed the extent justified by the purpose (see Art.
10(2) of the proclamation). In this case, reproduction should not conflict with normal
exploitation of the work and should not unreasonably prejudice the legitimate interests of the
author.
Besides, the person that quotes the work of another has to acknowledge the author. Even he has
to indicate the source and the name of the author. That is why Art. 10(3) of the proclamation
clearly envisages that where the quotation is taken from a source which contains the name of the
author; it shall indicate the source and the name of the author.
Thus, for example, it seems that a teacher may copy on to a black board a substantial part of a
copyrightable work and his pupils may copy it down. Moreover, copying of works by students as
part of their education is permitted. A teacher may also perform and make his own recording of
a musical work and use this for purpose of instruction. In relation to a sound recoding, film,
broadcast, or cable program, copyright is not infringed by its being copied by making a file or
film sound track in the course instruction, or of preparation for instruction, in the making of films
or sound tracks, provided the copying is done by a person or receiving instruction, i.e., the copy
is only for educational purposes.
purpose, it may not be challenged by the copyright owner. In other words, the making of a copy
of the work is not an infringement of copyright if the purpose is educational, but when such copy
is subsequently sold, let for hire, offered or exposed for sale or hire, then it is to be treated as an
infringing copy for the purpose of that dealing.
In addition to this, there are other grounds to justify such limitation. Effective research and study
requires that the researcher be informed of the findings and opinions of others and has the
opportunity to dig out those materials prepared by others. It is here that the libraries archives and
other similar institutions provide indispensable service to research by furnishing the individual
researcher with the necessary extensive and published materials for the research and study if they
are given the right to copy them.
It is said that the body of scientific and technical literature has grown so rapidly that it would be
extremely difficult for the individual scholar or researcher to gain access to the works he may
need to consult unless he can obtain copies from a library. Moreover, libraries, archives and
other institutions cannot be expected to meet the needs of any number of researchers by loan of
copies in their collections. So, in response to these demands of researchers, the above institutions
should be equipped to provide researchers with photocopies of materials in their collections.
Apart from the above-mentioned reasons, there are also other purposes for which the institutions
may copy protected works. Rare books and manuscripts are usually photocopied to secure
against their destruction or loss. Similarly, for the purpose of preservation, photocopies are made
of newspapers and other items printed in fast deteriorating paper.
However, this limitation on the rights of the author to reproduce or authorization of reproduction
in their works in respect of libraries, archives and others is not in many cases extensive nor is it
applicable to every library, archive and others. The exemptions are usually applicable in respect
of those institutions that operate in a manner that may not compete with the economic rights of
the author or copyright owner.
In this connection, supplying photocopy to the scholar for his greater convenience, and to serve
the public from his outcome, in conducting his study is not seen as a competitive invasion of the
copyright owners market for the work to any appreciable degree. So, it is libraries, archives and
other similar institutions that operate directly or indirectly in a non–profit basis that are allowed
to make copies of protected materials. If we look for example at the 1976 Copyright Act of the
USA, section 108 entitles libraries and archives to make one copy of a work as long as it is not
alone for commercial advantage. The Act also allows libraries to make the copy of the entire
work or substantial part of it where the user makes requests and the copying library, based on a
reasonable investigation determined that a copy of the work cannot be obtained at a fair price.
What is important here is since it is the economic right of the author that we are limiting by
allowing libraries, archives and others to make copies; we have to make sure that under the guise
of making copies for the purpose of furnishing them to researchers the market for the copyright
work is not minimized. Therefore, the limitation of library, archive and other copying is
applicable only in respect of those institutions that are open to the public and operate on a non –
profit making basis.
Likewise, the Ethiopian copyright and neighboring rights proclamations incorporate those
situations. The exclusive right of reproduction or authorizing the reproduction of author’s work
is limited when the reproduction is made by libraries, archives, memorial halls, museums and
other similar institutions that are engaged in gainful activities directly or indirectly (see Art.
12(1) of the proclamation). It means the owner of copyright cannot forbid a reproduction of a
work by a library, archive, memorial hall museum or similar institutions whose activity directly
or indirectly is not for gain.
However, a copy of copyrightable works shall be made by the above institutions to preserve and,
if necessary, to replace a copy or a copy which has been lost, destroyed or rendered unusable in
the permanent collection of another similar library or archive; Where it is impossible to obtain a
copy under reasonable conditions, and the act or reproduction is an isolated one occurring and if
repeated on separate and unrelated occasions (see art 12(3) of the proclamation)
In other words, copies by library, archive, memorial hall, museum or similar institutions are
possible only for preservation or to substitute lost, destroyed and un available copyrightable
works, to get the works, under reasonable conditions are impossible and the reproduction is an
isolated one or if related for a separate and unrelated situations.
4.3.5. Reproduction, Broadcasting and other Communication to the Public for Informatory
Purpose
Articles published in newspaper or periodical on current economic, political, social or religious
or similar topics are subject matters of copyright protection. On these works the power to
reproduce, broadcast, communicate to the public belongs to the author or copyright owner.
However, this exclusive right is limited under Art 13 of the proclamation. In other words, the
owner of copyright cannot forbid the reproduction in a newspaper periodical, the broadcasting or
other communication to the public of an article published in a news paper or periodical on
current economic, political, social or religious or similar topics (see Art 13(1) of the
proclamation. But in order to apply this limitation, the author or copyright owner should not lift
such powers in such works. If the right or authorized reproduction or broadcasting or the
communication to the public is expressly reserved on the copies by the author or owner of
copyright or in connection with broadcasting or other communication to the public of the work,
no person can reproduce, broadcast or communicate to the public without the permission of the
author.
Moreover, the right of reproduction, broadcasting or other communication to the public of short
excerpts by the author is limited under Art 13(2) of the proclamation. Reproduction and
broadcasting other communication to the public of short excerpts of a work seen or heard for the
purpose of reporting current events is possible without requesting and blessing the permission of
the owner of copyright.
Lastly, the owner of copyright cannot forbid the reproduction in newspaper or periodical, the
broadcasting or other communication to public of a political speech, lecture, address, sermon or
other work of a similar nature delivered in public or, a speech delivered during legal proceeding
to the extent justified by the purpose of providing current information (see Art. 13(3) of the
proclamation).
However, the exclusive right of the copyright owner on the reproduction in a newspaper or
periodical, the broadcasting or other communication to the public of an article published in a
newspaper or periodical on current economic political, social, religious or similar topics.
Short excerpts of a work seen or heard for the purpose of reporting current events, a political
speech, lecture, address, sermon or other work of a similar nature delivered in public, or a
speech delivered during legal proceedings , to the extent justified by the purpose of providing
current event will be limited if it is accompanied by a sufficient acknowledgment identifying
the work by its title of other description and, unless the work is anonymous or the author has
previously agreed or required that no acknowledgement of his name should be made, also
identifying the name of the author as far as practicable.
indispensable for using the computer program in conjunction with a machine for the purpose,
and to the extent of use, for which the program has been lawfully obtained.
To put it differently, reproduction and adaptation of computer program is not forbidden by owner
of copyrightable works if reproduction is made in a single copy and to operate the computer for
its normal service, to have a back-up copy to ensure future use and adaptation is made for using
the computer program in conjunction with a machine for the purpose.
One thing that has to be clear is that the importation should be made by a physical person. The
juridical person is not empowered to import works of the author unless he permits. Also, the
physical person will import works of the author without permission only for his own personal
purposes.
This kind of limitation is evident because prohibiting each and every individual from performing
a copyrighted work exclusively for himself is rather absurd. Most importantly, since private
performances cannot by any stretch of imagination be prejudicial to the economic interests of the
copyright owner, there is no need to prohibit private performance of protected works. Therefore,
for such kind of works neither the authorization of the author is required nor this unauthorized
use of the works would entail copyright infringement.
Regarding private performance, the 1988 British Act provides that the performance of a literary,
dramatic or musical work before an audience consisting of teachers and pupils at an educational
establishment and other persons directly connected with the activities of the establishment (a) by
a teacher or pupil in the course of the activities of the establishment, or (b) at the establishment
for any person for the purpose of instruction is not a public performance for any person for the
purposes of infringement of copyright . In addition, the playing or showing of a sound
recording, film broadcast or cable program before such an audience at an educational
establishment for the purposes of instruction is not playing or showing of the work in public for
the purposes of copyright infringement.
Coming to the Ethiopian law, the single limitation on the exclusive right of performance
(production) of the author is the one provided under Art 16 of the proclamation. This provision
states that the author may not forbid private performances of his work given free of charge at a
family gathering or in a school. So the intention of the legislator in precluding the author form
forbidding private performance should be construed in light of the last limb of the provision
which says, “At a family gathering or a school”
The feature that Art 16 shares with many foreign laws in this aspect is that it exempts non
commercial performances i.e. the author is prohibited from forbidding performances that are
given free of charge. Also, it is not enough that the performance be given free of charge, the
audience is also strictly limited. The performance, though given free of charge, will be an
infringement if it is presented to an audience than is outside of a family gathering or a school.
monopoly that may be against public interest. Accordingly, copyright laws provide general
limitations to facilitate this demand in favor of the interest of the public and make works
available without request from copyright owners and irrespective of their opposition in some
cases. On the other hand, it is criticized on the ground that it creates difficulty to exercise moral
rights by the author, and it erodes the bargaining power of the right-holder as the latter is bound
to permit the use.
Generally, there are two forms of non-voluntary license systems. The first being statutory
license where everything, including the royalty will be determined by the statute recognizing the
concept. The second is named "compulsory license” in which the user must negotiate with
either the author or collective society representing the interest of the author where he wants to
use the work. The author or the society is bound to permit the use against the payment of
remuneration
In Ethiopia, the Office is empowered to grant license to authorize the reproduction or translation
or broadcasting of a published work even against the objection of the author, heirs or legatees as
per Article 17(1) of the proclamation. The Office pursuant to article 2(15) of the proclamation is
the Ethiopian Intellectual Property Office established by proclamation No 320 /2003. But the
Office has to authorize reproduction, translation or broadcasting published work for public
interest. However, the requirement of public interest is not found in the English version of the
proclamation but in the Amharic version we can find as “ EJœn ¼iN”. As the Amharic version is
the official text, we have to apply it. Also, as the provision is an exception it should be
interpreted narrowly. The other reason is if the office is empowered whenever it likes, it will be
invasion of the rights of the author or copyright owner. The conditions, forms of such
authorization and in particular the fair compensation to be made to the owner of copyright shall
be determined by regulations (see Art. 17/2/ of the proclamation). However, no regulation is
enacted up to now.
In fact, the compulsory license can be given only after the publication of the work to the public.
For the right to publish falls in the domain of the moral right of the author, which is exclusively
personal to him, the Office needs to wait for that moment to come.
It is also to be emphasized that although the act is performed without the permission of the
copyright owner or even against his objection, non -voluntary licensing the use of the work is to
be made in return for the remuneration to the author. Thus in copyright law the effect of such
licensing is that the exclusive right of the copyright owner is reduced to a right to equitable
remuneration. Nonetheless, pursuant to Art 17 /3/ of the proclamation, the office may not
authorize the alteration of the work, come what may.
The other limitation is on the distribution of copies of works. Where a copy of a published work
has been sold to the public such a copy may, without authorization and payment remuneration,
be redistributed by means of sale (see Art. 19 of the proclamation).
Secondly, the expiry of copyright marks the end of the protection accorded to the work to which
it has been given. Naturally no work can have a period of protection unless it qualifies for
protection to start with. If this term expires, the works which for all legal requirements deserve
protection will be stripped of copyright and be available to the world at large for use or abuse
without any restraint.
Thus all discussions of copyright duration refer to the economic aspects of the owner (s) alone.
But its expiry “Kills” the protection the work has enjoyed and delineates the point in time when
exclusive rights of the author disappear. Put differently, regardless of the fulfillment of all other
legal prerequisites for existence of copyright, the protection will vanish at the end of the term of
copyright which is provided by the law. Thus the “life” of copyright will “die” at the stroke of
midnight “leaving not so much as a corpse behind it”.
Under the Ethiopian law, this period of protection is available for the life time of the author plus
fifty years. In other words, economic rights shall belong to the author during his life time and to
the heirs or legatees for fifty years from the death of the author (see Art. 20(1) of the
proclamation). Likewise posthumous works will be protected for a period of fifty years from the
date of publication of works pursuant to Art 20 (3) of the proclamation.
In case of a work of joint authorship, the term of fifty years shall commence to run from the
death of the last surviving author (see Art. 20 (3) of the proclamation). Where the work is
collective work, other than an audiovisual work, the economic rights shall be protected for fifty
years from the date on which the work was either made or first made available to the public, or
first published, whichever date is the latest. (See Art. 20(4) of the proclamation.)
Our law also provides a period of protection for works published anonymously or under a
pseudonym. Sub articles 5 of Art. 20 provides that where the work is a work published
anonymously or under a pseudonym, the economic rights shall be protected for fifty years from
the date on which the work was either made or first made available to the public or first
published, whichever date is the latest. However, in case where the identity of the author is
revealed or is no longer in doubt, prior to this period, where the author is a single author
economic rights shall exist during his life time and to the heirs or legatees for fifty years from the
date of his death and where the authors are joint authors, fifty years shall commence to run from
the death of the last surviving author. (See Art. 20 (6) of the proclamation).
Balew Mersha, G/Hiwot Hadush Page 123
Law of Intellectual Property 2008
Sub articles 7 and 8 of Art. 20 of the proclamation puts down the life span of copyrightable
photographic and audiovisual works. For photographic works, economic rights shall be protected
for twenty five years from the making of the work. In case of audiovisual work, the economic
rights shall be protected for fifty years beginning from the date of making of the work or
communication of the work to the public, whichever date is the latest.
In determining copyright duration, there are two interests at stake: creators of works of the mind
must not be deprived of their just reward for their ingenuity and labor, and the world may not be
deprived of the free enjoyment of the works of the mind. The longer the duration, the more is
the tiltation of the law in favor of authors; the shorter the term the more unsympathetic is the law
to them and that means the public interest is given primacy. The question in issue is one of
striking the balance between two interests and this is recognized in our law.
Be that as it may, when its term expires a copyrightable work is said to be out of copyright or in
the public domain. Once its term expires, the same work is not entitled to more than one
copyright and it will be a “historical document, a monument” which is striped of copyright
protection.
Upon the lapse of the life span of the copyrightable works, the owner (s) of a work will be denied
of protection of copyright. Thus a person taking such work as his own without the author’s
consent infringes no right protected by copyright. In other words, infringement of copyright, in
general, is only conceived of when there is copyright in work.
Review Questions
1. Think about the bookshops or audio-video centres around you and consider the legality of
their activities. Do you think they are entitled to rent any work of authorship which is still
enjoying the legal protection of copyright law? If yes, where is the owner’s right of
control of sale and rent in relation to the involved work?
2. There are lots of limitations imposed on the copyright owners. Would they not affect
their interest unreasonably?
Since they are often closely associated with copyrights, any consideration of copyright laws has
to take into account this associated rights. These rights are named neighboring rights or related
rights.
This chapter begins with a brief explanation of the origin and development of neighboring rights.
We will also discuss the bundles of neighboring rights. Thereafter, a brief analysis of the nature
of neighboring rights and the justifications for the protection will follow.
After completing this chapter, students will be able to:
By the same token, “the increasing technological development of phonograms and cassettes and,
more recently, compact discs (CDs), and their rapid proliferation, was pointing to the need of
protection of producers of phonograms.” “The appeal of the phonogram, as also the easy
availability in the market of the variety of increasingly sophisticated recording devices, created
the growing problem of piracy, which has now become a worldwide scourge.” In addition, there
was an increasing use of records and discs by broadcasting organizations; as they became an
essential ingredient of the daily programs of broadcasting organizations. Consequently, just as
the performers were seeking their own protection, the producers of phonograms began to pursue
the case of their protection against unauthorized duplication of their phonograms, as also for
remuneration for the use of phonograms for purposes of broadcasting or other forms of
communication to the public.
Finally, there were the interests of broadcasting organizations as regards their individually
composed programs. The broadcasting organizations required their own protection for these as
well as against the retransmission of their own programs by other similar organizations.
In international laws, the first attempt towards neighboring rights was made by the Berne Union
for the Protection of Literary and Artistic Works at its Diplomatic Conference in Rome in 1928.
At this time there was a need for the revision of the Berne Convention that was adopted in 1886
for the protection of literary and artistic works to include the protection of neighboring rights. In
this Conference the members refused to grant a copyright to performers. But, at the end of the
conference of the Berne convention, they considered the possibility of measures intended to
safeguard the rights of performers and also other neighboring rights are given due consideration.
At the international level, however, it was the development of the phonogram industry that
promoted the establishment of special protection for the so called related rights as the phonogram
industry looked for protection against unauthorized duplication of sound recordings of musical
performances.
Thus, the rights of performers, producers of sound recordings and broadcasting organizations are
given due recognition, after long discussions, under the Rome Convention in 1961 (Rome
Convention, International Convention Ratified in 1961 for the Protection of Rights of
Performers, Producers of Phonograms and Broadcasting Organizations). Unlike most
international conventions, which follow national legislations and provide a synthesis of existing
laws, the Rome Convention was an attempt to establish international regulations in a new field
(neighboring rights) where few national laws existed. This meant that most states would have to
draft and enact laws before adhering to the Convention. Since the adoption of the Convention in
1961, a large number of states have legislated in matters related to the Convention, and a number
of others are considering the legislation. Besides the Rome Convention, two other international
instruments have been drawn up with regard to related rights. These are: The Convention for the
Protection of Producers of Phonograms against Unauthorized Duplication of Their Phonograms,
“Phonograms Convention”, concluded in Geneva in October 1971, and the Convention Relating
to the Distribution of Programme-Carrying Signals Transmitted by Satellite, “The Satellites
Convention” concluded in Brussels in May 1974.
Coming to the development of neighboring right in Ethiopia, Articles 1647-1670 of the Civil
Code provisions, which are now replaced by the Proclamation, governed copyright only.
According to these provisions, copyright is a right granted to an author of a work of mind, which
is either literary or artistic in nature. Works of the mind are defined under Art 1648 of the Civil
Code. The Civil Code does not incorporate rights of performers, producers and broadcasting
organizations. In other words, the question for protection of neighboring rights was not raised.
Thus, in Ethiopia, neighboring right is recognized for the first time in the Proclamation. The
Proclamation incorporates the legal protection of performances, sound recordings and
broadcasts. Seen in light of Ethiopia’s membership to the Convention Establishing the World
Intellectual Property Organization, whose prime objective is the promotion and protection of
intellectual property, and adopted through Proclamation No.90/1997, this legislation could be
said very late to be declared.
..
5.2 Nature of Neighboring Rights and Justifications for Protection
5.2.1 Nature of Neighboring Rights
The term “neighboring rights” comes from the French “droits voisins” referring to those rights
which have been developed parallel to and are related to copyrights. They may be loosely
defined as rights which do not arise directly from the five major types of intellectual property
(patents, copyrights, trade secrets, trademarks and industrial designs) but which are
“neighboring” to such rights. In other words, there exist rights related to or “neighboring on”
copyrights that are generally referred to as “related rights” or “neighboring rights”. Thus,
neighboring rights are those rights granted to protect performers, producers of phonograms, and
broadcasting organizations in the performance of their works.
To put it differently, “neighboring rights” are rights that are related but not identical with
copyrights. The rights of these persons are “neighbors” to copyright in the sense that they evolve
from an original work of authorship, but are not works of authorship, and thus not copyrightable
by themselves. Accordingly, they concern other categories of owners’ rights, namely:
performers, the producers of phonograms, and broadcasting organizations. For instance, an actor
almost invariably, is not the creator of the role he plays. He rather performs a role in a play
written by a playwright. By the same taken, a musician may not necessarily be a composer. He
may perform the creative woks of another person. Yet, their contribution does not make them
subjects of copyright. Likewise the producers of phonograms produce works of authors as
performed by the performers; and broadcasting organizations broadcast such works on their
station. The fact that they have intervened in the channeling of the works does not entitle them to
claim copyright on the works. However, their assistance in making the work available to the
public entitles them to certain rights that are called neighboring rights.
Thus, the notion of neighboring rights is understood to mean rights granted in an increasing
number of countries to protect the interests of performers, producers of phonograms and
broadcasting organizations “in relation to their activities in connection with the public use of
author’s works, all kinds of artists’ presentations or the communication to the public of events,
information, and any sounds or images”.
Coming to the Ethiopian legal system, neighboring rights are the rights performers, producers of
sound recordings, broadcasting organizations have over their works as per Art 2(14) of the
Proclamation that defines neighboring rights. The most important categories are the right of
performers to prevent fixation, broadcasting, reproduction etc of their performances without their
consent; the rights of producers of phonograms to authorize or prohibit the reproduction of their
phonograms and the import and distribution of unauthorized duplicates thereof; and the rights of
Some countries also protect the interests of broadcasting organizations by preventing the
distribution on or from their territory of any program carrying signal emitted to or passing
through a satellite, by a distributor for whom the signal is not intended. “No protection of any
related right can, however, be interpreted as limiting or prejudicing the protection secured to
authors or beneficiaries of other related rights under national law or an international convention.”
Protection of performers is provided in order to safeguard the interest of actors, singers,
musicians, dancers or other persons who act, sing, deliver, declaim, play in or otherwise perform
literary or artistic works against unlawful uses of their performances.
Regarding the economic rights of performers, the performer has the right to carry out or to
authorize the broadcasting or other communication to the public of their performance; the right
to carry out or authorize the fixation of unfixed performance; the right to carry out or authorize
the reproduction of a fixation of his performance in any manner or form; the right to make
available the first fixation of a performance or copies thereof for sale or by other means of
transferring ownership which is known in UK as distributions right; the right to authorize or
carry out rental or public lending of a fixation of a performance or copies thereof irrespective of
the ownership of the copy rented or lent; and the right of making a fixed performance available
to the public by wire or wireless means, in such a way that members of the public may have
access to them from a place or at a time individually chosen by them.
Apart from economic rights, a performer has the right to be identified as the performer as regards
live performance, the performance fixed in a sound recording; the right to object to any
distortion, mutilation or other modification of his performances. The performers rights, be it
economic or non-economic, shall be protected until the end of the 50 th calendar year following
the year in which the performance was fixed in a sound recording or in absence of such fixation,
from the end of the year in which the performance took place.
The other neighboring right is the right of producers of sound recordings (phonograms). Article
2(21) of the Proclamation defines a “producer of sound recordings” as a person that undertakes
the initiative and responsibility for the making of sound recording works. The right owner is the
person that first fixes the sounds. This excludes both the technicians and operators employed by
the recording company, and any entity merely pressing records, i.e., duplicating the first fixation
which is the original recording.
“Sound recording” means, as per article 2(28) of the Proclamation, an exclusively aural fixation
of the sounds of a performance or other sounds or a representation thereof, regardless of the
method by which the sounds are fixed or the medium in which the sounds are embodied. It does
not, however, include a fixation of sound and images such as the sound track of an audiovisual
work. It is important to note that the sounds could be sounds of a performance or other sounds or
a representation thereof whether fixed on cassette tape or compact disc etc from which fixed
sounds can be perceived, reproduced or otherwise communicated directly or with the aid of
machine. The rights of the producer and its limitation will be discussed in greater detail in the
next section.
As to the dependence of the enrichment of the national cultural heritage on the level of protection
afforded to literary and artistic works, it is said that:
The greater the number of country’s intellectual creations, the higher it is renowned the greater
the number of production in literature and the arts, the more numerous their so called
“auxiliaries” (the performers, producers of phonograms and broadcasting organization) in the
book, record and entertainment industries; and indeed, in the final analysis, encouragement of
intellectual creation is one of the basic prerequisites of all social, economic and cultural
developments. Thus, one of the justifications for the protection of neighboring right is that it will
serve for the social, economic and cultural development of the country.
In the same vein, legislations in many countries provide for the protection not only of the
creators of intellectual works but also of auxiliaries that help in the dissemination of such works,
in respect of their own rights. As noted above, copyright subsists in works of authorship. Works
of the mind are created in order to be disseminated among as many people as possible. They
cannot be done generally by the author himself, for it requires intermediaries whose professional
capability gives to the works those forms of presentations that are appropriate to make them
accessible to a wide public. In other words, sometimes another person’s contribution, in making
of the works available to the public may be necessary. The person may act as a channel or
intermediary between the author and the consumer of his work. However, his act or contribution
may not be subject to copyright protection, obviously, his effort deserves some sort of protection.
Thus, the rights of performers, producers of sound recordings and broadcasting organizations are
protected as they are the means for disseminating works of authors.
Also, by protecting the neighboring right holders, particularly in developing countries, the basis
for setting up an industry in the tertiary sector of the economy is ensured. Such an industry,
“while guaranteeing the dissemination of national culture, both within the country and
throughout the world, can additionally constitute a substantial source of revenue for the county’s
economy and, in those cases where its activities extend beyond the country’s frontiers, can
represent an inflow of foreign currency”.
On top of this, performers, producers and broadcasting organizations employ their talents or
technical skills. Furthermore, they have economic interests on their works. They require
economic returns for their investment. Consequently, they have to be accorded with some sort of
exclusive legal rights for their respective works.
For sound recordings, the producers of those works should have Ethiopian nationality or the
sound recordings should be first fixed or published in Ethiopia. The protection given to
broadcasts shall apply to broadcasts of broadcasting organizations where the headquarters are
situated in Ethiopia or broadcasts transmitted from a transmitter situated in Ethiopia. (Art.3 (5) of
the Proclamation).
On top of this, the provisions of the Proclamation will be applied for the works of performers,
producers of sound recordings and broadcasting organizations that are eligible for protection by
virtue of and in accordance with an international convention or other international agreement to
which Ethiopia is a party as per Article 3(6) of the Proclamation.
The Proclamation underlines that the provisions concerning copyright and neighboring right
shall not extend to a material object. In other words, the protection given to the music or
painting or dance will not be applicable for the ownership of the musical instrument or the
painting materials pursuant to Art 3(7) of the Proclamation.
2. The provisions of Sub-Article (1) of this Article shall not be applicable where the
performer has authorized the incorporation of his performance in a visual or audiovisual
fixation.
3. Notwithstanding the provision of Sub-Article (1) of this Article, the performer can not
forbid the reproduction and the communication to the public of his performance, if it is
accessory to an event constituting the principal subject of a scene, or of an audio-visual
document.
4. The performer independently of his economic rights or even after the transfer of this
right shall have the right:
a. to be identified as the performer as regards his live performances, the
performances fixed in sound recordings, except where omission is dictated by the
manner of the use of the performance.
b. to object to any distortion, mutilation or other modification of the performance that
would be prejudicial to his reputation.
5. The provision of Article 8 (2) and (3) shall apply mutatis mutandis to the right of
performers granted in this Article.
6. The right referred to in this section shall be protected until the end of the fiftieth
Calendar year, following the year in which the performance was fixed in a sound
recording or in the absence of such fixation, from the end of the year in which the
performance took place.
As can be seen from the aforementioned legal provisions there are some exclusive rights granted
for the performer. It follows that a performer, as any other property right owner, enjoys those
reserved rights to the exclusion of every person including the government. However, we should
not forget the huge fact that the copyright owners of the works involved are not exempted from
this exclusion. Another important factor, which is not to be overlooked, is the impact of the fact
that the preformed work was being fixed or broadcast properly upon the authorization of the
performer (see Art. 26 (1) (a) and (b) ).
The authorization to reduce the work he performed in some tangible form, the reproduction
thereof, the distribution of the work involved including rental and public lending are of the
economic rights legally reserved for the performer.
Apart from the economic rights, our law provides moral rights of the complete protection of the
right holder. This includes the right of paternity and the right of integrity. As moral right, these
rights are made to exist independently of the economic rights. That means they remain with the
performer even after the transfer of economic right to third parties. By the reference made to Art
8 (2) and (3), these rights are made to be transmutable upon the death of the performer to his
heirs or legatees. Moreover, the law recognizes there to susceptibility waiver of the performer,
his heirs or his legatees. In this regard, we hope you still remember what we have discussed
while considering the moral rights of the author. With that hope, there is a need to avoid
unjustified redundancy by kindly requesting you to revisit that part of our study once again.
With respect to the duration of protection, the law provides alternative terms to be applied to two
different situations. If the performance was fixed in a sound recording, the protection lasts up to
the expiry of the fifty years to be counted as of the date of fixation. But, where the performance
has not been fixed the fifty years period will be calculated as of the end of the year in which the
performance took place.
The law is so clear, and therefore it does not leave room for interpretation. But it raises at least a
question: What about a performance which was fixed very lately? Assume that the performance
was fixed on the eve of the fiftieth year of the end of the year in which the performance took
place? When should the term begin to run?
It became fairly clear by the first decade of the 20 th century that sound recordings deserved and
needed some protection. Apart from terminology, the debates ranged over the question of who
the initial copyright owner should be and what the scope and term of the right should be. In the
early days, “a phonogram was no little more than a recording of sounds, a kind of facsimile
reproduction of a performance of musical or literary works, or both, involving only technical
skills.” But gradually advancing technology made record production an act which probably
demands as much creativity as any other derivative work. Thus, the producer who is taking the
Regarding rights, a producer of phonograms enjoys five basic rights: the reproduction right, the
importation right, the distribution right, the rental or lending right and the making available to
the public right, as would be discussed as follows. (Art. 27 of the Proclamation).
i) Reproduction
The right of the owner of copyright to prevent others from making copies of his works is the
most basic right in copyright laws. For example, making copies of a protected work is the act
performed by a publisher who wishes to distribute copies of a text-based work to the public,
whether in the form of printed copies or digital media such as CD-ROMs. Likewise, the right of
phonogram producers to manufacture and distribute compact discs /CDs/ containing recorded
performance of musical works is based, in part, on the authorization given by the composers of
such works to reproduce their compositions in the recording. Therefore, the right to control the
act of reproduction is the legal basis for many forms of exploitation of protected works including
sound recordings.
The right of reproduction is a right “erga omnes” or real right to authorize or prohibit any
reproduction of a protected phonogram. In the international arena, the Rome Convention gives
the producer the right to prohibit reproduction whether such reproduction is direct or ‘indirect’.
The word ‘directly’ is replaced when works are broadcast and ‘indirectly’ covered reproduction
from a matrix (in case of disc) or from a pre-existing phonogram, such as tape or from a
‘recording off the air’. The last mentioned method of reproduction is known as ‘home taping’, an
activity which is simple with the equipment now available in the market in most countries. Such
home taping would be contrary to international law in countries which have ratified the Rome
Convention unless it is covered by the private use exception of Art.15 (1) (a) of the Convention
which is left as a matter of national law. That is so because it is for national laws to determine
the content and scope of what constitutes private use.
Regarding reproduction right, it was treated in the 1967 Revision Conference of the Berne
Convention in the following way:
If it is considered that reproduction conflicts with the normal exploitation of a work,
reproduction is not permitted at all. If it is considered that reproduction does not conflict with the
normal exploitation of the work, the next step would be to consider whether it does not
unreasonably prejudice the legitimate interest of the author.
Thus, it seems clear that any practice of home taping conflicts with a normal exploitation of the
work and unreasonably prejudices the legitimate interest of the copyright owner. Therefore, the
practice does not seem to be covered by fair use exception but is an infringement. However, the
exercise of the reproduction right by the author and by the phonogram producer in these
circumstances would be “an intolerable intrusion in the privacy of the user’s home and the right
is therefore, unenforceable in practice”.
Nonetheless, the reproduction right in phonogram applies to parts of phonograms since, as the
Rome convention states, the right of reproduction is not qualified, and is to be understood as
including rights against partial reproduction of a phonogram. This is important as it prevents the
copying of one track of long playing record and probably even part of the track if the part is
substantial.
This most basic exclusive right of producer, right of reproduction, is stipulated under Art 27 (1)
(a) of the Proclamation, which reads “a producer of sound recording shall have the exclusive
right to carry out or to authorize reproduction of his sound recordings, in any manner or form”. It
allows the producer to exclude all others from reproducing the phonograms in the form of a
copy. A copy is any material object from which, either with naked eyes or other senses or with
the aid of a machine or other device, the work can be perceived, reproduced or communicated.
It is important to note at this juncture the definition of reproduction under Art 2 (25) of the
Proclamation. It means reproduction includes the making of one or more copies of a work or
sound recording in any manner or form, including any permanent or temporary storage of work
or sound recording in electronic form. Note also the definition of reprographic reproduction
under Art 2 (26) which means the making of facsimile copies of the original or a copy of a work
by means other than printing such as photocopying, whether or not they are reduced or enlarged
in scale. It should, therefore, be noted that when we say that the producer has an exclusive right
to carry out or authorize reproduction we are certainly referring to all acts enumerated in a not-
exhaustive manner under Art.2 (25) and 2(26). These acts should be either undertaken by the
producer itself or to undertake those rights, any one should be authorized by the producer subject
to the legal limitations to be discussed later.
Rental right is justified because “technological advances have made it very easy to copy these
types of works; experience in some countries has shown that copies were made by customers of
rental shops, and therefore, that the right to control rental practices was necessary in order to
prevent abuse of the owner’s right of reproduction”. The protection will also allow the copyright
owner to partake in the profits the rental shop gets for renting the copyright owner’s work and to
control reproduction by customers of the rental shop.
The right here is to authorize or prohibit rental and lending of copies of the sound recordings to
the public since the producer has the right to carry out or authorize rental or lending to the public
a copy of the sound recording irrespective of the ownership ‘of the copy’ rented or lent (Art
27(1) (d)). Here, it says only of a copy unlike performers rights that also include the fixation of
performance under Article 26(1) (e).
Rental is not for the public; it seems private while lending is to the public. Anyway, this is a right
to be exercised by the producer except for limitation of this right. “First sale” doctrine does not
apply here, that is why it says irrespective of the ownership of the copy rented or lent.
One of the rights of a producer of sound recordings that is enshrined under Art.27 (1) (c) of the
Proclamation is the distribution of the original or copy of his sound recordings to the public by
sale or other means of transfer of ownership. This exclusive right guarantees to the producer the
right to distribute the original or a copy of the work to the public by sale or donation or any other
form of transfer of ownership.
It appears that Art. 27 (1) (c) of the Proclamation fits the “first sale” doctrine. Once a sale has
taken place, the first sale doctrine allows the new owner of the sound recordings to treat the
object as his own. Hence, although a producer might transfer ownership to a buyer and impose
certain conditions, it is not a violation of the rights of the producer for the buyer to sell the sound
recordings to another, even if the producer had conditioned the sale upon a promise of no resale.
Therefore, the distribution right only secures to the producer the right to control the first transfer
of ownership. The first sale doctrine authorizes continuing sales or other means of transfer of
ownership. It should be noted, however, that it does not authorize further copying of the original
or its copy. Thus, the distribution right and the first sale limitation upon it apply to the very
phonogram that has been sold or otherwise transferred. The producer is however still protected
against unauthorized copying of the sound recordings by the reproduction right.
To put it differently, this right is exercisable only to the sound recordings that have not already
been subject to a distribution authorized by the producer by sale or other means of transfer of
ownership. Means of transfer of ownership other than sale could be acts such as donation and
exclusive license; non-exclusive license does not preclude exercising this right against those who
are not licensed. Owing to first sale doctrine (doctrine of exhaustion) the producer cannot
exercise this right on the sound recordings which have been assigned or granted a license even
where the duration of assignment or licensing has lapsed so long as what has been reproduced
within the duration of the contract is not totally disposed of.
The right to import copies of one’s sound recording is provided under Article 27(1) (b) of the
Proclamation as follows. “…a producer of a sound recording shall have the exclusive right to
carry out or authorize importation of copies of his sound recordings…” This is a right given to
producers of sound recording and authors of a work. It should be underlined that this provision
deals with the right to import copies of sound recordings. This is obvious because the original
sound recording could be undertaken in a place where the producer thinks fit. It is the copy that
can be imported being so copied from the original in the countries other than the country where
the original recording has taken place due to several reasons including low cost of reproduction
or a better technology that results in efficiency. For instance, the reproduction could be
undertaken from a copy which is not possible in the place of recording. It is to curb such kind of
practice, which would impair the interest of the producer of sound recording, whom this right is
provided.
making available to the public of his sound recordings, is one of the most important rights
guaranteed by the Proclamation. It is because “large segments of the population in our
contemporary world receive copyrighted information through mass media, electronic motion
pictures, televisions, tapes and discs, radio broadcasts and a host of other technologies by which
information is delivered to the public”. Hence, granting a producer to do or to authorize making
available to the public of his sound recordings has become invaluable right.
The ‘making available’ right is an exclusive right of producers to authorize or prohibit the
dissemination of their works and other protected material through interactive net-works such as
the internet and this exclusive right is one of the most important achievements of the WIPO
Treaties and constitutes a basic requirement for the development of electronic commerce. The
international community, in the 1996 Diplomatic Conference that adopted the treaties,
unanimously acknowledged that record producers in particular needed this exclusive right to
cover the use of their phonograms in the digital environment. The reason was not only to fight
piracy. The international community also recognized that the dissemination of phonograms in
digital networks such as the internet constitutes a primary form of exploitation of music, and
therefore should be subject to the control of the right owner.
Moreover, the making available right covers both the actual offering of the phonogram or other
protected material and its subsequent transmission to members of the public. The exclusive right
provides control over the act of ‘making available’ by all means of delivery—by wire or wireless
means—and whenever members of the public may access the work or phonogram from a place
and at a time individually chosen by them. This broad formulation is capable of accommodating
many different types of exploitation, from services allowing only the listening of music, to
services allowing the download of permanent copies of music tracks, to exciting future uses of
technology.
The key element is that the exclusive right covers all types of exploitation that allow the
consumer to have a choice as to the time and the place to enjoy music. Therefore, not only
‘music on demand’ services but also all other services with a like effect (e.g. digital
transmissions allowing for the identification and recording of specific music tracks) should be
covered by this right. The act of making available is subject to the control of the phonogram
producer or other rights owner from the moment the work or phonogram is accessible to
members of the public, regardless of whether it has been accessed yet or not. It is the
accessibility of the phonogram or work—the potential for it to be received or perceived by
members of the public—that is the decisive factor.
As per Article27 (1) (e) of the Proclamation, the producer has an exclusive right of making
available to the public of his sound recordings by wire or wireless means and then members of
the public have access to such sound recordings from a place or at a time individually chosen by
them. It is an individual access at a place or at a time chosen. This right is designed specifically
to deal with things being made available on the internet to be downloaded at the convenience of
customers. "Making available right is "pull" of content and the right of communication to the
public is "push" of content, by any electronic means". In other words ‘the making available right
to the public’ is offering sound recordings for download via a web site. Once the producer make
his sound recordings available to the public, the consumer can access it individually at his own
choice without the transmission.
Where a copy of a sound recording is made for a commercial purpose, a notice shall be printed
on the label or its container consisting of the symbol (P) and the year in which the recording was
first published, placed in such manner as to give reasonable notice of claim to protection of the
right of the producer. The purpose of the notice is to serve as prima facie evidence of the facts
stated there for the purposes of any proceedings brought under the Proclamation with respect to
the rights of the producer of sound recordings (Art 29 of the Proclamation).
It is important to note that the notice is required where a copy of a sound recording is made for
commercial purposes. The manner in which the notice is given or placed should be reasonable to
be seen and understood as stated by the law. The purpose of the notice is not a requirement for
protection; rather it is a purpose of evidence.
The question one may raise in this connection is what if the producer fails to observe the
obligation stated under Article 28 in whole or in part? With regard to stating the name or
distinguishing mark of the producer and that the rights according to the producer no doubt that
are important, it is because; the presumption of ownership requires it. It serves as prima facie
evidence and mitigates the burden of proving the said ownership.
The requirement of labeling a sound recording published for commercial purposes is not unique
in Ethiopia. It is necessary in order for works and other subject matter to receive protection in a
number of foreign countries. For instance, in the USA, certain notices have to be placed or
affixed to all published copies. As regards sound recordings,
“on all the copies in commerce of the published recordings or their containers the symbol (P)
accompanied by the year date of first publication places in such a manner as to give reasonable
notice of claim of protection, and if the copies or their containers do not identify the producer or
the licensee of the producer by carrying his name, trade mark or other appropriate designation,
the notice must include the name of the owner of the rights of the producer.”
Furthermore, if the copies or their containers do not identify the principal performer, the notice
must also include the name of the person who, in the country in which the fixation was effected,
owns the rights of such performers.
In the UK also, section 12 (6) of the 1956 Act provides in effect that the copyright in a sound
recording is not infringed by the doing of the acts restricted by the copyright in the recording
where: (a) records of the recording have previously been issued to the public in the UK and (b)
when the records were so issued, neither the records nor the containers in which they were so
issued bore a label or other mark indicating the year in which the recording was first published,
unauthorized issue not taken into account. The apposition of the requisite notice is thus necessary
to ensure copyright protection as regards records embodying sound recording; however, lack of
notice will not affect the copyright protection of the dramatic, literary or musical works, the
performance of which are reproduced by the recordings, or artistic works on the label or covers
of the record. The fact that a work does not conform to the formalities required by the legislation
of its country of origin does not of itself debar the work from copyright protection in the UK.
A broadcaster may broadcast a sound recording without infringing the neighboring rights of the
producer but the broadcaster must pay the producer a single equitable remuneration. In the same
vein, once the owner of a restaurant, hotel, nightclub and others has paid an equitable
remuneration, they can perform the sound recordings to the public.
Moreover there is a right of communication to the public by the user after paying remuneration
to the producer. Communication to the public is defined under Art 2(6) of the Proclamation as
"the transmission by wire or without wire images or sounds or both of a work, a performance, a
sound recording, or a broadcast in such a way that the images or sounds can be perceived by a
person outside a normal circle of a family and its closest social acquaintance at a place or places
so distant from a place where the transmission originates, that without the transmission the
images or sounds would not be perceivable and, further, irrespective of whether the person can
receive the images or sounds at the same place and time, or at different places and/or times
individually chosen by them". In case of communication to the public, sounds or images or both
are transmitted by wire or wireless means but they would not be perceived without the
transmission. In other words, they are perceived by a person outside a normal circle of a family
and its acquaintances only from the place where the transmission originates.
However, there is no solution for the questions of how equitable remuneration is determined and
who is going to determine such remuneration. On top of this, limiting the rights of the producer
only for asking an equitable remuneration from users would ultimately affect his economic
benefit.
One thing that should be clear is that the sound recording that we are talking about is that kind of
sound recording published for commercial purposes. Thus, it can be argued that, if it is for
commercial purposes, it is available in the market for broadcasting or other means of
communication to the public or for public performance and it seems unreasonable to give an
exclusive right for the producer on such kinds of sound recordings for public performance or
broadcasting or other communication to the public. Further, it would be very difficult, not
impossible, to get permission from the producer to broadcast or perform publicly each sound
recording works by the user that would ultimately affect the accessibility of sound recordings to
the public.
Article 30 (1) does not permit any person to reproduce, import, distribute or rent or lend the
sound recording. It only mentions.
1. Where a sound recording is published for a commercial purpose or a reproduction of such
sound recording is used. This means that, first, it must be published; secondly it must have been
published for commercial purposes. This can be understood from what has been stated on the
label or its container, and thirdly, sound recording published as a reproduction of such recording
implies that it is the producer himself who does so.
2. Used – directly for broadcasting or other communication to the public or is publicly performed
denotes that only using a copy or the original for stated purposes
3. A single equitable remuneration for the performer and producer makes clear that once an
equitable remuneration is paid that would be enough, though what equitable remuneration is up
to the courts to decide or up to the parties to agree upon.
It has to be noted that the right to equitable remuneration to the producer of sound recording and
performers shall subsist from the date of publication of the sound recording until the end of 50
years following the year of publication, when the sound recording has not been published from
the date of fixation of the sound recording until the end of the 50 th year following the year of
fixation (Art 27(2) and 30(3)of the Proclamation) However, the Proclamation does not mention
the moral right of the producer of the sound recordings.
As clearly expressed in the above mentioned legal provision, the law tries to discourage free
riders. That means the law is against those who want to get benefit at the effort of others without
paying a penny. In the affirmation of the competition between broadcasting organizations, the
law requires other broadcasting organizations to secure the blessing of the organization which
first broadcast a certain work, if they want to rebroadcast it. It has also been indicated that the
fixation, its broadcasts and the reproduction thereof is left to the concerned broadcasting
organization.
The term of protection, as any other related protections, is not eternal. It is limited by time. It
stays for twenty years following the year in which the broadcast took place.
In general, the above-mentioned legal provisions share a single purpose, that is, the attainment of
public interest. After having emphasized an excuse of reproduction for educational and research
purpose under provisions of (b) & (c), the afore-mentioned legal provision establishes that those
limitations we noted herein before in relation to the rights of the author and his assignee, are also
valid to limit the entitlement of owners of neighbouring rights on the works involved. The law,
which limits the right of the author who is the original source of the work, for stronger reasons,
restricts the rights of those who establish neighboring rights on the items.
Thus, exclusive rights of the neighboring right owners, however, are only apparently absolute.
For the law is not meant to “permit the protections given here to turn into barriers walling of part
or all of our society from the use and enjoyment of sound recordings”, the public is entitled to
some uses of such works without authorization. This is so because the law provides various
exceptions to the rule that ‘only the owner enjoys those rights'. So, in a way, the law takes away
with one hand some of what it has given by the other. It should be borne in mind that
neighboring rights, like copyrights, are a compromise between two interests, i.e. owner’s interest
to be remunerated and the public interest to get easy access to the phonograms.
Accordingly, there are exceptions which uses do not infringe neighboring right owners rights.
These exceptions are presented hereunder to serve as springboards for the in-depth discussions
on infringements in the next part.
Firstly, they cannot forbid using excerpts for reporting current events to the extent justified by
the purpose of providing current information (Art 31(a) of the proclamation) It appears that this
limitation applies to all neighboring right owners. And note carefully that this limitation is
similar, though not identical, with the limitation provided for authors under Art 13 (2). Article
13(2) allows broadcasting whereas Art 32(a) does not mention broadcasting, though broadcasting
is one of the means to report current events to provide current information. Article 13 (2) also
provides that other means of communication to the public other than means of broadcasting is
allowed. Here, under Art 32(a) means of communication to the public could be broadcasting
stations or any other mass media.
Secondly, they cannot forbid reproduction if it is solely for scientific research. Here what cannot
be prohibited is reproduction. (Art 31(b) of the Proclamation). The number of copies is not
indicated at all. One should ask whether it is one copy or more than one copy depending on the
need of the person undertaking the scientific research. This is not clear but definitely it should
not prejudice the interest of the producer.
Thirdly, they cannot forbid reproduction solely for the purpose of face-to-face teaching activities,
except for sound recordings, which have been published as teaching or instructional materials.
(Art.31(c) of the Proclamation) The reproduction is only face-to-face teaching activity when, for
instance, the reproduction is used in classroom or elsewhere the teacher and the student are face
to face. Performance and sound recordings, which have been published as teaching or
instructional materials cannot be reproduced and used for face-to-face teaching activities.
In addition, the proclamation envisages other grounds of limitation. In this regard, Art 32(d) of
the Proclamation provides that cases where, under part II of the Proclamation a work can be used
without the authorization of the author or other owner of copyright are the limitations on the
rights of owners in appropriate cases. These limitations are those provided from Article 9-20 of
the Proclamation.
Review Questions
1) Discuss the justifications of the protection of neighboring rights.
2) Does a producer of sound recording have adaptation right on his work?
3) If a producer is a natural person, does he have a moral right?
4) What peculiar features distinguish neighboring right from copyright?
But, who is that ‘monopoly right holder’? The author is the original owner of copyright on the
work he created. This general rule is subject to contracts providing otherwise, contrary judicial
decisions or stipulation of law to that effect. This shows that the author and the owner of the
work may not always be a single person. There may be proprietors of the work other than the
author. In the upcoming sub-topics we will be addressing the specific proprietors of a
copyrightable work.
We emphasized that works of authorship manifest the personality of the author. On top of this,
the production of a copyrightable work, definitely, costs the author in terms of time, money and
other resources. And, therefore, there is no need to have further explanation to justify the status
of the author as an original owner of the fruit of his intellectual labour.
Once it is conceded that the author is to be the first owner of copyright on a work of authorship,
it is necessary to understand what is meant when one speaks of the “author” of a work of
authorship. Who is the author? The civil code does not provide any definition of the term
“author” which it uses in its various provisions. Never the less, even if there is no express
definition dedicated to this term, there are some provisions which impliedly contribute to the
understanding of the work with the contact of the code. In Art 1666(1), it is stated that: In the
absence of proof to the contrary, the person under whose name the work is disclosed is to be
The aforementioned legal provision establishes the presumption of the author. Normally, a work
is published in the name of its creator. This indicates that the work is used in its ordinary sense to
denote the maker of the work concerned. In fact, it is wise also to recognize the fact that for
different reasons works may be published in a name other than that of the author, in a pen name
or even anonymously. In such circumstances, determination as to the identification of the author
depends on the possible evidences to be produced to establish who the author is. Since it is just a
presumptive provision, as most presumptive cases, it may be rebutted when contrary evidence is
produced to the satisfaction of the court. Therefore, we may end up with conclusion that
sometimes the named person is not the author and thus not the owner of the work published in
his name. The cumulative reading of Arts 21(1) and 22(1) of the copyright proclamation, as well,
upholds a similar stand with this legal position.
Another point to be remarked is that since the copyright protection is extended to the manner of
expression of an idea and not to the idea embodied in the work of authorship, when we say
originator of the work, we are not referring to the originator of the idea. In other words, the
author is not expected to be the originator of the thoughts or ideas which have inspired the work.
Assume that the idea embodied in a work is incepted by Ato Alazar and well expounded by Ato
Derje but incorporated in his work of authorship by Ato Zelalem. Who do you think is entitled to
claim a monopoly right of ownership on the work of authorship? Is it Ato Alazar because he
introduced the idea? Or, Ato Dereje, because he developed the original idea? Or, Ato Zelalem,
because he expressed it in a work of authorship form? If you have said ‘it must be Ato Zelalem,’
let me tell you one big fact: you are becoming more familiar with the contents of copyright law,
and also the purposes for which the law claims to stand. unless of course, it is shown that Ato
Zelalem has copied it from somewhere else.
It is also important to ask as to who can be an author. Is the status of authorship reserved to
natural persons only? Or can legal person be regarded as an author?
We hope the term, ‘intellectual property’ is an adequate implication to reserve authorship for
natural persons only since legal persons do not have intellect which can be a source for
creativity. On top of this, we have said that copyright laws protect the moral rights of the author
in addition to or even separately, from economic rights of the author. From this we may say that
in countries where moral rights are recognized, like the case of ours, the author must be a
physical person. This naturally flows from the fact that it is generally submitted that only humans
have the moral faculty and thereby can enjoy moral right, which is the component of copyright.
This, by no means, means that legal persons cannot be copyright owners. As we noted before, the
author may not necessarily be the owner of the work. And therefore, where it is provided by law,
contract, or judicial decisions, legal persons may be recognized to be owners of a work of
authorship.
In general, we have noted that natural persons are original owners of copyrights. Sometimes, a
work of authorship may be produced by the joint efforts of two or more persons. Who is the
owner in such a case?
As will be noted at a later stage in this work, a joint work is different form ‘collective work’. A
joint work is attributed with the quality of being either inseparability or interdependence. At this
stage the point is ‘who should be the man of title on a work which is a fruit of joint efforts?’
Arthur R. Miller and Michael H, Davis, in their book entitled “intellectual property: patents,
trademarks and copyright”, responded to this question in the following brief and sect
explanatory manner: Co-authors stand in their relation to each other as do co-owners in respect
of any other kind of property, with some modifications peculiar to intellectual property.
Subject to the specific nature of copyrightable works, the co-authors’ fate will be determined by
the principles of law of property related to joint ownership. As you have noted while taking
‘property and land law’, in our law, the manner in which the co-authors exercise the right is left
to their common agreement. In particular, they may determine their respective share on the
commonly owned item. In the absence of such an express arrangement, the legal presumption of
Art 1259 which establishes equal share of joint owners will be applied. In such a case each will
have equal entitlement to, and equal say on, the work.
Even if the co-authors are left free to regulate their relationship by private agreements made
among them, it is evident that copyright laws want to maintain the oneness of the work. This is
more so, especially, where the separate utilization of one’s personal contribution is detrimental to
the use of the common work.
For instance, according to Art 1668(3) of the civil code independent exercise of a right by a co-
author is allowed only where the works contributed by each author represents a different type of
work. Even in this situation, the personal use should not affect the right of the co-author in the
joint use of the common work.
While addressing the issue as to who the author is, we said that it is assumed that it is the one in
whose name the work is published. If that is so, in order to be regarded as a joint owner, it is a
must to have ones name on the work. In respect to the relation between the co-authors, the law
does not seem to bother about in whose name the work is published. The work may be issued in
the name of one of the contributors, or with the name of the few or all participants. The unnamed
authors may benefit from the exceptional circumstance envisaged by Art 1661(1) of the civil
code. We have noted that authors are legally entitled to remain anonymous. And also the right to
be identified is one of the moral rights of the author. But if they are not interested to exercise this
right and preferred to remain anonymous, there is no reason to deprive their right of ownership.
What the copyright law wants and should want is just to recover the creativity, and therefore, so
far as the unnamed authors can establish or show they are contributors they are no less owners.
Obviously, as the co-authors know each other and recognize the respective contribution of each,
the named ones should not be give better entitlement than the unnamed ones.
The other question may be what their relation to third parties is Art 1669(1) of the civil code
provides that in their relation to third parties, it is the person in whose name the work is
published who is deemed to be the sole author of the work. This law recognizes that third parties
are justified in assuming that the named person is the sole author of the work concerned. Sub-
Article three of the aforementioned legal provision goes on to say “the right of co-authors will
not affect third parties”, this is simply because the publication of a work in one or some of the
contributors creates the impression in the mind of third parties that there are no other right
holders behind the curtain. How could third parties imagine the contrary? As the law says the
author is the named, and the named is presumed to be the original owner of the work, third
parties are not logically expected to investigate whether there are unnamed authors. The legal
presumption benefits the third parties.
However, do not forget that the law is just creating a presumption. And, therefore, as we said
time and again, as most of the presumptions, it is susceptible to rebuttal. Since the sole purpose
of presumptive provisions is shifting the burden of proof, the reverse position may be held where
proof to effect that the third party was aware of the existence of the co-authors is produced.
As we have tried to indicate here-in-above, provisions of law of property are applicable to
regulate co-authorship to the extent they are pertinent with respect to the nature of copyrightable
works. We hope you still remember that decision on the administration of the jointly owned item
requires a share based majority vote (Art 1365 Civil code). On the other hand, the decision to
alienate the item for free or for consideration or to change the establishing purpose of the joint
ownership can only be held unanimously. This applies to co-authors of a joint work, mutatis
mutandis. Therefore, the decision to sale the copyright on the joint work, for instance demands
the unanimous vote of the joint owners. From this it naturally follows that if third parties
concluded a sale contract with only one or some of the co-authors knowing (or where it is
reasonable to expect) the co-authorship, the contract cannot stand in the eyes of the law. That
means, such contracts cannot affect the non-contracting authors. This applies even in a situation
where the non-contracting authors are not named in the published work, provided that the third
parties knew or should have known their existence.
In sum, we can say that co-authors are just joint owners of a property. The law equally protects
unnamed co-authors to the extent they are identifiable.
This provision shows that a collective work is one in which a number of contributions,
constituting separate and independent works in themselves, are assembled into a single whole to
be published in the name of the person who has taken the “trouble” of initiating and directing the
task of producing the work. Therefore, collective works or works published in a collection form
are completely different from joint works which are considered to be inseparable or
interdependent. In fact, we may say that a single whole which is a product of contributions of
more than a single person can be regarded as a collective work if the parts contributed are not
inseparable and interdependent.
What a joint work and a collective work have in common is the contribution of more than one
person in their production. The interrelationship of the works contributed, however, is different
in these two items as we indicated above. When we think of collective works we may mention a
publication consisting of, for instance, speeches delivered may be on different scenes, at different
times, and on different issues, or musical albums which consist works of different musicians or
Thus, who should be the owner of a collective work? Is it all the contributors jointly? In
entertaining this issue, the point that we don’t have to forget is that a work contributed in a
collective work has its own independent author. For instance, if we take a collective work which
consists of several short stories the respective authors enjoy separate, independent an
unassailable right with respect to their own independent work.
Let’s take a book published in Ethiopia comprising short stories which is entitled ‘aba defar’. In
this work of authorship both writers (Ato Adamu Reta and Ato Gebeyehu Ayele) enjoy an
exclusive right of ownership on the collective work. Of the recently published domestic works a
book which is the fruit of the contribution of Ato Bewketu Seyum, Ato Gebeyehu Ayele, and
Ato Adamu Reta entitled “Kinfam Hilmoch” is a typical example of a collective work on which
the contributors can claim independent right of ownership on their own respective work. In our
time, musical works and video clips are being published in a collection form. Here again, each
author is legally protected to enjoy right ownership on their contribution to the single whole.
However, what do we mean by saying each contributor is an independent owner in his own
domain? As you have learned from your law of property course, it simply means that it entails
the enjoyment of the inherent rights of ownership on their own works. Do you remember the
contents of rights of ownership? Right of ownership consists of the followings: (1) the right of
use; (2) the right to collect and own fruits and (3) the right of alienation.
From this we learn that each contributor (or author) exercises the abovementioned rights upon
his rights in an exclusive manner even if his work is incorporated in a collective work. So he
may sale it, give it for free or transfer it in whatsoever legally possible means.
We have also noted that computer programs are recognized to be subject matters of copyright
laws. Do you remember? More than a single computer program may be comprised in a single
compact disk or floppy diskette. Here again, each contributor may use or transfer his own part
without the consent and blessing of the other contributors to the single whole. On top of this,
each contributor may collect and own fruits of his own work. In general, any benefit that may
accrue from the work in its independent existence belongs not to the owner of the collective
work but the private contributor. The right of alienation of an owner extends up to the right to
destroy the property. An author, who is now a contributor to a collective work, has a final say on
the destruction of his own work.
Generally speaking, the administration of the collective work is quite different and independent
from the parts included in it. This situation reveals a difference between collective works and
joint-works. As noted before, in case of joint works, even if there is no total ban, the possibilities
of using ones own contribution by one of the contributors is very much minimal. What do you
think is the basis of such distinction? If you have understood the above mentioned idea you can
easily respond to this question. We said that the nature of works contributed in the production of
these two types of works of authorship are different. Joint works, as we indicated, are
interdependent or inseparable even if they are contributed by more than a single author. For
Instance, imagine a film script which is a product of the joint effort of two script writers. In such
a case, it is very difficult to distinguish the respective contribution of each script writer. It
demands a divine power to identify which manner of expression came out of the mind of which
script writer. That is why law, wisely, avoids the independent use of a contributed part.
We noted that joint works are to be interdependent if not inseparable. In contrast to this, works
incorporated in a collection form are not required to reflect the quality of being interdependent.
Each work, in this case, stands by its own. A collective work may comprise works of a single
author published at different times, or it may include works different authors issued at the same
or different moments.
Moreover, works included in a collective work may embody contradictory or different ideas. In
addition to the possible disrepairs with respect to the contents of the particular works, the form or
mode of expression of such works may be different. Take, for instance, a literary work. Some of
the collected works may be passages while others are poems; of the passages some may be
fictions, others essays and still others descriptions of hard facts. A typical example of such works
may be a domestic publication entitled ‘Efeta’ in the production of which famous authors like
Sebehat Gebre’egziabher have participated. We may also mention encyclopedias and collection
of photographic works as a member of this wide domain.
In sum, so far in this topic we have been trying to distinguish the nature of joint works and
collective works. In brief, the inseparability or interdependence of works in a joint work blocks,
in principle, the independent utilization of the particular works, while, on the contrary, the
reverse nature of works in a collective work is the basis for their separate use and transfer or
even distraction. A point that must be emphasized at this stage is the fact that in some
exceptional circumstances the above mentioned principle of independent use may be eroded.
This happens when such separate use adversely affects the exploitation of the single whole in
case of joint work, and when the contributors have agreed with the owner of the single whole to
block the independent use in case of a collective work.
So far in this sub topic, we have addressed issues related to ownership in particular reference to
works incorporated in collective works. Now, let us see the ownership on the single whole itself.
A person may come up with a collective work of authorship in one of the following three
circumstances:- (1) the collected works may, entirely, be works of his own; (2) the works may be
partly of his own and partly works of others; (3) the works may be totally works of others.
At this stage, it is really important to emphasize that if the duration of protection of a work has
not expired yet, the making of a certain work which is part of a collective work demands the
consent of its author. At least, if one cannot secure the blessing of the copyright owner of the
work, he has to get a compulsory license from the concerned office. Consequently, the
incorporation of a protected work in a collective work without the blessing of either its owner or
the appropriate office is an infringing act which may entail legal liability. From this, it naturally
follows that when we talk about a collective work we are referring to the situation where the
person who has taken the trouble of producing the work has legitimately secured the necessary
consent. Upon satisfaction of this legal base, Art 21(3) of the copyright proclamation provides
what follows: “where the work is a collective work, the person at whose initiative and under
whose direction the work has been created shall be the original owner of the rights”.
This implies that when the initiation to produce a collective work is coupled with the task of
directing the production entails the right of ownership for the person involved. The cumulative
reading of the provisions of Art 21(3) and Art 2(5) dictate us that the original owner of a
collective work is just that single person. Moreover, the provisions reveal that it is only natural
persons who can be the original owners of a collective work. This stand of the law raises various
questions. Consider the following issues:
-What if a person took the initiative but another person handled the directing for different
reasons including expertise?
_What if both the initiation and the direction are conducted by more than a single person?
_What is wrong if the direction and initiation of the work is made by a legal person?
Who do you think should the owner of a work made for a hire be? In the above-mentioned
instances, is that the office or the employee- the bride or the videographer?
A uniform stand has not been taken by the various territories in our world. E.P scone James and
et al, in their book entitled ‘Copigner and stone James on copyright’ stated that: “….. In many
foreign jurisdictions, especially in the Anglo Saxon legal system, an employer, in case of works
for hire under a contract of service, is deemed to be the owner of copyright in the work”.
This means, incommon law the employer is given the status of being an original owner on the
work made for hire. This, in fact, applies unless the contract of employment provides otherwise.
The continental law countries, on the other hand, uphold a contradictory stand. In this regard
M.A Khan stated in his book entitled ‘principles and perspectives of copyright’ as follows: “The
Roman law countries approach the problem from a socio-economic point of view and seek to
protect the author as the economically weaker party against the entrepreneur with whom he has
This stand reaffirms the purpose of the law which claims to stand to protect the needy, that is, the
weakest party. This is the position taken by France and Germany.
When we turn our face to Ethiopian laws, we observe polar opposite stands. The civil code,
following the principle embodied in the continental jurisdictions, made it clear that ownership of
copyright in a work rests in the first instance in the author, irrespective of the fact that the latter
executed the work in pursuance of contract of employment or contract for the performance of a
project entered into with a third party (see Art 1167(3) cum 1647(1) of the civil code). Therefore,
according to the provisions of the civil code, it was the employee or the independent contractor
who enjoys ownership right on a work financed and supervised by his employer or client,
respectively. This would mean that the latter are precluded not only form being considered as
‘authors’ but also form automatically becoming the owners thereof.
What do you think the rationale behind preferring the employee by the framers of the civil code?
It may be said that it is the result of the influence of being a member of a continental legal
system. Actually to belong to a single domain means sharing several common features. On top of
this, the fact that the stand was incorporated in the French civil code which highly inspired the
Ethiopian civil code strengthens the magnitude of the influence.
Making the employee an original owner of a work made for a hire may be justified on the ground
of the purpose of intellectual property rights in general and copyright laws in particular.
Admittedly, the primary objective of copyright law is the author. This is to mean that more than
direct commercial interests, promotion of creativity is given priority. Thus, an area of law which
aims to facilitate the flourishment of art and literature is expected to focus more on the author
instead of his employers. This is not to deny the financial interest and contribution of investors in
the production of copyrightable works; it rather means that, relatively speaking, the author who
is the springboard of the work deserves better threatening than the entrepreneur who extends his
financial hands.
Moreover, the supporters of this line of thinking justify the preference to the employee from a
socio-economic point of view. This perspective traces its base on the inequality of the employer
and the employee. No doubt, the financial status of contracting parties is directly related to their
respective bargaining power. It is an overt fact that employers are in a better financial position
than employees. The cumulative effect of these premises takes us to an important conclusion.
The point is that a gap filling protection needs to be given to the author who is the weakest party.
Such an arrangement facilitates situations for better payment which, in turn, promotes creativity.
Based on the above mentioned justifications, the original ownership of a work made for a hire is
given to the employee instead of the employer. This, however, by no means implies that the
parties cannot make an agreement to the contrary. In other words, even with the above
mentioned stand, nothing prevents the employer from becoming an owner of a work produced by
the intellectual efforts of his employee. A system which entitles the author to transfer his right of
ownership for third parties has no earthly reason to profit the employer who has been financing
and supervising the work involved.
As we indicated here-in-above, the copyright proclamation has taken the polar opposite stand to
the position preferred by the civil code. In relation to entitlement to ownership of a work made
for a hire, Art 21 (4) provides what follows:- Where the work is a work created by an author
employed or commissioned by a person in the course of his employment or contract of service,
unless agreed otherwise, the original owner of the rights shall be the employer or the person who
commissioned the work.
Noticing the fact that this stand of the law erodes the above-mentioned justification, many argue
that the provision gives priority to the financial interests of the employer instead of the creative
efforts of the authors. Accordingly, the original owner of a work made under the contract of
employment is the employer. The law is clear and therefore not open for interpretation.
Before winding up this sub-topic, we have to emphasize that even the law which gives the
original ownership of copyright in case of a work made for a hire can by no means take away the
moral rights from the author. We have noted that the moral rights stay with the author whether or
not the author is the owner of the economic rights. It naturally follows that the employer is not
entitled to alter or modify the work to the extent it is against the interest and reputation of the
author. Moreover, the author is entitled even to block the publication of the work. Similarly,
even in this case, he is still entitled to claim paternity and therefore the work is to be published in
his own name.
It is a common fact that authors usually, due to financial constraint or lack of administrative
facility, do not publish their works by their own. If that is so, what is the legal entitlement of
publishers upon the copyright owner on the work entitled, for instance, “Teretna Misale” which
is written by Ato Kebede Michael and published by Mega publishing enterprise. What is the
legal status of the enterprise in relation to the work? Is it ownership or joint ownership or what?
The point is if authors rather assign the task of publishing to publishers, then what rights are
transferred to the latter? Does the contract of publication make the publisher an owner of the
work of authorship?
Unfortunately, the new copyright proclamation has failed to regulate these and other related
issues. Nonetheless, this by no means implies that the matter is totally unregulated in Ethiopia.
As has been remarked repeatedly, pertinent laws will be applied to resolve such issues to the
extent they are not contradictory with the newly issued copyright proclamation. And, therefore,
the provision of the civil code from Art 2672 to2697 will have application so far as they are not
in contradiction with the provisions and spirit of the new proclamation.
Before addressing the abovementioned issues, it is important to note, briefly, how ‘publishing
agreements’ are seen under Ethiopian laws. And then we will proceed to address issues like
‘what publication is’ and ‘who is a publisher’?
Especially, when we take newspapers and magazines, at least three parties will take part before
such works reach readers. There is the author (a writer of an article), the concerned publisher (the
legally established publisher of the newsletter or magazine) and, thirdly, the printing enterprise.
How can we determine the legal relationship as between these three persons?
You remember that while discussing the prerequisites for the subsistence of copyright protection,
we said that publication is not a requirement in our law. It has also been remarked that the
decision to publish or withhold the publication of a work is totally left for the author himself.
This moral right is protected even in case of works made for a hire. From those points we have
noted at different stages, we learn that a work is copyrightable prior to publication but at the
moment the original work is reduced to a tangible form. On top of this, we have also noted that,
unless the contrary is stipulated, the author is the original owner of his work. If so, what is to be
transferred to publishers? This will be the gist of this sub-topic.
The above-mentioned part of the civil code defines a publishing agreement in the following
manner:
This provision reflects the rights transferred by the author to the publisher. At this juncture, it is
important to distinguish the performance of an act and the ownership of the fruits thereof. It is
known that an owner has an exclusive right to use and own the fruits of his personal property.
Moreover, he may authorize others to perform certain acts. It is good to emphasize that securing
an authorization to act by itself does not mean becoming an owner of the fruits thereof. What are
transferred by the abovementioned legal provision are rights to perform certain acts so far as the
performance of the contract requires such transfer. The author authorizes the publisher to publish
his work. This, as we noted, does not mean making the publisher to be the beneficiary of the
economic gains that accrue from that act. Moreover, the nature of the contract implies that once
the publisher performed the act, he has no right to do it again unless the contrary is provided.
Similarly, the publisher may not publish the work more than the stipulated number of copies or
beyond the duration fixed by the publishing agreement. In general, we may say that the publisher
performs acts for the performance of which he is authorized either by the express terms of the
contract or by the nature of the contract. But the publisher cannot claim right of ownership on the
works of authorship he published as of right. Art 2677 emphasizes this notion in the following
manner:
2677: Effect
(1) The contract shall transfer to the publisher the author’s copyright in his work, in so far
as the performance of the contract requires such transfer, in accordance with the
provisions of this title.
(2) The parties may depart from these provisions where the law does not expressly forbid the
provision substituted therefore.
(3) In case of doubt, the provisions of the contract shall be interpreted in favour of the
author.
This legal provision reaffirms that what is provided is not right of ownership; rather it is the
performance of necessary acts for the discharge of contractual obligation on the part of the
publisher. What is normally demanded in the discharge of a contractual obligation depends partly
on the terms of the contract and partly on the nature of the obligation assumed by the contracting
parties. Naturally, acts to be performed by the publisher are issuing the work, which extend to
the distribution of the work.
Arts 2678 and 2679 warrant a narrower interpretation of terms of publishing contracts in the
following manner.
Art 2678 (restrictive interpretation)
(1) The authorization given to the publisher to deal with the work in a certain manner shall be
interpreted restrictively.
(2) The publisher may not deal with the work otherwise than provided in the contract.
Arts 2679 authorizes methods of dealing with the work however general the terms of the
contract, the publisher shall acquire the right to deal with the work by such methods only as the
parties had in view or ought to have had in view on the making of the contract.
If so, what is the return for the publisher? The economic returns that accrue for the publisher as a
result of the publishing agreement may be payment of a fixed amount of price quoted in the
contract or a commission to be calculated by a certain percentage of the sold items. In the latter
case since the decision of the author (especially, in fixing the number of copies to be distributed
or the areas of distribution) may adversely affect the interest of the publisher and hence Art 2684
provides safeguarding mechanisms. Thus, even if the author is still a king in his work his acts
should not be detrimental to the publisher. The aforementioned article provides what follows;
Article 2684: rights transferred to the publisher
(1) So long as the editions which the publisher has the right to issue are not out of print, the
author may not dispose of the work or any part thereof to the publishers prejudice.
(2) Contributions to a collective work or articles may not be republished, by the author before the
expiration of three years from the date when the first publication was completed.
As it is clearly provided by the above mentioned provisions of the law, the author’s exclusive
and final say on his work of authorship is limited by the legally protected interest of the
publisher. It is not very hard to imagine the negative impact of letting another publisher to
publish that same work prior to the expiry of the right of the first publisher, provided that he is
being paid on a commission basis. It is such undesired acts that the law wants to avoid.
A publishing agreement is normally expected to stipulate the respective rights and obligations of
both the author and the publisher. In particular, it is to mention the types of actions to be
performed along with their extents, the territorial limitation of the acts, if any, and the duration of
the life time of the rights of the publisher. The contract may also mention whether or not the
publisher can issue second or further editions of the work. Where the publisher is in a position to
issue new a edition, he is obliged to provide the author with the chance to revise his work. These
points are well indicated under the provisions of Arts 2688 and 2689 of the Civil Code.
Usually, with the view of avoiding possible future disputes, publishing agreements clearly
stipulate the specific actions to be taken by the contracting parties. In the absence of such details
the law intervenes and tries to fill the gap. For instance, if the contract has failed to fix the
number of copies to be published, the law gives the publisher the right to determine the extent.
However, if nothing is stipulated in the contract as to the right of the publisher to issue new
editions, the publisher cannot issue the new editions without securing the consent of the author.
In this case, silence of the contract is to be taken as denial of the action. Another legal obligation
which emanates from the law is the right of the author to re-visit his work every time it is made
ready for edition.
So far, we noted that publishing contract just authorizes the publisher to perform certain acts.
That means, the publisher is not entitled to claim right of ownership on the works it has issued.
This however, by no means implies that the law prevents the publisher to acquire right of
ownership on copyrightable works. If the author consented for the transfer of ownership, as well,
there is no reason to block such transfer. Therefore, the point is that there is no automatic transfer
of right of ownership by publishing agreements. Therefore, there is a need to make a distinction
between two different situations, the first being where the copyright owner transferred his rights
in whole; and, next, where only part of the bundles of rights is assigned.
In the former case, the publisher enjoys all the rights that can be exercised by an “owner” of a
copyrighted work during the life time of the contract. Simply put, where the whole rights therein
are assigned to the publisher, he replaces the assignor to the extent demanded by the performance
of the contract. Thus, as far as economic rights are concerned during the period of stipulation in
the contract, the publisher becomes the ‘absolute’ owner of the work subject to the nature and
terms of the contract.
Where the contract transfers part only of the rights of the copyright owner thereof, the right that
will be accorded to the publisher are to be determined by the terms of the contract. Here again,
the essence of the contract is the setting over of the economic right of the copyright owners. Yet,
as noted above, the extent and type of rights to be transferred will be inferred from the nature and
terms of the contract. For instance, the time limit to be placed upon the rights to be assigned to
the publisher, the territory within which the publisher may exercise those rights; whether the
rights include both publications in book and serial form, etc. will be determined by the
publishing agreement.
We have noted that the copyright proclamation provides under Art 22(1) that the person in
whose name the work is published will be regarded as the author thereof. Sub-Article (2) of the
same stipulates that the author may claim the benefit of the above-mentioned presumptions in
spite of the fact that he used a pseudonym, provided, however, that there is no doubt as to his
identify. And, by virtue of Art 21(1) a person who acquired the status of being an author is
recognized to be the original owner of the copyright on the work. What is left undetermined in
relation to the topic at hand is about the determination of right of ownership in the absence of the
above-mentioned two cases; that means where there is no named author or the pseudo name
indicated on the work is found to be difficult to identify. In such cases the provisions of Art
22(1) and 22(2) are not applicable.
In those two cases who do you think is the owner of the copyright on the work involved? Article
22(3) determines the issue in the following manner: Without prejudice to sub-Articles (1) and (2)
of this Article, the publisher whose name appears on the work shall, in the absence of proof to
the contrary, be presumed to represent the author and, in this capacity, shall be entitled to
exercise and enforce the moral and economic rights of the author. This presumption shall cease
to apply when the author reveals his identity.
For various reasons, as we indicated before, authors may not want to disclose their identity either
by failing to mention their name or by using a pseudo name which is difficult to trace the author
thereof. But, the works are still protected. And, the law provides that the publisher will be put in
the shoe of the author for the enforcement and exercise of the moral and economic rights of the
author.
In sum, we noted that publishing agreement, normally, transfers the performance of necessary
acts for the discharge of contractual obligation of the publisher. The extent and type of such
actions will be determined by the nature of the contract. It may, however, be extended by the
terms of the contract to the extent of assigning the entire rights of the author to the publisher.
We have remarked that, with the exception of works made for a hire, the author is made to be the
original owner of the work of authorship. The term ‘original’ implies that the author is just the
first and not the last copyright owner on his works. The author may exercise his right of
ownership either by his own or transfer it for others, may be in part or in whole.
In this sub-topic, we consider the author as the transferor of the rights. This, however, does not
mean that his assignees cannot re-transfer the rights they have acquired from the author.
Therefore, they may be regarded as transferors when they are legitimately entitled to transfer
what they enjoy.
While discussing transfer of copyright, a point that must be emphasized is that what can be
transferred is merely the economic right of the author. I hope, you still remember that we pointed
out that the moral rights shall remain with the author even after the transfer of economic rights.
Consequently, the discussion under this sub-topic is reserved to economic rights only.
The transfer of copyright from its original owner to others may take the form of either
assignment or a license. In an attempt to make distinction between the two, M.A Khan in his
work entitled ‘principles and perspectives of copyright’ stated what follows: The former
[assignment] concerns itself with the transfer of ownership of the whole right or part of it,
whereas a license is the authorization of acts, without which such authorization would amount
to infringement. [Emphasis mine]
You know that once ownership is relinquished by what so ever legal means, there is no way to
get it back. On top of this, the transfer of ownership makes the transferee exercise an exclusive
right within his own domains. That means, the assignee (transferee) will have a final say with
respect to the enforcement of the rights that he has acquired through the transfer. Obviously,
such an arrangement entitles the transferee to swallow the fruit of the enforcement of the rights
assigned to him.
Being a licensee, on the other hand, means nothing but just securing the green light to act.
Simply the licensee is authorized to act but that does not, necessarily, make him an owner of the
fruits of his acts. For instance, we have remarked that a publisher is just authorized to issue the
work but he is not the copyright owner of the published work.
If you have grasped these distinctions, it is time to move on to discuss the means of transfer of
copyright ownership. This is taken up in what follows.
protection comes to an end. Such incidents re-affirm the recognition of copyright as a type of
property, and will as a manner of transfer of ownership of copyrightable works.
We indicated hereinabove that the intervention of the law is the second means of transfer of
copyright ownership. This, basically, happens where the author has left no will or even if he has
left one, where it is found invalid in the eyes of the law. In such cases, the law of succession
plays its role. As a result, certain relatives of the author would inherit the copyright of the
deceased.
Judicial decision may also transfer copyright ownership to third parties, where it is appropriate.
The basis for this manner of transfer is the principle of laws of obligation which establishes the
idea that properties of debtors are guarantees for payments of debts to creditors. Therefore,
creditors may extend their hands towards copyrights through the court.
The weakness of copyright protection and the economic realities of our country, which adversely
affect the financial status of authors in Ethiopia, would definitely push our authors to become
debtors at different levels. A creditor of the poor author may establish his claims, in a court
room, to the satisfaction of the court and thereby become a judgment creditor. In such a case, it
may happen that the author may own no tangible item ready for attachment order. This makes
that moment to be the right time to attach the copyright ownership of the author and satisfy the
claims of the judgment creditor. That is how the intervention of the court may work as a transfer
of copyright ownership.
In this regard, there is a point which deserves a further emphasis. Consider the following
question: What do you think about the fate of judgment creditors who have nothing to attach but
the unpublished work of the judgment debtor author?
Assume that the work made by the debtor is already finalized and made to be ready for
publication. On top of this, imagine the situation in which the creditors have extended their
lending hand with the sole hope that the debtor will pay them back upon the publication of his
work. The author has also given his word to pay from the earnings he would make by publishing
his work of authorship. Now, there is nothing under the ownership of this debtor, or even if there
is some, it is not sufficient to satisfy the claims of the creditors. In such circumstances, can the
court give an order for the publication of the unpublished work of the debtor?
Previously, we have emphasized that the rights of a copyright owner are categorized into two
domains- economic and moral. It has also been remarked that the moral rights remain in the hand
of the author, under any circumstance. The right of publication, in our law, is made to belong to
the domain of moral rights. Moreover, it is my hope that you still do remember that even the
Ethiopian intellectual property office, a body entitled to grant compulsory license, is not legally
authorized to act unless the work has already been published. Thus, what can be drawn from
these premises?
It may be safe to conclude that even if the work is complete and therefore copyrightable prior to
the moment of its publication, courts cannot award a judgment for the publication of the work of
authorship. In support of this view, in his book entitled ‘Principles and Perspectives of
Copyright; M.A. Khan stated what follows: ….. if his creditors want to publish a manuscript to
satisfy their claims the writer can stop them. [Emphasis mine]
In general, no matter how the creditors have relied on the publication of the work while lending
their money, the court cannot take away the personal nature of the right of publication. It is
legally established that since the work is the manifestation of the personality of its author, the
publication of the work involves the demonstration of the personality of the author. From this it
naturally follows that the author must be the only person who may decide ‘whether’, ‘when’,
and ‘where’ to reveal his personality by publishing the fruit of his intellect. That is why we have
safely concluded that the judge cannot hit his table with his hammer to pronounce a judgment for
publication of unpublished works of debtors who could not discharge their contractual or extra-
contractual obligations.
Nonetheless, once it is published, courts of law may give a decision for the transfer of the
copyright ownership or a component of it to his creditors. This susceptibility of copyrights for
What is left to be noted is contract as a means of transfer of copyright ownership. Obviously, this
refers to the contractual agreement made in between the author and his counterpart, making
copyright ownership the subject matter of the contract.
We have noted time and again that it is generally accepted that the copyright owner is the king
in his own domain. Consequently, speaking through the words of the 17 th United States code
service as stipulated in the lawyers’ edition, “The copyright owner may license it, alienate or
dispose of it by any other legally possible means”.
No doubt, such a transfer may be made with respect to the whole of the right of its owner or only
part of it. And, also, it may be made for consideration or gratuitously. In here, suffice it to say
that the author and his counterpart exercise the freedom of contract believed to exist in cases of
transfer of rights of ownership involving corporeal properties.
These provisions of the law are framed in a manner to protect the interest of the copyright owner.
As can be seen from Sub-Article one of the aforementioned legal provisions, the copyright
owner is recognized to have the final say on his work. It is the owner who can determine the
entire or partial assignment of his entitlements to the work. To facilitate a better protection, the
law has made the contract to be made in written form. In here, making it in a written form is not
just a formality requirement for proof; rather it is a validity requirement.
Sub-Article (3) of the above cited legal provision confirms that what is not expressly allowed,
when it comes to copyright transfer, is prohibited. Therefore, the transferee may not go beyond
what is explicitly stipulated by the contract of transfer.
Does the position of sub-Article (3) prevent the implementation of implication of the terms of the
contact? What about the implications of the nature of the subject matter of the contract? For
instance, what if an act is a necessary act for the exercise of the transferred economic right, but it
is not mentioned in the contract in an explicit manner? Can the author claim to enjoy it by
implication or nature of the contract?
Actually, the parties to the contract are bound by their words as expressed in the contract. I hope,
your law of contract course has also given you the chance to learn that implementation of a
contract may necessarily trigger its interpretation. It is also noted that law of contract tries to
preserve a contract by rectifying its gaps through positive interpretation. And, interpretation,
where it is unavoidable, is not limited to the clear terms of the contract. For that matter,
interpretation, by its nature, will be called upon when there is a gap which needs to be filled. As
a result, in here, it may not be rational to say that Art 23 of the proclamation is taking away the
role given to implications given by law of contracts, especially Article 1732 and the following.
What do you think?
Let us see what is provided under Art 24 of the copyright proclamation if it is of any help.
Art 24: Scope of assignment of license
1) The scope of the assignment or license shall be limited to the use or exploitation of the
economic right specified in the agreement.
2) The right of a copyright owner or the assignment or licensing of economic rights shall
not extend to the ownership of the material object that constitutes the protected work.
3) Where on agreement for the assignment or licensing of specific economic right mentor
license shall operate, the assignment or license shall terminate after 10 or 5 years
respectively.
4) Whose on argument for the assignment or license of specific economic right, under Sub
Articles(2) of this Article, fails to explicitly provide the ways and means of use or
exploitation of the right; the assigned or license shall be entitled to exploit the right by
such ways and means as are necessary for the purpose envisaged by the parties.
Sub-Article (1) of this provision re-confirms that the content of the right transferred is to be
limited to the specification of the contract. On the other hand, Sub-Article (4) of the same
introduces the idea of filling gaps by using the reasonable man’s standard. Unfortunately,
however, it expressly cross-refers to sub-Article (2) of Article 24.
What is provided under Art 24(2) is the dichotomy between copyrightable work and the material
object which embodies the work. From the very outset, in this work, we have been emphasizing
that ownership on a copy of a published work (the material thing) can not entitle its buyer
copyright ownership on the work enclosed in it. Art 24(2) is telling us the same thing, but it is
from a different vantage. It says copyright ownership does not mean ownership on the material
object. It follows that the transferor is entitled to claim and get back the material object which
constituted the material object. The content of the provision of Art 24(2) limits the scope of
application of Art 24(4) to claims related to the material object and nothing else. Therefore, it is
obvious that Art 24(2) does not resolve the issue we raised to the extent that it is supposed to.
In view of the fact that the dichotomy of the material object and what is embodied in it is so
obvious, do you really think the legislature had intended to dedicate Art 24 (4) to cross refer to
Art 24(2)? Or was it rather intended to point at Art 24(1)?
Sub-Article (3) provides the duration of the transfer or the license. It is good to note that the
provision is framed not in a manner to restrict the freedom of contract of the parties concerned. It
applies only if the contract failed to stipulate a specific duration. In other words, nothing
prevents the parties to agree for the transfer of right up until the moment of the overall expiry of
copyright protection on the work involved. That means, the transferee may possibly enjoy
copyright of ownership for the entire life time of the author and for the next fifty years after the
death of the author. In such a particular case, it is the heirs of the transferee and not that of the
author who will succeed to enjoy the right of ownership of copyright which is made to be the
subject matter of the contract of transfer. In the other extreme, a very shorter period, may be a
single incident, may be quoted in the contract.
Consequently, without prejudice to the freedom of contract of the parties, the law determines the
time framework of the enjoyment of copyright by the transferee. It is clearly stipulated that
where the contract is silent in this regard, the assignment of rights lasts for 10 years while license
of authorization to perform an act or acts expires after the expiry of the first five years counted as
of the date of transfer.
4) The right of revaccination referred to in Sub Article (1) of this Article may not be
waived in advance.
For various reasons, the transferee may fail to exercise the rights transferred to him. In here, it is
good to remember that once a right on a property is transferred, the transferee enjoys an
exclusive entitlement on it. This takes away ‘the say’ of the transferor, mainly because of the fact
that the right no more belongs to him. Under some circumstances, the failure of the transferee of
a copyright ownership or part of it may entail losses to the author, now the transferor. Thus, it
may instigate a court action.
The failure to take action by the transferee, say, for instance, a publisher, becomes vulnerable to
the objection of the author only if the omission is found to be prejudicial to the legitimate
interest of the author. That means, the moment the failure erodes the legally protected interests
of the author, the author is entitled to revoke the assignment or the exclusive license.
At this juncture, it is reasonable to ask as to ‘when we can say that the legitimate interests of the
author are harmed?’ and, for that matter, ‘what is meant by “legitimate interest”’.
Logically, one may say that the general term used by Art 24(3) must be interpreted in its broader
sense, indeed, with the burden of showing the losses being shouldered on the claimant, that is,
the author. No doubt, ‘legitimate interest’ covers anything which may be claimed through the
courts of law. It may extend from cultivation of reputation to huge monetary interests.
Sub-Article (2) and (3) of the aforementioned legal provision limit the scope of implementation
of this important right; while, sub-Article (4) of the same tightens it even against the wish of the
right holder. Sub-Article (2) is playing the rational in punishing the author for his own failures.
Obliviously, no reasonable mind stands by the side of the transferor where the latter is the
principal cause for the omission of the transferee. If he does not appear with clean hands, what
he deserves is not an award, rather it may be liability to pay compensation if any harm is
sustained or is, certainly, going to be sustained by the transferee.
Sub-Article (3) provides when to act. It says three years after the transferee is put in a position to
exercise the rights that he is endowed with. The law wants the author to be patient enough for
more than one thousand days. Do you think this time limit is a fair one?
We have been remarking that laws of a certain country are expected to manifest the realities of
the country. This is to mean that the issuance of a law is, normally, triggered either by the need
to discourage certain behaviour or with the view to promote it. If any third alternative is left, it
must be an introduction of an alien but important behaviour. Seen from this perspective, do you
think Art 25(3) is framed in a way to attain a desired consequence? Especially, consider the
matter, taking into account the financial position of authors in our country and the expectation of
the law when it comes to the authors, that is, to appear with clean hands. Since it is not hard to
imagine how many innocent people are made to be vulnerable to harm, as a result of the
transferee’s failure to act, it may be argued that the fairness of the legislator is being eroded at
this level. Regrettably, the clarity of the law disqualifies it from becoming an item for
interpretation. What makes the situation worse is the fact that the provision, especially the
Amharic Version, is attributed with the quality of being a mandatory provision. Can we justify
the need for interpretation, at this stage, on the ground of absurdity?
Finally, it is good to note the prohibition of waiver of rights prior to the moment necessary for
its implementation to come. In other words, during the conclusion of the contract or any time
prior to the expiry of the first three years, the law blocks the possibility of waiving ones own
right to object omission of the transferee. But once this period has lapsed, the author may give
his consent to forgo his right to bring a complaint against the failure of his assignee. In simple
language, in here, what is made to be wrong is anticipatory submission of rights.
Let us wind up this sub-topic by reminding the fact that even where the entire rights of the author
are transferred, the transferee’s act shall not occasion injury to the author’s moral rights.
Review Questions
1) What are the basic differences between collective and joint works?
2) Are there valid grounds for the revocation of contract of license? Discuss.
3) The copyright proclamation expressly talks about assignment and licensing of the
economic right of copyright owners. What about neighbouring rights?
4) Who is an author in our copyright proclamation?
5) How do you view the validity of taking the presumption that economic right belongs to
the employer when a work is created on employment or commission basis?
Though such a legal framework is in place, it is inevitable that there arise conflicts between users
and author or copyright owners. This chapter will take up in greater detail the issue of
infringement of author or copyright owner’s rights and available remedies under the Ethiopian
law.
NB. The concept copyright owner, in this chapter, may also be used as neighbouring right owner
in this part unless the concept requires otherwise.
Objectives
A t the end of this chapter, you will be able to:
distinguish infringements of copyright;
identify the burden of proof of an infringement;
Discuss civil remedies of the law;
identify the nature and extent of material and moral damages;
Explain criminal remedies available for copyright infringement;
identify the role of mental state of the author in the determination of his liability;
distinguish the periods of limitation for the institution of cases involving copyright
infringement
Unless remedies are sought for the proper enforcement of the law and mechanisms are devised to
tackle infringement, the author or copyright owner of copyrightable works would not be able to
derive economic benefits from their work as much as they deserve which would discourage
investment in production. It would, therefore, be important to have a better understanding of
infringement and acts that constitute infringement before an attempt is made to seek remedies for
the problem.
However, the following definition, for copyright infringement, has been accepted in most
systems. Infringement in copyright is the doing by any person without the consent of the owner
of the copyright of anything the sole right of which is conferred by law on the owner of
copyright. In other words, in order to constitute an infringement the act complained of must be
done without the consent of the copyright owner that may relate to the whole or part of the work
being infringed. The whole work should not necessarily be copied for the act to constitute
infringement. “The act of infringement may be in relation to the whole of the work or to any
substantial part of it, and measuring the substance of what has been taken depends much more on
the quality than on the quantity of what has been taken”.
The person who alleges infringement is expected to prove that there is actual copying from his
work or substantial part of his work has been copied by the person who is alleged to have
infringed his rights. Thus in case of infringement, “[t]he quantity or proportion of matter copied
from the work of another is a material factor but more important is the matter of quality, whether
the original author’s work is substantially appropriated by infringing publication.”
As discussed above, the Ethiopian law of copyright and neighboring rights confers on the author
or copyright owner the exclusive right to carry out or authorize others reproduction of his
copyrightable works, in any manner or form; importation of copies of his copyrightable works;
distribution to the public the original copies of his copyrightable works, which have not already
been subject to distribution authorized by the author or copyright owner, by sale or other means
of transfer of ownership; rental or lending to the public copy of copyrightable works, irrespective
of ownership of the copy rented or lent and making available to the public of a copyrightable
works by wire or wireless means, in such a way that members of the public may have access to
it from a place or at a time individually chosen by him. (Art 27(1) of the proclamation) The law
makes these rights the exclusive rights of the author or copyright owner to be exercised by
himself or by other persons based on his authorization.
From the context of the above definition of copyright infringement and these rights of author or
copyright owners, infringement of the right of author or copyright owner of copyrightable works
may be understood to mean the doing by any person without the consent of the author or
copyright owner of any of the aforementioned acts, the sole right of which is conferred by the
law on the author or copyright owner of copyrightable works.
Thus, to determine whether there is an infringement or not, one has to consult the scope of the
rights granted to author or copyright owners along with limitations listed under the Proclamation.
To put it differently, for an act to be considered an infringement it must fall under the exclusive
right of the author or copyright owner or it should not be an act covered by limitations provided
under the Proclamation and it should be committed without authorization of the author or
copyright owner. To be specific, there should be a trespass in the exclusive private domain of the
author or copyright owner, which needs the prior consent of the author or copyright owner. If the
act falls in the limitations of the rights of the author or copyright owner, there will be no
infringement as the law made them acts that do not require the consent of the author or copyright
owner.
Obviously, the limitation on the right of the author or copyright owner is a sort of compromise
between the interest of the author or copyright owner and that of the public. The public, for
instance, is entitled to reproduce copyrightable works for purposes like scientific researches and
teaching. Such acts do not require authorization from the author or copyright owner and
constitute no act of infringement
Thus, infringement presupposes the existence of legally recognized rights. It occurs when a
person does one of the acts restricted by the law including the secondary infringements, without
the consent or license of the right owner unless a defense or any of the exceptions, known
collectively as the permitted acts, applies. In other words, infringement occurs where a person
other than the author or copyright owner carries out or authorizes another to reproduce the
copyrightable works, imports copies of the copyrightable works, distributes to the public the
original or copies of the copyrightable works, rents or lends for the public a copy of the
copyrightable work or makes available to the public a copyrightable works by wire or wireless
means without the authorization of the copyrightable work by the author or copyright owner.
Subsequently, one possible way of treating infringements of the rights of author or copyright
owner is taking the rights of author or copyright owner and their limitations as a frame of
reference. The first of the acts restricted by the Proclamation is “reproduction.” By reproduction
it is generally meant the right to multiply copies of the work, the production of even one copy
being an infringement. The meaning of reproduction is very similar to “copy”. What is a copy
will be a question of fact and degree. It means the original may be copied or reproduced as it is.
Also it may be copied with a certain modification but the copy resembles the original. When the
copy is not exact, the court must examine the degree of resemblance. With this in mind for
infringement to arise, there must be such a degree of similarity as would lead one to say that the
alleged infringement is a copy or reproduction of the original-having, in other words, adopted its
essential features and substance.
As discussed above, the author’s and author or copyright owner’s right of reproduction is limited
under Arts 9 and 32(d) of the Proclamation. To fall in this limitation, a reproduction has to be
made in a single copy and only for private use as the conditions are cumulative. In other words, it
should be for personal use and without any purpose of deriving gain (directly or indirectly) there
from. Personal use is not only use for oneself but also for those who are connected with oneself
by a personal tie. Thus, copyrightable works may be copied not only for one’s own use but also
for a circle or friends of the members of a small choral society. On the issue who could make the
copies, Ulmer says “the person contemplating the personal use need not be identical with the
maker of the copy. He may order it from another one, in particular an employee with copying.”
Nowadays, technology has enabled man to multiply copyrightable works in a very short time
with no inconvenience. The presence of the above limitation together with this recent
development has made it difficult for the author or copyright owner to be a beneficiary of his
reproduction right because an ordinary tape and ordinary computers can reproduce copyrightable
works at every home, shops or offices. This substantially prejudices the economic interest of the
author or copyright owner.
Regarding home recording, Ulmer is of the view that “tape recording presents us with questions
of which the legislature was not aware when the provisions on multiplication for personal use
were enacted.” Hence, it is held that it is not the intention of the legislator to include tape
recording in this limitation. The allegation that home taping shall be excluded from the limitation
is strengthened during the 1967 Revision Conference Report of the Berne Convention. It states:
It seems clear that the practice of home taping conflicts with a normal exploitation
of the work and does unreasonably prejudice the legitimate interest of the author.
Therefore, the practice doesn’t seem to be covered by any fair use exception but is
an infringement.
If home taping is included in this limitation, i.e., reproduction for personal use without the
authorization of the author or copyright owner, it would satisfy the need of most users, as it is the
reality and frequent actions done in Ethiopia. The broad interpretation of the exception creates a
virtual freedom for all. The author or copyright owner could not get what he deserves. The
Federal Supreme Court of Germany decided in the negative when asked whether the provision
on multiplication for personal use applies to tape recording.
This limitation (for personal use) is there in almost all countries’ laws, though in different forms,
for the purpose of promotion of dissemination of knowledge without substantial injury to the
interests of the right holder. However, not to defeat the grand aim of limitation, a narrow
interpretation of the law should be preferred.
Desbois, a French writer, said in every case, reproduction for personal use is only allowed if it
entails no prejudice to the author, or when it is genuinely for purposes of instruction. Otherwise,
a wide interpretation of the exception would discourage the author or copyright owners by
minimizing their economic benefits. As we said, the technological advancement has enabled man
to make high quality reproduction of copyrightable works in large number within a short period
of time. Therefore, home taping should not be permitted if it substantially affects the rights of
author or copyright owner as it is provided under Art 9 of the Proclamation. However, it is not
uncommon to see the infringement of the right of reproduction of copyrightable works granted to
the author or copyright owner by way of home taping, reproducing in shops and offices.
The illegally reproduced copyrightable works are distributed to the public through vendors or
one to one dealings without the consent of the author or copyright owner. This is against the
distribution right of the author or copyright owner. Besides, copyrightable works are made
available to the public through wire or wireless means without the author or copyright owner’s
authorization which is an infringement against author or copyright owner’s right of making
available.
The other approach to treat the issue of infringement is by such reference to the author or
copyright owner’s rights in general rather than by way of listing an independent catalogue of acts
that amount to infringement. The exclusive rights of the author or copyright owner are to be
found in the law and the infringements of the rights may be classified into different categories
depending on the role of the infringing party in the act of infringement. Accordingly, we have
two broad categories of infringement of rights of author or copyright owners- direct and indirect-
and each will be discussed in turn below.
i) Primary Infringement
Primary infringement is a tort that “occurs without regard to the defendant’s state of mind”.
(Art.2091 (1) of the Civil Code) Infringement of the rights of an author or copyright owner is a
tort because it arises from non-contractual relations. A tort is an offence, i.e., a faulty act which
may consist in an intentional act or in a mere negligence. This argument springs from the
provisions of Article 2029 (2) of the Civil Code which provides that an offence, be it a result of
intention or negligence, consists either in an act or failure to act. Also, infringement is the doing
by unauthorized person of any of the acts reserved exclusively for the author or copyright owner
without his consent. For a primary infringement to be there, it is enough that an exclusive right
of author or copyright owner be violated directly by the act of the infringing person. Hence, a
publisher may be held guilty of infringement though he has no guilty mental state. In this
connection, Fox has said the following:
Innocent intention affords no defense and ignorance of the existence of copyright is no excuse for
infringement. Copyright being proprietary right, it does not avail the defendant to plead motive
or intention. Neither intention to infringe nor knowledge is necessary ingredient in the case of an
action for infringement.
The crucial characteristic of the primary infringement is that there is liability even though the
infringer is unaware at the time of acting that he is infringing copyright or neighboring right. An
infringer is, therefore, liable for the non-contractual liability arising from his acts irrespective of
his state of mind. The only fact that has to be proved is the fact that the person, without
authorization of the author or copyright owner, committed any of the acts the doing of which
exclusively belongs to the author or copyright owner. He shall be liable for having violated an
existing law.
Similarly, the Proclamation on copyright and neighboring rights provides that non-awareness or
lack of reasonable ground to be aware of the infringement may be a ground to limit
compensation. (Art 34(5) of the proclamation) As such, non awareness may be considered in the
assessment of compensation for damage to limit compensation to the extent of the profit he
gained. It should be noted, however, that it cannot be a defense as to liability. Likewise, the
question of guilt would have bearing on the assessment of damages in the laws of England.
The vicariously liable infringer will not, however, be liable for the acts of the third person unless
he is vicariously answerable for his acts under the law. The fact that the third person has incurred
liability arising out of fault or without fault should be proved. For a person to be held liable for
acts a third party, such third party must first incur liability “arising out of an offence or resulting
from law”. (Article 2027 (3) of the Civil Code) Secondly, the relation between the infringer and
the third person, whether it is that of employer- employee, principal – agent, parent- child must
be shown. In other words, such liability for acts of third parties “exists only with respect to
relations and functions specifically enumerated by law.” Vicarious responsibility is exceptional
since a person cannot be liable for all persons whom he authorizes to infringe the right.
This vicarious liability exists when an act of infringement is committed in the course of the
above relationships. However, the existence of such relationship is not sufficient to establish
vicarious liability. It seems clear that there would not be infringement unless an employer
authorizes his employee to do any of the acts which are exclusively reserved to the author or
copyright owner, in discharge of his duties. Under such circumstances the infringer shall be
vicariously liable for the acts of that particular person. Nonetheless, there is an argument that the
infringer shall be vicariously liable for the only reason that there exists an employer – employee
or similar relationship with a third party who infringed the right of the author or copyright
owner.
Thus in order for a plaintiff to succeed in an action of vicarious infringement, he must show that
first a defendant has incurred liability based on fault or a liability resulting from law, which
could be referred to as strict liability without any fault. In addition, he must be able to show that
the vicarious defendant’s relation towards the first defendant is that of a parent or guardian in
terms of Articles 2124-2125 of the Civil Code, or of an employer in terms of Articles 2126 and
2130 of the Civil Code and committed the act in discharge of his duties.
The Proclamation provides that authorization to do restricted acts is the sole right of the
neighboring right owner or author or copyright owner. Hence it can be argued that whoever
authorizes another to do the act restricted by the law infringes the right and he will be liable for
infringement. But this should not be interpreted broadly to mean that a person authorizing
another for whom he is not answerable would be vicariously liable for infringements committed
by that person.
Hence, a person will not be liable vicariously for a person who is not under his control or who
does not have relationships and functions recognized under the law. An employer will be liable
for an act of infringement of the employee where he incurs liability in the discharge of his duties.
(Civil Code Art 2130) In the discharge of his duties means when he is employed to do a certain
act and his act of infringement is committed for the purpose of carrying out the duties or is
directly related to the act he is employed for. (Civil code Art 2131) A principal is liable for his
agent when infringement occurs by the agent who was carrying his duties that arise from the
agency and which were not due to the agent’s fault. (Civil code Art 2222)
Generally, if someone commits one of the restricted acts or authorizes another to commit the
restricted act, he infringes the neighboring rights of the author or copyright owner irrespective of
his knowledge about the right subsisted on that act and regardless of whether or not it is
reasonable for him to suspect that the right subsists in the work.
Indirect (contributory) infringement, as the term implies, contributes to the infringement already
began or committed, and hence is indirect. Indirect infringements are committed “by a defendant
concerned in the commercial exploitation of copies, if he knows or has reason to believe that the
copies were infringements when they were made”.
A person, who is concerned in the commercial exploitation of copies, knowing that he is dealing
with infringing copies, commits them. For example, a person who sells illegal copyrightable
works (copies) is an indirect infringer where he knows or has reasons to suspect that he is selling
illegal copies. He is contributing to the infringement in such a way that the person making
recording commits infringement of reproduction right and the seller sells the illegal copies.
It is called indirect because the infringer here doesn’t commit the restricted act directly or
authorizes another to do so but he deals with the infringing articles. It is also called contributory
infringement as it is continuation of the already committed direct infringement. Unlike in the
case of direct infringement, the intention of the contributory infringer is very important. There
would be such kind of infringement, if and only if the infringer has knowledge of the fact that he
is dealing with infringed copies. Knowledge here refers to an understanding that is expected of
an ordinary person in the alleged infringer’s line of business. This is notice of the fact that would
suggest a reasonable man that breach of right was being committed.
Indirect infringement includes the selling, distributing, importing and exporting of infringing
copies for the purpose of commercial exploitation. In other words, indirect infringement occurs
when a person knowing or having reasons to believe that an article is an illegal article possesses
it in the course of business, sells it or lets it for hire or offers it or exposes it for sale or hire,
distributes it in the course of a business or so as to prejudicially affect the honor or reputation of
the right owner.
Despite the fact that the law of copyright and neighboring rights doesn’t define contributory
infringement, it may be defined as the doing by any person of an act of distributing, selling,
lending etc of copyrightable works resulting from the act of direct infringement of reproduction
without the consent of the author or copyright owner for whom the doing of such acts is
exclusively reserved by the law.
In our legal system, the law penalizes both kinds of infringements (direct and indirect). The
penalty provision of the Proclamation specifies that any person who intentionally or by gross
negligence violates a right protected under the law shall be punished with rigorous imprisonment
of a term not less than 5 years and not more than 10 years, and with rigorous imprisonment of a
term not less than one year and not more than 5 years respectively. (Art 36(1) and (2) of the
Proclamation) No distinction is made between direct and indirect infringements. For instance, if
a person is found distributing infringed copies with full knowledge of the fact, he is a
contributory infringer and shall be penalized as per the Proclamation. The penalty also includes
seizure, forfeiture and destruction of the infringing copies any materials and implements used in
the commission of the crime. (Art 36(3) of the Proclamation)
On top of that, making illegal copies is a crime. In criminal law contribution to the crime is a
criminal act punishable by law either as accomplice or criminal conspiracy. (Arts 37 and 38 of
the Criminal Code) A person will be considered as an accomplice where he knowingly assists a
principal offender either before or during the carrying out of the criminal design whether by
information, advice supply of means or material aid or assistance of any kind whatsoever in the
commission of the crime. In the above example, the person making illegal copies is doing this for
sale and benefit from that and the indirect infringer is helping him by selling the illegal copies
and this is giving assistance. Hence he is an accomplice. Let us take another example; a person
permitting the use of premises for public performance knowing that the person who is going to
publicly perform the copyrightable works did not get authorization or did not pay remuneration
is an indirect infringer. At the same time his act amounts to criminal conspiracy according to
Article 38 of the Criminal Code of the FDRE. Where two or more persons enter into agreement
to achieve an unlawful design or to commit an offence, their act will amount to criminal
conspiracy. This person has agreed to achieve an unlawful design, so criminal conspiracy has
occurred. Similarly, these persons are liable for criminal sanctions under Art.36 of the
Proclamation.
Dealings with illegal copies are still rampant in our country. To do away with this or at least to
minimize infringements, mechanism for enforcement should be strong and not only direct
infringements are punished but it appears from the above discussion that contributory acts are
also punishable by the copyright and neighboring rights law to achieve the purpose of protection
of copyright and neighboring rights. Besides, if something is a crime, it might entail civil
liability for damage and the court has such powers of awarding damages for the injury sustained.
There are several reasons for a state to take efficient measures against piracy activities. The first
and perhaps most important reason is that the rights under the Proclamation are violated, which
means that the authors, performers, and phonogram author or copyright owners, broadcasters and
others suffer considerable economic loss. Thus, the need to accord protection to author or
copyright owners for their musical records is justified from a purely economic interest. The
author or copyright owner invests a considerable amount of money for recording. Thus it is a
given fact that he needs and expects reward from his investment. If others are allowed to
reproduce or produce his record, their acts prevent him from getting a reward for the investment.
Hence, he needs protection for his work. This means that others should secure his permission to
produce or reproduce his records. In other words, it is to underline that he has to be encouraged
with reasonable rewards for his investment. Otherwise, if he is not given the right to resist
unauthorized reproductions or productions of his records, he will not get enough reward from his
investment and refrain or withdraw from the business of recording.
It is also a well known fact that piracy is detrimental not only to the personal economic interests
of beneficiaries but also “to society as a whole because it hampers creativity and is contrary to
the interests which copyright and neighboring right law is there to serve, including that of
establishing domestic cultural industries”. Even one of the main reasons for recognizing
neighboring rights is that they make literary, artistic and similar works productive. Thus, it goes
without saying that if the rights of authors or copyright owners are violated, it will have a
negative impact on the productivity of literary, artistic and scientific works.
It should be noted that piracy generally hurts the most those productions which are successful; as
they are the only ones which are of interest for pirates. In the phonographic industry only a small
share of the productions are economic successes and it is the income from this share that makes
it possible for the industry to supply less successful but perhaps more valuable productions. If
this incentive is lost, the industry may not be able to continue those productions and the output
will be qualitatively lower, something which is, in the long run, detrimental to the interests of the
consumers and of the society as a whole.
Thus, the reasons for fighting piracy should be seen both in short and long term perspectives. It
is sometimes said that piracy is not a bad phenomenon because it supplies the market with
popular products at low prices. Occasionally it is added that the pirates employ a considerable
workforce and thus give increased job opportunities and also there are more urgent priorities in
society than combating piracy. Although these arguments appear to have some grain of truth,
especially in developing countries, they are, naturally, not valid if a state wants to maintain its
international reputation and participate in the international exchange of culture, information and
entertainment.
Accordingly, infringement of the rights of author or copyright owner of copyrightable works has
a multi dimensional effect on the different sectors of the public: the author or copyright owner,
the consumer and the government.
Obviously, the first groups of people who are victims of infringement are authors or copyright
owners of the recorded work. They invest their money, waste their time and energy, exert their
personal skill to produce their original recording work. The act of infringement, which is
committed in advanced technology and which doesn’t require much cost jeopardizes the right of
author or copyright owners to a great extent. Authors or copyright owners are not entitled to
recover their cost of reproduction and could not derive moral and economic benefits from their
work. In case of piracy, there is a misappropriation of economic returns that would have been
paid to publishers or authors or copyright owners. This diversion of economic rewards from
authors and their business partners to pirates removes the incentive to the investment of time,
effort, skill and resources in the creation of new works. This act usually demoralizes authors or
copyright owners, authors and performers. They would in the long run be discouraged to make
an attempt to produce an original work. This in turn will affect the cultural development of the
nation as a whole.
In spite of the short term benefit that a consumer would derive from pirated copies, pirated
copies are usually of inferior quality. While consumers may sometimes see short-term benefit in
the availability of cheaper works as a result of piracy, the quality of reproductions made by
pirates is often very inferior. Consumers will be affected in the long run as being left with non-
durable pirated copies. Also, consumers as members of the community will also be affected in
the long run if new creative works are not encouraged and author or copyright owners are
desperate to produce any more original works. In other words, consumers are disadvantaged in
the long term by piracy. as a result of the absence of remuneration given to authors and
performers by pirates, and the misappropriation of the economic returns to publishers and author
or copyright owners.
As we have seen piracy is an illicit act. As any illicit act and clandestine activity, therefore, the
government cannot collect tax on the profit derived from such acts. The government will lose a
great amount of revenue which it could derive from the field of art. Amongst the adverse
Piracy can be seen to have detrimental effects, therefore, on each of the elements that make up
the copyright and neighboring right system. In consequence, piracy threatens to stultify the
evolution and development of national cultural identity which the copyright and neighboring
right system is designed to promote.
Thus, infringements generally affect author or copyright owner’s morality, the industry and the
government pocket. Even those authors or copyright owners that didn’t withdraw were declining
many offers for records of music. The effect of these on the author was that the author or
copyright owners fear that the piracy does not pay them a deserved amount of money.
Nowadays, there are so many authors or copyright owners that have been engaging in the
business of copyrightable works. However, if things return to the previous status, the author or
performer will have no body in the future that produces his copyrightable works. In addition the
society will be affected by declining number of new copyrightable works from time to time. The
government is also a party to the economic prejudice by the piracy because it losses a significant
amount of tax revenue that would have been collected.
The last but not the least far-reaching consequence of the rampant violation of the reproduction
right is that it becomes one factor for the spread of other violations of the rights of authors. As
the recording business becomes discouraging and authors are discouraged economically and
morally, they will not be initiated to create musical works. Also performers will not buy the
works of authors since they will not get return from releasing albums. This forces them to resort
to already created works without securing the consent of the owners. Hence, the unlawful
reproduction indirectly encourages the spread of other unlawful reproduction, distribution and
performance.
When the alleged infringer denies, the author or copyright owner is expected to prove that he is
the owner of the right in the copyrightable works, may be by showing that it is him who recorded
the copyrightable works and the notice of protection (Article 29(1) of the Proclamation) In this
regard, the Proclamation requires a notice of protection to be affixed on the production to serve
as a prima facie evidence of the facts alleged by the author or copyright owner with respect to his
rights. (Article 29(2) of the Proclamation)
In summary be it direct or indirect, any infringement, if it is proved, has generally two categories
of effects: its effects on the author or copyright owner and its effects on the infringer. From the
point of the author or copyright owner, all infringements are trespasses upon his rights and he
will be entitled to different remedies for injuries that have been caused to his interests. From the
side of the infringer, all infringements carry different sanctions both or either of penal and / or
civil, and these remedies are the subjects of the following sections.
Remedies for infringement of copyright or violation of neighboring rights consist of civil redress,
as where infringers are obliged by courts to cease the infringement and to undertake reparatory
action by any appropriate means. Some laws also provide for penal remedies in the form of fines
and/or imprisonment. Infringing copies, receipts resulting from infringement and any implement
used for the same are usually subject to seizure.
In common – law jurisdictions the usual remedies which are available for copyright owners
following the final trial of an infringement action are a perpetual injunction and damages. The
perpetual injunction is granted in order to prevent any further repetition of the infringing action.
In order to make the injunction effective, it is often coupled with an order for the delivery by the
infringer of all infringing copies of the copyrightable works, which are then subject to
destruction so as to ensure that they cannot be re-used or sold.
The object of an award of damages to author or copyright owner is to restore the author or
copyright owner to the position he would have been in had his right not been infringed. A
difficulty often encountered in obtaining a satisfactory judgment in damages is the production of
evidence as to the extent of sales which have taken place and thus as to the extent of damage
which has been caused to the author or copyright owner’s right.
In the event that an author or copyright owner’s rights in copyrightable works have been
violated, there are a number of remedies, namely, civil and criminal, that are available to him in
order to right the alleged wrong. On the civil side, there are remedies aimed at reinstating the
author or copyright owner in the financial position in which he could have been had it not been
for the prejudice caused to him due to infringements. Others are meant to punish the tortfeasor
while still some others are employed to recognize the grief the author or copyright owner
suffered as a result of the tort. On the criminal limb there are punishments to be inflicted on the
criminal and hereunder we will discuss different civil and criminal remedies.
The law has to provide the beneficiaries with real and effective possibilities to obtain
compensation for the injury caused to them by the violation of their rights. That compensation
should not be limited to mere reparation of the direct losses inflicted on the specific right owner.
He should also be compensated, for example, for loss of market shares for the work, possible
violations of his moral rights and also other relevant elements. In short, account has to be taken
of the material and moral prejudice caused. It may sometimes be difficult to establish the exact
size of the compensation. In many national laws there are, however, special provisions aiming at
making an equity assessment of the amount to be paid; otherwise, it has to be left to the judges’
discretion.
If copies exist which have been produced through unlawful acts, it is important that action is
taken to prevent those copies, and their packaging, from being brought on the market without the
consent of the author or copyright owner. This is particularly important in the case of pirated
copies. The desirable principle should be that such copies should be destroyed unless the injured
party requests otherwise. Alternatively they should be surrendered to the injured party. Also,
equipment used for the manufacture of unauthorized copies should, by court order, be either
destroyed or surrendered to the injured party, at least if there is a real risk that they may be used
for continued acts of infringement. In this latter case there should exist possibilities for the courts
to issue orders expressly prohibiting the contribution of the acts, with mention of the fine to be
paid in case the order is not respected.
Another important aspect in this context is the conservatory measures which should be available
particularly in cases of piracy, where the existence on the market of the unlawful copies can
cause considerable damage. Such measures are intended to freeze or conserve the situation as it
is when the measure is ordered or taken. More specifically, the purpose of such measures is
twofold: to prevent the committing or the continuation of the committing, of acts of piracy, and
to secure evidence as to the nature, quantity, location, source and destination of the pirated
copies or to the identity of the person who is suspected to have committed or to be likely to
commit acts of violations.
Usually such measures have to be taken only at the request of the person or legal entity who
claims to be injured or to be threatened by injury in an act of piracy. The measures should
include the following: seizure of the goods suspected to be unauthorized copies; sealing the
premises where the unauthorized copies are being manufactured, packaged, stored or offered for
sale, rental, lending or other distribution; seizure of the tools that could be used to manufacture
or package the unauthorized copies and of business documents referring to the said copies;
ordering the termination of the manufacture or distribution of the unauthorized copies; and
ordering the disclosure of the source of the copies suspected to be unauthorized copies. Under
most laws the requesting party will be liable for damages caused by the measure and, where
necessary, he should be ordered to post a bond.
Thus, the purposes of civil remedies could be summarized as: i) to provide compensation for the
prejudice caused by infringements, ii) to dispose appropriately of the infringing copies (typically
through destruction or other disposal outside the normal channels of commerce), iii) to dispose
appropriately of implements used for infringing activities, and iv) to grant injunctions to prohibit
further infringements. Such remedies should always be available irrespective of whether the
infringement has been committed willfully and/or for profit making purposes.
Civil remedies, which are available under our law, are provisional measures, injunction,
damages, confiscation of the infringing work, destruction of infringing copies, and border
measures. These remedies will be discussed one by one.
A) Provisional Measures
As a preliminary remedy there is the so called provisional measure that is known in the UK as
Anton Piller order. The Anton Piller order, named after the case in which the English Court of
Appeal sanctioned its use (Anton Piller K.G V. Manufacturing Process ltd. [1976] RPC 719), is
an order granted by the court permitting the inspection of premises on which it is believed some
activity is being carried on which infringes the copyright of the plaintiff. The order has a number
of features which makes it a particularly appropriate remedy in the context of piracy.
First, the order will be granted exparte, which is on the application and in the presence alone of
the copyright owner, without prior warning being given to the defendant. The essence of order is
thus that it takes the defendant by surprise, and precludes the defendant from destroying or
removing vital evidence.
Secondly, the terms on which the order is granted enable the copyright owner to inspect the
premises of the defendant, and all documents (including business information, such as bills,
invoices, sources of supply and customer lists) relating to the alleged infringement. By virtue of
these terms, the copyright owner is given the means whereby he may be able to establish the
source of supply of pirated works, and the extent of sales which have taken place, which will
assist in turn in establishing the amount of damages to which he may be entitled.
Thirdly, the order for inspection will often be accompanied by an injunction restraining the
defendant from altering or removing in any way articles or documents referred to in order for
inspection.
The Anton Piller order can undoubtedly constitute an important weapon in the armory against
piracy. Since it is granted on an exparte basis, however, care needs to be exercised to ensure that
the rights of persons against whom it is granted, and whose actions have not yet been judged, are
adequately protected.
Two safeguards, in particular, which have been required by courts in jurisdictions where it is
available, should be noted: firstly, it will only be granted where it is essential that the plaintiff
should have inspection so that justice can be done between the parties. In order to meet this
criterion, usually the copyright owner will have to prove that there is clear evidence that the
defendants have in their possession incriminating documents or material; that the circumstances
are such that there is a real possibility or grave danger that the incriminating materials will be
destroyed or hidden if the defendant is forewarned; and that the potential or actual damage to the
plaintiff as a result of the defendant’s alleged wrongdoings is very serious.
The second safeguard which is often required is proper respect for the defendant’s rights in the
execution of the order. In this respect, it may be required that, in executing the order, a copyright
owner be attended by his lawyer, give the defendant adequate opportunity of considering the
order, and not force entry in to the defendant’s premises against his will. Of course, if a
defendant were to refuse entry into his premises, this would cause extremely adverse inferences
to be drawn against him at the subsequent trial.
In Ethiopia, the court, where there is a demonstrable risk of evidence being destroyed or where
any delay is likely to cause irreparable harm to the right holder, shall order provisional measure
which it may think stops the destruction of evidence or which helps to prevent the occurrences of
the irreparable harm. (Art 33(1) (a) of the Proclamation)
In general, the remedy, provisional measure will be ordered by the court pursuant to Art.33 (1) of
the Proclamation. The justification for granting provisional measure is to prevent an
infringement of a right from occurring and to preserve relevant evidence in regard to the alleged
infringement by the plaintiff. These measures shall be prompt and effective to prevent the entry
into channels of commerce including imported goods immediately after customs clearance. To
put it differently, in order to preserve relevant and to prevent an infringement of a right from
occurring for protecting the rights of the author or copyright owner the court shall order swift
and effective provisional measures.
In this case, the court has the power to adopt provisional measures, where appropriate, on exparte
basis (in audita altera parte). The provisional measure on exparte basis will be given by the court
where any delay is likely to cause irreparable harm to the right holder, or where there is a
demonstrable risk of destruction of evidence. If evidence is going to be destroyed, unless
provisional measure is adopted by the court, the alleged infringer is going to be free by the mere
fact that the evidence is being destroyed. Also, if the delay is likely to cause no compensable
damage on the right holder, though the decision is in favor of the right holder, it is without effect
as the damage sustained by the right holder cannot be compensated in terms of pecuniary value.
However, the provisional measure taken by the court in audita altera parte is a discretionary
power of the court. (Art 33(2) of the Proclamation) However if it is ordered by the court, the
parties affected should be given notice immediately, after the execution of the measure at the
latest. There is also a review of a measure taken by the court that includes modification,
revocation or confirmation based on the request of the defendant. (Art 33(6) of the Proclamation)
B) Injunctive relief
Injunction is a future looking and classic equitable remedy for neighboring right infringement. It
is an order of the court directing a party to litigation to do or refrain from doing an act. Thus the
nature of the order is of two kinds: mandatory injunction ordering the defendant to do and
prohibitory or preventive injunction ordering him to refrain from or not to do a certain thing.
With regard to neighboring rights, which are in the field of intellectual property rights, an
injunction is almost always prohibitory (as opposed to mandatory) since it enjoins the
commission or continuation of wrongful act.
When the plaintiff is a copyright or neighboring right owner, he can be granted injunctive relief
easily by showing a prima facie case of infringement or of threat of infringement of his rights.
The grant of injunction is very likely in copyright and neighboring right cases because such
infringements in the majority of the cases threaten the owner with irreparable harm. This is
owing to the fact that copyright and neighboring right infringement entails mostly a damage of
non-pecuniary or damage that cannot be translated directly into money. Thus for irreparable
harm is the key for obtaining injunctive relief, such an assumption tends to make injunctions
more likely in copyright and neighboring right cases than others.
But the court, before granting injunction, must be shown that the defendant intends to continue
his infringement or resume it and thereby cause the plaintiff damage. This does not mean that
damage need be proved because injunction can be given to prevent damage with which the
plaintiff is threatened. It follows that the right of the owner of the copyright or neighboring right
is not determined or measured by the amount of actual damages to him by reason of the
infringement.
With this general picture of injunctions in mind, we can categorize injunction depending on the
time of their operation. These may be called interlocutory (preliminary) and permanent (final)
injunctions.
In order to minimize the damage being inflicted by piracy, it will be important for a copyright
and neighboring right owner to take swift action in seeking to prevent its continuation. As long
as piracy continues, he will be deprived of a portion of his potential market, and thus of the
capacity to recover the economic reward for his creativity or investment. The aim of the
interlocutory injunction is to meet this need by granting speedy and temporary relief during the
period before a full trial of an infringement action takes place, thus preventing irreparable
damage from occurring to the plaintiff’s rights.
One of the difficulties which have been experienced with interlocutory proceedings is that they
have tended to become themselves lengthy inquiries involving rather full consideration of the
facts of the case with the result that their effectiveness as a means of obtaining temporary relief
is prejudiced. In many common law jurisdictions, this has caused a reassessment of the principles
on which interlocutory relief is granted and, in particular, of the standard of proof which a
plaintiff is required to establish in order to obtain interlocutory relief.
In this jurisdiction, previously, a plaintiff was required to establish a prima-facie case that his
copyright was being infringed, that is, to establish on the balance of probabilities that his case for
infringement could be defended. In order to overcome the delays and the lengthy proceedings
which this standard of proof involved, many jurisdictions have now required that a plaintiff
establish only that there is a ‘serious question’ to be tried. In other words, the merits of the legal
issues involved in the case need only be considered at the interlocutory stage to the point where
the court is satisfied that the plaintiff’s claim for infringement is not frivolous.
Thereafter, the decision as to whether an injunction should be granted is taken on the basis of the
factual circumstances of the case, and whether, in particular, each party could be adequately
compensated in damages for the temporary impairment of his right where he is unsuccessful at
the interlocutory stage, and later proved to be successful at the trial. The adoption of this
approach to interlocutory proceedings assists in avoiding excessive delays in obtaining relief
during the period which is most important for the copyright owner, namely, the period
immediately following the initial publication and marketing of his work
Preliminary injunctions as a remedy are of the utmost importance to the protection of author or
copyright owner’s rights. The period from the time of commencement of proceedings to the final
determination of a case can allow significant damage in the term of lost sales and profits, to
reputation and through other exploitation of material and /or information. Furthermore, the
nature of the infringement or other unlawful conduct may be such as to make damages or an
account of profits an inadequate remedy. One of the reasons for this is that the defendant may be
impecunious or may disappear. But these will not be the only reasons why, in particular case,
damages may not be an adequate remedy. More often, this is because of the difficulty of reaching
a precise estimate of the loss suffered as a result of an infringement. If in such a case, the
defendant’s unlawful conduct is restrained at the outset, the problem of damages may either
disappear from the case altogether or be very much less difficult than otherwise would be the
case.
The primary matter with which the court is concerned in granting an interlocutory injunction is
the maintenance of a position that will most easily enable justice to be done when the final
determination is made. Thus, a court will sometimes order that an earlier position be restored to,
or that the parties arrange their affairs in some other way that is more in accordance with the
requirements of justice.
In the UK, in an increasing number of cases interlocutory injunctions were not sufficient to
protect copyright and neighboring rights against the threat of continuing infringement. This is
often because the evidence needed to sustain an application for both interim and final relief is not
readily available and will not become available through the unusual processes of discovery. In
such a case the plaintiff will be unlikely to obtain an interim injunction because he will not have
the necessary evidence. Sometimes the defendant will remove or destroy the infringing material.
In recent years a speedy and effective means of obtaining and preserving such evidence has been
developed by courts in the UK. The belief granted is an exparte order for entry and inspection of
premises and removal of evidence. These orders are known as Anton Piller order, and may be a
necessary step before an interlocutory injunction can be obtained. (See the previous section on
provisional order)
Similarly, the collection of evidence and even a final judgment in favor of a plaintiff may be no
avail if the defendant has no assets which can be used to fund any damages ordered. This is a
serious problem given the increasing resourcefulness of those attempting to avoid their
obligations, the ease with which money can be moved from one country to another, and advances
in technology. In order to address these problems the courts of common law countries have
formulated and developed “the Mareva injunction which operates to prevent defendants from
removing assets from the jurisdiction or from disposing or dealing with them within the
jurisdiction in such a way as to frustrate any judgment that may be entered against them”. This
kind of remedy is also in a more similar manner provided under Art.154 of the civil procedure
code of Ethiopia as a temporary attachment of the property of the defendant.
In Ethiopia, it is the interlocutory injunction which is most effective because of its immediacy,
speed and low cost. In practice, it often has the effect of setting the case, as the defendant,
deprived of the opportunity to make a quick profit, desists and allows final judgment to be given
against him without trial. Interlocutory injunction is issued when the infringement case is
pending or before the trial begins and where the plaintiff applies for order, which prevents the
continuance of the alleged infringement until the final decision is given.
Article 33 of the Proclamation provides that an injunction may be granted to restrain the
defendant from continuing to commit or as a preemptive measure to restrain him from resuming
an act prejudicial to the plaintiff. Thus in Ethiopia injunction is prohibitory in nature and it is a
discretionary remedy because the court “may” grant it. In short, this provision is not a mandatory
provision compelling the court to grant injunction. This discretionary nature of the remedy is
easily graspable from Sub-art 3 (a) and (b) of Art 33 of the Proclamation wherein it is stated that
an injunction is to be granted only where there is likelihood of the commission of an act
prejudicial to the plaintiff and where the injury with which the plaintiff threatened interest is
incapable of redress “by awarding damages”. To put it differently, the court in determining
whether the interlocutory injunction should be ordered or not, shall consider that the threatened
interest of the plaintiff cannot be redressed by awarding damages, whether the threat is
imminent, whether there is prima-facie strength of the action and the gravity of the prejudices a
decision for or against may cause to the plaintiff or the defendant. (Art 33(3) of the
Proclamation)
Hence there are four requirements:-firstly, the interest threatened should be an interest whose
injury cannot be redressed by awarding damages. Secondly, there should be prima-facie strength
of the action. This means there is a real prospect of success for the plaintiff in his claim. Thirdly,
there is an imminent danger to interest-here the court should make sure that the danger to the
right certainly will occur if the injunction is not ordered. Interlocutory injunction cannot be
ordered for harm whose occurrence is not certain. The last requirement is the gravity of the
prejudice that will result from the injunction on both the alleged infringer and the right owner.
Interlocutory injunction is granted to protect the right owner whose rights are endangered or are
infringed. This need to protect the right owner must be weighed against the corresponding need
of the alleged infringer to be protected from injury, which will be the result of his being
prevented from exercising that act against which the suit is brought.
The Proclamation provides means of protecting the alleged infringer’s right in such cases. The
plaintiff may be ordered to compensate the defendant when the interlocutory injunction has been
ordered and any injury has been caused by the order and such order has been revoked or may be
when the case is decided against the plaintiff. (Art 33(7) of the Proclamation) But there might be
cases where injuries caused to the defendant are moral injuries which cannot be redressed
monetarily. In such cases the court should see both sides and consider the gravity of the
prejudice, which will result from the order of injunction.
Until the court renders a final judgment of the infringement cases, the right holder can apply to
the court to restrain the infringement against the defendant in a suit for enjoining the defendant
from committing an infringement. The temporary injunction will stay from the date of the
injunction ordered by the court till the suit is finally disposed by the court.
In deciding an application for temporary injunction, the court shall consider if the threatened
interest cannot be redressed by awarding damages, whether the threat is imminent, the prima
facie strength of the action and the gravity of the prejudices which a decision for or against may
cause to either of the parties. After considering the above conditions, the court may grant
injunction that might include on such terms as to the duration of the injunction, the amount of
money required from the defendant, keeping an account, giving security or otherwise, as it thinks
fit as per Art.33(3)(b) of the Proclamation. The word “may” in this provision shows the
discretionary power of the court for granting temporary injunction.
However, according to Art 33 (3) (c) of the Proclamation, should the application of the above
criteria put the parties on equal position, the court has to investigate the relative strength of the
parties deeply before granting a temporary injunction.
In order to find out the commission of an infringement, there will be necessity of search and
seizure. In this regarded, the provisions of the civil procedure and criminal procedure codes on
search and seizure shall be applicable. (Art 33(4) of the Proclamation) In other words, courts
must be able to order the search, seizure and impounding of suspected unauthorized copies of
works and other protected subject matter, of packaging materials, of implements for the making
of such copies, of documents, accounts or business papers relating to such copies.
Permanent injunction is issued if the right owner succeeds at the trial in establishing
infringement of right and to restrain future infringement. It is granted to be effective permanently
in the future to deter the defendant from continuation of commission of an act prejudicial to the
plaintiff.
In the normal course of things, a successful plaintiff will be entitled to a final injunction. If an
injunction were not granted to a successful author or copyright owner, the result would be
tantamount to enabling the defendant to take a compulsory license under the recordings without
having to go through the statutory provisions relating to compulsory licenses. Should the
injunction be breached, the plaintiff can move for contempt of court.
Needless to state, it is immaterial whether or not this injunction was preceded by the preliminary
injunction. A preliminary injunction might have been denied by the courts for one reason or
another, or it has never been sought by the plaintiff. Irrespective of the absence of a preceding
interlocutory injunction, therefore, a permanent injunction might be granted if the plaintiff
proves successful in the litigation of copyright and neighboring right infringement.
How is an injunction treated under Art.34 of the Proclamation? Is it temporary or permanent?
How is awarding such injunction taken as temporary, as it is part of the judgment of the court
since it says the court can grant injunction like compensation? The injunction under this
provision should be permanent damages. However, the Amharic version says temporary
injunction ‘giziawi eged´.
C) Damages
Damages are pecuniary compensation, which may be recovered in the courts by any person who
suffered an injury, loss or detriment whether to his person, property or rights through unlawful
act or omission or negligence. Damages is a redress or compensation awarded to remedy an
injury.
Injury to a person’s material interest affects his ‘pocket’ whereas injury to a person’s moral
interest affects his feelings. Material injury can be assessed monetarily and compensated by
money. But in case of moral damage or harm since feelings have no money value, they cannot be
assessed monetarily and basically we cannot compensate moral harm with money.
There is however no universally appropriate test or formula for assessing damages. Damages in
any of these fields are notoriously difficult to assess with any degree of accuracy and the courts
have sensibly taken this into account by declining to lay down general rules.
In certain jurisdiction, a common approach has been to assess damages on the basis of a notional
arm’s length license: this will arise for example when the parties are competitors. Damages for
past infringement are taken based upon a payment of a royalty in respect of, for example, each
infringing article. But problems do arise here – particularly when in reality the plaintiff would
never have granted a license. Another approach which is more difficult to prove is through
consideration of sales lost to the plaintiff; in this case the plaintiff is entitled to the entire lost
profit.
We can talk of different kinds (categories) of damages depending upon the type of purposes they
serve or the kinds of injury they remedy.
i) Material Damages
A person whose neighboring right on copyrightable works is infringed may claim material
damages for the economic prejudice caused to him. (Art 34(1) of the Proclamation) When a
person other than the author or copyright owner in copyrightable works exercises the exclusive
right of the author or copyright owner, he may cause a number of injuries to the economic
interest of the author or copyright owner. Material damages are there to remedy this pecuniary
injury to the author or copyright owner. When the material interest of an author or copyright
owner is affected by an infringement, the infringer will be ordered to compensate him.
The material damage that the author or copyright owner suffered in the hands of the infringer
may be present or future. Present material damage is further divided into damnum emergens (the
Latin term for occurrence of loss, that is, diminution of estate) and larcum lessans (the Latin term
denoting the prevention of gain that is, non increase of estate). However, the plaintiff’s damages
is not limited to this present injuries only but future damages may be claimed without waiting it
to materialize so long as it is certain to occur. The existence of future damage should not be
controversial.
A victim of copyright and neighboring right infringement can collect damages both for damnum
emergens and larcum lessans if he is successful in showing that the act of infringement has
caused him both kinds of material damages. Besides, he can claim future damages, if any. The
dividing line between present and future damage is the date of judgment assessing damage.
The assessment of damages in copyright or neighboring cases invariability demands at first step
an election by the successful plaintiff as to whether he will take an enquiry as to damages on the
one hand, or an account of profits on the other. (Art 34(3) of the Proclamation) These
alternatives are of course mutually exclusive since by electing to go for an account, the plaintiff
has adopted the defendant’s acts as his own. The choice in each case will depend upon the facts.
Sometimes, for instance, time may be of the essence and the trial as to liability may have itself
generated enough material evidence to enable a plaintiff to move speedily for an account.
Sometimes a defendant may have been able to secure more sales of the product in issue during
the infringing period than the plaintiff could possibly have done. In such cases, the plaintiff will
again be likely to choose an account rather than an inquiry – which will incidentally be for net
profits.
Some argued that the Proclamation refers only to material damage which has occurred or which
is present damage and it ignores the future damage that may materialize in the future. This
argument is not sustainable because future damage is one part of the material damage and
compensating material damage is clearly provided under Art 34 of the Proclamation. If future
damage is not incorporated in the Proclamation, this is prejudicial to the right owner whose right
is infringed because sometimes it might be difficult to conclude that an injury will not occur
from an act which is presently committed. And if the law ignores future harm that is certain and
that may affect the right owner’s interest when it assess compensation, it is to let the infringer go
without compensating the harm he caused. So the law considers damage as a damage suffered
now and the harm that is certainly going to happen in future. Assessment of future damage may
be difficult but there are mechanisms that might be followed in such cases. For example, the
court can grant a provisional award and authorize the plaintiff to submit an application of
reconsideration of the award when the harm materializes.
Considering the damage caused and the profit gained by the defendant the court will assess the
compensation. The Proclamation provides for an adequate compensation to the plaintiff for the
material damage including payment of the right holder’s expenses and the profit gained from the
infringing act. (Art 34(1) of the Proclamation) “Adequate” refers to the equivalent amount to the
damage suffered.
In cases where there is no any pecuniary damage on the part of the plaintiff, for example, a
copyrightable work, which was published before 20 or 30 years, may not be a source of an
economic benefit to the author or copyright owner. So, in cases of infringement, the plaintiff is
unable to show loss. But his property right has been a gold mine to infringers. And if he is
allowed to claim from the defendant only when he incurs a loss, this will be indirectly denying
the property right on the copyrightable works. Thus, to avoid this, the law should entitle the right
holder (author or copyright owner) to claim enrichment of an infringer.
Accordingly, the right owner in lieu of the compensation referred may claim for the replacement
of unjust enrichment derived from the act of infringement. Unjust enrichment in this case refers
to the extent the infringer could have paid as a royalty to the right owner had he asked for an
authorization. (Art 34(2) of the Proclamation)
The right owner according to Article 34(3) can also ask an alternative claim of the net profit
gained by the infringer from the act of infringement. This may be preferable when the profit
gained from the infringing act is greater than the material damage suffered by the right owner.
This has been controversial since there were two principles conflicting which are the principle
that the right owner should not recover what he did not loose and the principle that the infringer
should not keep the benefit that is derived from an act of infringement. But the Proclamation has
resolved this issue. According to the Proclamation, if the right owner prefers, can claim net profit
the infringer gained from his act of infringement.
Where the person infringing does not know that his act amounts to infringement or he has no
reasonable ground to be aware of the fact that his act amounts to infringement, he will not be
ordered to compensate the damage he caused except for the payment of the profit he gained from
the act of infringement of the right of the author or copyright owner. (Art 34(5) of the
Proclamation)
Given the principle that moral injury cannot be compensated with money, because feelings have
no monetary value, courts are allowed to award monetary compensation for moral injury. The
infringer should not be relieved of compensating the right owner even if the compensation he
pays may cure the material injury caused completely. Some argued that moral damages are
awarded only to performers (from the neighboring right owners) whose rights have been
infringed since they are the only persons who have moral rights under the Proclamation. This
arises from the argument that moral damages are awarded only where the moral right of a
copyright or neighboring right owner is infringed. This argument is not reasonable as it does not
achieve the purpose of the Proclamation. The other argument is that the nature of material
damage is related to loss of material wellbeing (commercial value of the property) whereas moral
damage is related to that damage that affects persons feelings or emotions irrespective of the
nature of the right infringed. Even the Proclamation does not limit the payment of moral
damages only when the moral right of the copyright and neighboring right is violated. Therefore,
as long as the author or copyright owner is a natural person and his feelings or emotions are
affected because of the infringement of his rights, he has to be paid moral damages.
Compensation in case of moral damage is assessed based on the extent of the moral damage
suffered and shall not be less than birr one hundred thousand. The amount specified under the
civil code, according to Art 2116(3) was not more than one thousand birr. This amount might
have been enough to compensate the victim at the time of codification of the Civil Code but it is
unfair if we use this amount to compensate a victim now with all the devaluation of the birr and
other economic changes. However, according to the Proclamation, the court is expected to
reward compensation not less than one hundred thousand birr, for moral damage and potential
infringers will be deterred. However, the court denied the plaintiff moral damages, as it can be
seen from Annex A, in the case of Zeritu Kebede v Elias Derso.
The Proclamation provides that the court shall make the copies outside the channel of commerce,
order their destruction, or other reasonable disposition. Where the author or copyright owner
requires otherwise, let us say where he wants the infringing copies to be delivered to him, the
court shall allow him. There is no need to allow the defendant to keep these copies, and if
allowed, it may open a room for further distribution of these copies by the defendant thereby
bringing about further infringement. Thus such copies need to be destroyed at the expense of the
defendant.
The only limitation on this right of the author or copyright owner is the right of third parties who
acquired the infringing copies in good faith. In this case the author or copyright owner cannot
claim for delivery up or for destruction of these copies even if they are infringing or illegal
copies. The rationale behind this is to protect third parties who acquire the illegal copies in good
faith.
Providing destruction of the infringing copies as a remedy is very important especially for the
plaintiff since it prevents the dissemination of infringing copies. However, it is far from complete
for it fails to address some questions: Who should do it? At whose expense should it be done?
This opens the door for arbitrariness. There are possibilities that the court will order the
defendant to destroy it at his own expense or to return the infringing copy and destroyed by the
plaintiff. However, if it is left to the defendants would he be honest to do it? Some suggest for
Ethiopia to incorporate an approach, adopted in many foreign countries, which involves the
delivery of the copies to the plaintiff so that the latter destroys them. This view surely avoids the
possibilities of the resumption of engagement by the pirate in infringing act. In fact, this solution
may not always be pragmatic. For, the confiscation of the entire copies may be practically
impossible. Nevertheless, it is the best option in the circumstances.
way to counter acts of infringement, because it is frequently easier to prevent the distribution of
infringing copies at the border than after the copies have already been brought into the country
and put into circulation. Border measures are usually carried out by administrative authorities
(customs authorities) and not by judicial authorities. In most national legislations on this issue, a
number of safeguards and appropriate procedural rules are normally found which ensure the
fairness and effectiveness of measures applied by such authorities.
The customs authority, where there are, in the opinion of the right owner, infringing goods, shall
retain under its control the alleged infringing goods where the right owner submits an application
to this effect. (Art 35(1) of the Proclamation) The customs authority after informing the right
owner and the owner of the retained goods about the situation will look into the evidences
presented by the applicant if any. If the evidence is not justifiable evidence or if there is no
evidence provided by the applicant, the authority will lift the measure within ten days. (Art 35(3)
of the Proclamation)
The applicant will be responsible for the damage caused by the retention of goods where the
application is proved unfounded.( Art 35(4) of the Proclamation) However, if ordered by court,
the customs authority will confiscate the infringed copyrightable works. (Art 35(5) of the
Proclamation)
Civil remedies are not always sufficient deterrents. Where infringement becomes a business, the
closing down of one plant with the assistance of courts and law enforcement authorities may
only mean that the plant will reopen somewhere else. Infringement committed willfully and with
profit-making purposes should be punished by criminal sanctions, and the level of such sanctions
must make it clear that such infringements are serious offenses. It is normally preferable that
criminal sanctions are also applicable in case of infringements committed through gross
negligence, for profit-making purposes, because it may be difficult to prove that infringements
are committed willfully. Increased punishments in cases of recidivism are also justified. The
criminal sanctions available should compromise both fines and imprisonment, and, where
merited by the case, courts should be able to impose both these sanctions on the infringer.
Criminal sanctions should – and in most countries do – include both fines and imprisonment, the
maximum of which may be up to several years. If criminal sanctions are to work satisfactorily,
the objective criteria for the infringement must be clearly defined. This means, in particular, that
the rights should be framed and described in a clear and unequivocal way so that it is obvious
which act or acts are those acts that must not be undertaken without the authorization of the
author or copyright owner. Also, the so – called subjective criteria must be determined clearly.
The criminal provisions for infringement apply not only to acts which are committed willfully
but also to those committed with gross negligence. The sanctions should be applicable not only
to the person who directly committed the violation but also to those who contributed to it, for
instance by providing equipment used for unauthorized reproduction with full knowledge of the
intended use of that equipment.
The criminal sanctions have mainly a repressive function. Such a function is very important in
the interest of the society and also for the author or copyright owners in order to ensure respect
for the law. The Proclamation provides criminal remedies for infringements of rights. The
rationale behind providing for criminal remedies beside the civil remedies is the fact that
infringement of intellectual property rights is considered to be theft of intellectual property and
since theft is a crime, criminal punishments should be provided. Hence if someone infringes
neighboring rights of the author or copyright owner, he will be criminally liable and will be
punished according to the punishment specified under the Proclamation.
Criminal remedies for neighboring right infringement are provided under Art 36 of the
Proclamation. According to this article, if someone intentionally violates the neighboring right
protected under the Proclamation, he will be punished with rigorous imprisonment of years of
five up to ten. And also whosoever, by gross negligence violates neighboring right will be
punished with rigorous imprisonment of a term of one year up to five years. However, under the
criminal code whoever violates the rights of author or copyright owners intentionally is
punishable with rigorous imprisonment not exceeding ten years and for gross negligence not
exceeding five years. In this case there is the possibility that the punishment may be less than
five or one year respectively. How is the contradiction on the terms of imprisonment being
resolved?
The other modes of punishment included under the Proclamation are seizure, forfeiture and
destruction of the infringing goods and any material and implements the infringer used in the
commission of offence. (Art 36(3) of the Proclamation)
With regard to criminal case, the public prosecutor should bring the case with in 15 years of the
occurrence of offence of infringement where the offence is committed intentionally and within
ten years where the offence is committed with gross negligence.
Review Questions
1. Would the remedies put in the copyright proclamation be exhaustive ones? If so, how do
you see nominal damages?
2. Some people argue that copyright cases on the relief of damages should be entertained by
Federal First Instance Courts if the pecuniary value is less than 500,000 Birr. How do you
see its validity?
3. Is the moral damage put under Art 34 of the proclamation a punitive damage? How do
you see its extent?
4. Discuss the difference between present and future damages.
5. Some people argue that moral damages should be paid only when moral right are
infringed. How do you evaluate this?
Patent is one of the major subject matters of intellectual property law that grants a limited
monopoly in return for the disclosure of technical information. While the protection provided by
a patent, which is limited to 15 years, is not as long as the protection provided by copyright law
or possibly trade mark registration, the righst granted are more extensive. The rights granted to
the patent owner cover most commercial uses of the patented invention. Furthermore, the rights
will be infringed irrespective of whether or not the defendant copied from the patented invention.
Unlike copyright, which arises automatically on creation of the work, patents are only granted
after the applicant satisfies the requirements of registration.
Over time, a number of justifications have been given in support of the patent system. The most
common justification considers patent as an incentive for disclosure of technical information that
is significant in industry, agriculture or social sector. It is argued that the public benefits by the
disclosure of the invention that occurred on publication of the patent application. In a nutshell the
justification focuses on the role that the patent system played in the generation and circulation of
technical information that are useful in the field of technology.
This unit intends to introduce the students of law to the basics of patent law. In this, it endeavors
to help them understand the nature of patent law, and the idea of patentability, the exclusive
rights of patent holders, and infringement of patent rights and the legal remedies. It also presents
a summary of international conventions on patent law.
With these objectives, this unit is carefully outlined into three parts. The first part deals with
origin and meaning of patent, patent applications and the idea of patentability. The second part
covers the exclusive patent rights and the patent limitations. And the third part addresses the
issues of infringement and the legal remedies.
Objectives
After going through the Unit, you will be able to:
Grasp the basic notions of patent and the related right
The term patent was taken from a Latin word “Patere” which means “Open Letters”. As its
normal usage tells, open means make the invention available to the public and likewise, the term
Letter refers to grant of title, by a royal decree, for exclusive use of the invention by the owner of
the invention. From this patent can be seen as a monopoly offered by a crown as a reward to its
subject for making useful inventions to the crown. However, unlike the present patent law,
granting patent was exclusively the prerogatives of the crown. There were no formal procedures
for granting patent right. And the scope and the duration of privileges under the patent were not
known to the public. Everything has to go as per the wishes and whims of the crown. As such,
patents were frequently granted to those who demonstrated strong solidarity with the crown even
over activities performed by other individuals. This system went well up to the fifteenth century.
However, with the proliferation of inventions and the increase in the corresponding request for
patents over the course of sixteenth and seventeenth centuries, the crowns prerogative was
openly challenged. Eventually the crown was deprived of its prerogative on patent granting. Yet,
the changes over the sixteenth and seventeenth centuries were not satisfactory, as there were no
clear rules pertaining to the requirements, and scope of patent right.
Substantial change in the patent system occurred by the nineteenth century. Indeed the patent
system that exists today is largely a by-product of the developments in the nineteenth century.
One of its glaring changes that took place over the course of the nineteenth century was that
patent was seen as a product of technical and administrative processes than crown prerogatives.
Another important event that happened in the nineteenth century was that several books were
written which underpins much modern fundamental notions of patent, including the strongest
critics to the patent system.
From the above definition, we can put the characteristics of patent into three elements. Unlike
the crown grant patent, the definition makes patent a statutory right, i.e. a right created by the
highest law making body (or a legislator) of a state. It also provides that patent may relate to a
product or to a process. And it recognizes the most important element of patent right that is
exclusive right to use, make and exploit the invention. However, the definition does not clearly
state the limitations to the patent right on grounds of public interest, and even by the lapse of
duration.
Unlike the definition given by the United States patent office, our patent law, under proclamation
Number 123/1995, provides a very general definition of patent. According to Art.2 Sub.Art.5 of
the inventions, minor inventions and industrial design proclamation No.123/1995,
Patent means the title granted to protect inventions; the inventions may relate to a product or a
process.
From the above definition, it would be very difficult to ascertain the rights that the patent confers
on the inventor or the owner of the patent. It does not even state that patent guarantees exclusive
right to use, make or otherwise exploit in a manner that the patent owner wishes. Moreover, it
does not suggest if patent rights could be limited on grounds of public interest or other
considerations. Rather, it pushes us away forward to the other sections of the proclamation that
together builds a comparatively full and rich concept of the term patent. With this we can define
the concept of the term patent from the cumulative reading of ----and----provisions that can be
put as follows:
Patent is a legal title that confers on its holder the exclusive rights to make, use or other wise
exploit in a manner he/she wishes over a limited period of time. It may relate to a product or a
process.
8.3 Justifications
Since the nineteenth century, a number of justifications have been expounded in support of the
patent system. At times the naturalist dominated the intellectual debate with their assertion that
the inventor has a natural right to the products of his mental labor. However over the years, the
most common argument focused on the public benefits that flow from the grant of patent
monopolies. According to this approach, patent is justified in terms of its utility to the public.
The patent system is still the object of wide theoretical debate that hosts the arguments of its
proponents and a bludgeon of critics by its opponents. Some of the most common justifications
and critics are stated as follows.
Economic rationale
One of the most important sets of economic arguments in favor of patents are called
“consequentiality” theories. This theory attempts to justify intellectual property rights on the
basis of the “good” consequences flowing from their recognition, which can be generally
identified by the advancement in knowledge, industrial progress and economic efficiency. There
are two main branches of it, the “utilitarianism” and the “teleology”, which both concentrate
upon the incentives provided by the law but differ in the way these “good” consequences are
identified.
While utilitarianism, also recognized in the modern theories of Law & Economics, measures the
good in terms of satisfaction of human preferences, without any judgment on their content,
teleological theories focus on the evaluation of what should be identified as good in the
prospective of the proper purpose of human life.
ones, and on other factors such as national policies, the access system and the technological state
of countries. Thirdly, patents encourage the investment in innovation by emphasizing post –
inventive activities and considering all of the steps required for the commercial exploitation of
the new creation during the patent monopoly. This patent advantage is expressed in the
“incentive –to – innovate” theory
In conclusion, the grant of patents with a broad scope may perform a prospect function in terms
of affording investments in further research, avoiding duplicative researches and coordinating
this activity with other firms during the development of the discovery. Moreover, patents may
simplify and stimulate bargains by eliminating the risks involved in the negotiations between the
patentee and society.
Philosophical perspectives
Some fundamental arguments in favor of patents deal with philosophy and are commonly known
as the “natural law” or the “moral rights” theory: the inventor is rewarded for the idea
incorporated in his invention because it is an expression of his natural rights, belongs to him and
could otherwise be stolen. Two different applications of this theory can be determined: the first,
the “Lockean labor theory” considers the inventor’s property right as the reward for the
difficulties and the efforts due to the labor, while the second, the “Hegelian personality theory”,
connects the patent right to an expression of the human personality. Unfortunately, both theories
present some weaknesses in terms of policy implications and economic incentives; for instance,
the Lockean theory does not clarify whether the reward refers to the past work of the inventor or
to save future researches of others.
Critics
The justifications that underpin the current patent system are often subjected to mass critics by
vocals and scholars. Some of the critics challenge the existing patent system as excessive and
broader in scope, whereas others reject it as undesirable. The points of critics are entertained
with a fair detail as follows.
It stifles competition
From a general point of view patents create monopolies in favor of the patentees and potentially
distort competitive markets. In fact, the patent holder may increase prices as a consequence of
the monopolistic power and also limit the use of the invention by the public. The issue is who
may afford if the monopoly charges an exorbitant price for the use of its invention. And from this
it follows that if we cannot use the invention because of the monopoly, what else stimulates us to
grant the monopoly that turns out against our use. The opponents, therefore, challenge the patent
system as repugnant to consumers.
the invention (the patent specification), together with official forms and correspondence relating
to the application. The term patent application is also used to refer to the process of applying
for a patent, or to the patent specification itself.
In order to obtain the grant of a patent, a person, either legal or natural, must file an application
at a patent office. Under our patent system, patent applications are processed by the Ethiopian
office of intellectual property.
Patent specification
A patent specification is a document describing the invention for which a patent is sought and
setting out the scope of the protection of the patent. As such, a specification generally contains a
section detailing the background and overview of the invention, a description of the invention
and embodiments of the invention and claims, which set out the scope of the protection. A
specification may include figures to aid the description of the invention, gene sequences and
references to biological deposits, or computer code, depending upon the subject matter of the
application. A title must also generally be provided for the application.
Claims
The claims of a patent specification define the scope of protection of a patent granted by the
patent. The claims describe the invention in a specific legal style, setting out the essential
features of the invention in a manner to clearly define what will infringe the patent. Claims are
often amended during prosecution to narrow or expand their scope.
The claims may contain one or more hierarchical sets of claims, each having one or more main,
independent claim setting out the broadest protection, and a number of dependent claims which
narrow that protection by defining more specific features of the invention.
Filing date
The filing date of an application is important as it sets a cutoff date after which any public
disclosures will not form prior art. Usually the right to a patent for an invention lies with the first
person to file an application for protection of that invention (See: first to file and first to invent
rule). It is therefore generally beneficial to file an application as soon as possible.
Almost every country other than the United States uses a first-to-file system. This means that,
regardless of who invented first the person or legal entity who files a patent application first is
the one who can be granted a patent for the invention. The advantage of this rule is that it
encourages speedy disclosure of information.
According to the first-to-invent system, the person who conceives the invention first would be
granted patent. Under the United States patenting system, invention is generally defined to
comprise two steps: conception of the invention and reduction to practice of the invention. When
an inventor conceives of an invention and diligently reduces the invention to practice (by filing a
patent application, by practicing the invention, etc), the inventor's date of invention will be the
date of conception. Thus, provided an inventor is diligent in reducing an application to practice,
he or she will be the first inventor and the inventor entitled to a patent, even if another files a
patent application (reduces the invention to practice) before the inventor.
Harmonization efforts are underway with the goal being to unify the patent laws of various
nations so that inventors have the same rights regardless of which country a patent is granted in.
B.Priority right
A priority right or right of priority is a time-limited right, triggered by the first filing of an
application for a patent. The priority right belongs to the applicant or his successor in title and
allows him to file a subsequent application in another country for the same invention, for this
subsequent application, from the date of filing of the first application for the examination of
certain requirements. When filing the subsequent application, the applicant must "claim the
priority" of the first application in order to make use of the right of priority.
According to article 11 of the patent proclamation, the period of priority, i.e. the period during
which the priority right exists, is 12 months for patents. The period of priority is often referred to
as the "priority year".
When a priority is validly claimed, the date of filing of the first application, called the " priority
date", is considered to be the "effective date of filing" for the examination of novelty and
inventive step or non-obviousness for the subsequent application claiming the priority of the first
application. In other words, the prior art which is taken into account for examining the novelty
and inventive step or non-obviousness of the invention claimed in the subsequent application
would not be everything made available to the public before the filing date (of the subsequent
application) but everything made available to the public before the priority date, i.e. the date of
filing of the first application.
The basic purpose of the right of priority is to safeguard, for a limited period, the
interests of a patent applicant in his endeavor to obtain international protection for his
invention, thereby alleviating the negative consequences of the principle of territoriality
in patent law.
Patent pending
Patent pending is a term used to describe an alleged invention that is the subject of a patent
application. The term may be used to mark products containing the invention to draw
competitor's attention to the fact that they may be infringing a patent if the product is copied after
the patent is granted. Our patent system does not explicitly provide for a right to claim patent
pending right. However, having regard to its purpose, it seems to be appropriate to issue patent
pending mark. .
Under our patent system, too, the patent granting office is supposed to undertake a search for the
existence or otherwise of any anticipatory event in the prior art. However, there is no indication
if the office publishes its search like in other jurisdictions.
C. Grant of patent
Once the patent application complies with the requirements of the relevant Patent law, a patent
will be granted to the applicant. The date of issue effectively terminates prosecution of a specific
application, after which continuing applications cannot be filed, and establishes the date upon
which infringement may be charged.
Post-issue or grant
Many jurisdictions require periodic payment of fees in order to retain the validity of a patent
after it is issued and during its term. Failure to timely pay the fees results in loss of the patent's
protection. The validity of an issued patent may also be subject to post-issue challenges of
various types, some of which may cause the patent office to re examine the application.
In the previous sections we looked at the nature of the patent and the processes by which patents
are granted. Under this chapter we would analyze the grounds that determine the patentability of
an invention. These are that the invention:
I. Is New (Novel)
I I. Involves an inventive step (Non-obviousness)
III. Is industrially applicable, and
I V. consists of a subject matter that is patentable
A patent will not be granted if an application fails to meet any of the above requirements. Having
put this general remark, we now turn to look at each requirement with a fair detail.
A. Novelty
Novelty is the basic patentability test, according to which an invention is not patentable if it was
already known before the date of filing or before the date of priority if a priority is claimed, of
the patent application. It requires that the invention must be new and never existed before at the
time when an application for obtaining patent is filed. By ensuring that patents are not granted
for products or processes which are already known, novelty helps to ensure that patents are not
used to stop people from doing what they had already done before the patent was granted.
Now the point that needs to be addressed is how to determine that an invention is novel. We
must ascertain whether prior disclosure over the same subject matter anywhere in the world or
only in our jurisdiction bars applications filed today.
Prior Art
Not surprisingly, the concept of novelty as contemplated in patent laws is better understood in
reference to the idea of prior art. In connection to this Art.3 of our patent proclamation states:
An invention shall be considered new if it is not anticipated by prior art. Prior art shall consist of
anything disclosed to the public, anywhere in the world by publication or in tangible form or by
oral disclosure, by use or in any other way, prior to the filing date where appropriate, the priority
date, of the application claiming the invention.
As stated above, novelty is decided in light of prior art. Prior art refers to the state of art that
forms civilization before the application date. The categories of state of art seems to be
extremely broad and inclusive to include all matters (whether a product, process, information
about either, or anything else) which at the priority date of the application in question has been
made available to the public by written or oral description, by use or in any other way.
From the phrase ‘anywhere in the world”, we can correctly assert there are no geographical
limits placed on where the state of art must be disclosed. Hence, the state of art includes
information that is available anywhere in the world (In Ethiopia or elsewhere)
There is no restriction on the mode of disclosure. Information will become part of the state of art
irrespective of the way in which it was made available to the public. If the information is
accessible, then its age, obscurity, duration, language or location is irrelevant. Similarly there are
no minimum requirements on how widely the information must be published for it to be
disclosed. Thus a single copy of document or the sale of a single item will be sufficient for the
information to become part of the state of art.
While as a general rule novelty prohibits disclosure of information prior to the filing date
priority date of the invention, Sub Art.3 of the same provision provides for a grace period that
justifies disclosure of information within 12 months preceding the filing date, where applicable
the priority date. That is, if the inventor or the successor in title publishes the invention, an
application can still be validly filed which will be considered novel despite the publication,
provided that the filing is made during the grace period following the publication.
The expression "inventive step" is predominantly used, for instance, in Germany, in the United
Kingdom and under the European patent convention (EPC), while the expression "non-
obviousness" is predominantly used in the United States Patent law. Although the basic principle
is roughly the same, the assessment of the inventive step and non-obviousness varies from one
country to another. For instance, the practice of the European patent office (EPO) differs from
the practice in the United Kingdom
The European patent office almost always applies the "problem-solution approach" in order to
decide whether an invention involves an inventive step. The approach consists in:
1. Identifying the closest prior art, i.e., the most relevant prior art;
2. Determining the objective technical problem, i.e., determining, in the view of the
closest prior art, the technical problem which the claimed invention addresses and
successfully solves; and
3. Examining whether or not the claimed solution to the objective technical problem is
obvious for the skilled person in view of the state of the art in general.
This last step is conducted according to the "could-would approach". Pursuant to this approach,
the question to address in order to assess whether the invention involves an inventive step is the
following:
Is there any teaching in the prior art, as a whole, that would, not simply could, have
prompted the skilled person, faced with the objective technical problem formulated when
considering the technical features not disclosed by the closest prior art, to modify or
adapt said closest prior art while taking account of that teaching [the teaching of the prior
art, not just the teaching of the closest prior art], thereby arriving at something falling
within the terms of the claims, and thus achieving what the invention achieves?
If the skilled person would have been prompted to modify the closest prior art in such a way as
to arrive at something falling within the terms of the claims, then the invention does not involve
an inventive step.
The point is not whether the skilled person could have arrived at the invention by adapting or
modifying the closest prior art, but whether he would have done so because the prior art incited
him to do so in the hope of solving the objective technical problem or in expectation of some
improvement or advantage. This must have been the case for the skilled person before the filing
or priority date valid for the claim under examination.
"Non-obviousness" is the term used in the US patent law to describe one of the three
requirements that an invention must meet to qualify for patentability. One of the main
requirements of patentability is that the invention being patented is not obvious, meaning that a
"person having ordinary skill in the art” would not know how to solve the problem at which the
invention is directed by using exactly the same mechanism. The Graham Factors, shown below,
are used by courts to determine if the claimed invention is not obvious.
C. Industrial applicability
Industrial applicability or industrial application is a patentability requirement according to which
a patent can only be granted for an invention which is susceptible of industrial application, i.e.
for an invention which can be made or used in some kind of industry. In this context, the concept
of "industry" is far-reaching: it includes indeed agriculture for instance. In this regard Art.3 (5)
provides that
An invention shall be considered as industrially applicable where it can be made or used in
handicraft, agriculture, fishery, social services and any other sectors.
As the above provision shows, our patent system does not require that the invention should be
applied in industry. On the other hand, it can be argued that our patent system considers the
requirement of industrial application in terms of usefulness of the invention, more than mere
application on industry. According to the second argument, inventions which are not susceptible
of industrial application may be patented. Examples of such inventions include: methods for
treatment of the human or animal body by Surgery or therapy and diagnostic methods practiced
on the human or animal body. However, I f we hold the second argument, we must be ready to
accept that the use of the term industrial application is a misnomer or without any purpose.
of the largest lists of non-patentable inventions that it envisages. According to Art.4, the
excluded subject matters consist of the following list:
A. Inventions that are contras to public morality
B. Plant or animal varieties or essentially biological process for the production of animals
and plants
C. discoveries, scientific theories or mathematical formulas
D. Schemes, rules, methods of doing business; and computer programs
E. Methods of medical and veterinary treatment
F. Words protected by copyrights
the owners right to make the product? That is, when does the legitimate act of repairs or
modification switch to become the illegitimate making of the patented product?
The way these questions are addressed depends up on the circumstance of the case under
consideration. It seems that both quantitative factors, such as the amount of the product that is
repaired and qualitative consideration such as the relative importance of the part of the patented
product which has been repaired, are likely to be taken in to account. From this it follows that
repairing an immaterial part of a product does not infringe the patented product.
Assignment
An assignment implies transfer of the ownership of the patent (or application). Like any other
personal property it emanates from contract. As a result, the assignment contract entitles the
assignee to deal with the patent in a manner he thinks fit. Our patent law does not provide
specific forms and conditions. Never the less, it can be well taken that the general contract
applies, as there is no undertaking which does fall under the general contract where there is no
exclusion otherwise. In some jurisdictions, an assignment must be in writing. And where the
patent is owned by more than one party, for the assignment to be valid, all of the co-owners must
consent to the assignment.
License
Another common way in which patents are exploited is by license. A license provides a party
with permission to do an act that otherwise is prohibited. In contrast with assignment, no
proprietary interest is passed under a license.
With a view to discourage patent misuse, our patent law places, upon the patent owner, the duty
to work his invention or to authorize a third party to use the invention to make available patented
products (with a sufficient scale). Accordingly, if the patent owner cannot make available his
product in a sufficient scale, he must assign or license others to work the patent properly. Having
said this, it would be appropriate to assess the consequence of patent misuse.
Our patent law, under Art.-29 subArt.2, puts for the issuance of compulsory license that permits
other people other than the patent owner to exploit the invention in situations where the patentee
is either unable or unwilling to do so. While compulsory license is issued primarily to ensure
adequate supply of patented supply of patented products, it is believed that it stimulates the
patentee to work properly with his patent or voluntarily license the patent to others who are
capable and willing to provide the public with adequate products of the patent
B. Non-commercial uses
Art.25 (1) provides that patent right does not extentdto non-commercial uses of the patented
invention. Accordingly, a patent owner cannot prohibit non-commercial uses of his invention by
others. This exception is usually justified on the assumption that non-commercial use enhances
scientific knowledge over the inventive thought. For example, if a patent owner was to prohibit
(or charge) use of his invention at school, college or research institution, there would not be a
room for scientific critics and improvements over the whole inventive thought that underlies the
patent right. Another argument in favor of the non-commercial uses doesn’t pose much of a
threat to the patent monopoly. However, it is not going to be easy to distinguish non-commercial
from commercial uses. It may occur that a certain activity may have commercial and
noncommercial benefits. Our law is silent in this regard. In other jurisdictions, it is necessary to
ascertain the subjective intention of the user. If the infringer were motivated by commercial
interests, the defense would not apply. However, if the subjective purposes were non-
commercial, the defendant could rely on the immunity.
C. Experimental uses
The other exception, under Art.25, pertains to acts done for experimental purpose relating to the
subject matter of the invention. Supposedly, the most obvious justification to experimental use is
that the patent monopoly should not be allowed to inhibit scientific developments.
Our law does not define the scope of the experimental use exception. Under the British patent
system, the scope of the exception is determined in light of the purpose of the experimental use.
As such, if it can be shown that the purpose of the activity was to discover something unknown
or to test hypothesis, it would be regarded as an experiment, hence immune from liability. On the
other hand, if the activity is to prove something that is already known, to demonstrate to a third
party that the product works in the way the maker claims, or to obtain official? for a product,
these would not be regarded as acts done for experimental purposes.
D. Doctrine of exhaustion
Doctrine of exhaustion is another way of restricting monopolistic patent right. According to the
Doctrine of exhaustion, the patentee is unable to rely on the patent to prevent the resale of his
patented product where he freely disposes them to the market. This is because the sale of a
product carries with it an implied license to keep, use, and resell the product. Hence, a buyer,
once he lawfully acquired a patented product, will have an absolute freedom to use and exploit
that particular product in a manner he thinks fit.
Conventionally, the Doctrine of exhaustion takes two forms: Absolute exhaustion and national
(or domestic exhaustion). Domestic exhaustion applies to patented articles that are placed in
domestic market. Accordingly, a patentee loses the power to control a particular thing where he
voluntarily disposes it in domestic market. However, domestic exhaustion does not apply to
articles that are disposed in foreign market. This is to say that under the Doctrine of domestic
exhaustion, the patentee can prohibit importation of his patented product. On the other hand, the
Absolute Doctrine of exhaustion underpins the rule that a patent right over a product or process
exhausts where it is freely disposed to a market, domestically or internationally. As such, it
would be immaterial where the patentee has placed his product. Its consequence is that the
patentee cannot prohibit importation of his patented product from foreign market.
In many ways, absolute and domestic doctrines of exhaustion are mutually exclusive. As such,
patent law may not adopt at the same time both absolute, and domestic doctrine of exhaustion.
The most known deviation from this is the arrangements envisaged under many European Union
Member Countries. The British patent law, for example, incorporates both absolute and domestic
doctrine of exhaustion. The absolute doctrine of exhaustion applies with respect to articles that
are disposed in any EU member states. Accordingly, a patentee cannot control further
distribution or resell of a thing that he freely disposed in any EU member states. In contrast to
this, the domestic doctrine of exhaustion deals with the exhaustion of patent right over articles
that are placed in the UK market. In a way the domestic doctrine of exhaustion affects
importation of patented articles from non EU-member states. Consequently, under the domestic
Doctrine of exhaustion, patent right does not exhaust over articles that are placed in non-EU
Member states.
Our patent law envisages both absolute and domestic Doctrine of exhaustion for no distinct
reason. Art.22 (2) prohibits import monopoly, and from this it can be asserted that any patented
articles in Ethiopia may be freely imported from a foreign market. In furtherance to this, Art.25
(1) (c) provides that patent right does not extend with respect to articles that are placed in
Ethiopia. Obviously, Art.25 (1) (c) presents a typical character of doctrine of exhaustion. As
such, from the separate reading of Art.22 (2), and Art.25 (1) (c), one would ponder the question
of what the doctrine of exhaustion envisaged under our patent law is.
Undoubtedly, patent right always exhausts in respect of articles that are disposed in places where
the patent right works. However, there are different practices in relation to the exhaustion of
patented products disposed in international markets. In many developed countries, and in fact in
some African countries such as Kenya, Nigeria, and South Africa, patent law confers import
monopoly right. Its consequence is that the patent owner can prohibit import of articles that he
has voluntarily disposed in a foreign market. On the other hand, in many developing countries,
including ours, patent law denies import monopoly right. This means that patent exhausts in
respect of goods that are lawfully disposed to market, no matter where the goods are placed (in
domestic or foreign market). The reason for denial of import monopoly right in many developing
countries is thought to be to satisfy domestic market in sufficient scale of the patented product. It
is also argued that prohibition of import monopoly right triggers the patentee to provide the
domestic market in adequate scale so that he discourages import of his patented products.
Having the above points in mind, it seems to be odd to argue that our patent law adopts both
absolute and domestic doctrine of exhaustion. Under normal circumstances, there seems no
special purpose, like in the UK, that both absolute and domestic doctrines of exhaustion operate
in parallel under our patent system. This is because our patent law for the better or for the worse
is exclusively territorial. Both in fact and by law, our patent law does not have any effect in other
jurisdictions. Similarly, the issue of exhaustion of patent in our system arises in relation to the
power of the patent owner to prohibit importation of his patented product. In this regard, Art.22
(2) provides that patent owner can not prohibit import of his product. Thus, from the cumulative
and closer inspection of Arts.22 (2) and 25(1) (c), and the supposed purpose that they underline,
it can be well taken that our patent law adopts absolute doctrine of exhaustion.
From this provision it is important to note that prior user’s right is confined to personal use of the
prior act. It cannot be commercialized or transferred to others independently from the sale of the
business. However, it can be transmitted on death of the owner of the prior user or upon the sale
of the business. It should also be noted that it is available only where the acts were carried out in
good faith. Although the notion of good faith is yet to be interpreted by the courts, this may
prevent a member of a research team from relying on the prior user exception where he left the
research team contrary to an understanding between them.
As the scope of patent depends on the claims contained in a patent application, their
interpretation might be crucial. In theory it seems to be easy to decide whether a given device or
process infringes the claims of a patent. With this it would be only necessary to read the claims,
and to apply them to the device or process. For each element under the claims, there must be a
corresponding element actually present in the alleged infringement.
However, in practice patent infringement creates dense of complications to the court and the
lawyer. In part, the problem arises due to the indeterminacy (lack of precision) of terms and
words used to define the claim, and largely the problems in infringement arises out of the
doctrines that have been crafted at different times, and which either extend or narrow the general
rule for ascertaining infringement.
Our patent law protects the patentee against unauthorized use or exploitation of his invention.
According to Art.24 a patentee has recourse where his patent right is infringed by a third party.
However, nowhere under our patent law is found a standard that indicates how infringement
occurs. In the absence of records, of course, it would be very difficult to ascertain the reason why
the legislator failed to express some guidelines that govern proof of infringement. Nonetheless,
considering the complex nature of patent infringement, and the varying doctrines, it would be
imperative to put standards that do not retard technological advancements in our country.
A. Methods of infringement
In many jurisdictions, a series of standards and rules have been developed by courts, and even by
specific acts. Some envisage strict literal infringement, whereas others provide narrower claim in
interpretation. And currently, there are emerging rules that lie between the strict literal
interpretation and the broader one. Some of these doctrines that are commonly in use would be
discussed individually below. Additionally, account of the types of infringement, the defenses,
and the legal remedies would be discussed in fair detail.
Literal Infringement
This is sometimes called the literal overlap or all element rules. For infringement, literal
infringement requires that each and every element of the claim must be present in the alleged
infringement. It presumes that each and every element of the claim is material and essential. As
such, the patent attorney or the court views the claim as a checklist of features, in which case
every element of the claim must be found in the allegedly infringing device or product in order
for the claim to be infringed. If for instance X patent product possesses Z and Y elements under
its claim, any other device that uses “Z” and “Y” would be hit for infringing the X product. A
literal infringement also occurs where the alleged infringement possesses more elements other
than those that are envisaged under the patented product. This is to say that “X” patented product
would be infringed if the alleged infringement comprises K and L in addition to the Z and Y
elements. However, the consequence of the literal infringement is that if, in our example, Z or Y
or both are missing under the alleged infringing devices, there would not be infringement.
The literal infringement is the oldest mechanical rule in the patent jurisprudence. Although it laid
down the basis for proof of infringement; it has little or no acceptance in our days. As such it has
been vehemently criticized in that it encourages clever copies to make use of the patented
invention by changing its shape, size and configuration. It is also defeated as it allows others to
make use of the patented invention by omitting even an immaterial or non essential part of the
patented invention.
The literal infringement ceases to operate where rather than adding to the patented invention a
defendant omits to include part of the patented invention in his product or process and on this
basis argues that his invention falls outside the scope of the monopoly.
In order to ensure that the patentees’ interest are not undermined by defendants who dress up
infringing invention to appear as if they fall outside of the scope of the patent monopoly , patent
law has long held that it is not necessary for every element of the patented invention to be taken
as infringed. The Doctrine that takes into account only the essential elements of the patented
invention to determine if they exist under the alleged infringement is called the pith and marrow
doctrine. According to the pith and marrow doctrine, an article can infringe a claim, even though
all of the elements of the claim do not read on elements of the article, provided the differences
between the article and the claim are only immaterial variations, or omission of non-essential
elements. Thus, the fact that a defendant fails to take an immaterial or non-essential part of the
patented invention will not allow them to escape liability for infringement.
Doctrine of equivalence
Both the literal and the pith and marrow doctrine focus on the material identity of the patented
invention with the defendant’s product or process. As such, they do not cover cases where the
defendant substitutes a material element of an invention with something that is functionally
equivalent. Quite beyond the literal language of the patent claims, the doctrine of equivalent
holds that infringement occurs where the defendant’s device are functionally equivalence to the
patented invention. Specifically, a patentee can invoke this theory against the producer of a
device, if it performs substantially the same function in substantially the same way to obtain the
same result. The equivalence in function, way and result is also known as the triple identity.
From a historical point of view, the concept of infringement by equivalence has been developed
nearly over 150 years. Largely, it is the invention of the judiciary. As such, we learn more about
equivalence from some major judicial pronouncements. “Winahs V.Denmead” was the first
decision in which the supreme court of the United State ascertained the existence of infringement
if the changes added by the defendant are not more than imitation, or additions only of a
colorable variation.
Furthermore, in the Graver Tank V.Linde Air Prods. Co, the court pondered the issue whether
the alleged product used an element known to be “inter changeable” at the time the patentee has
filed his application. The court declared that there is infringement if a person having ordinary
skill and Knowledge could expect the practical interchangeability of the defendant’s product
with those specifically identified in the patent specification. However, this does not set an
exclusive test of equivalence. The defendant’s product or process might be interchangeable in the
broader reading of the claim, but it may still operate in substantially different ways. Thus,
equivalence must be complemented by other factors such as the knowledge of the person skilled
in the art and the functions performed by the patented device and the substituted element.
The Doctrine of equivalence is clearly an expansive doctrine in the sense that it extends the
scope of the patent beyond its literal meaning. Its influences on patent scope and consequently on
the economic value of the patent has attracted scholarly debate among different authors. Some
authors view the Doctrine of equivalence as an incentive for substantial improvement on a basic
technology. Whereas quite many authors reject it on the ground that it may retard or inhibit new
technology, others also criticize the doctrine of equivalence as obscure and unpredictable.
As the course of events signifies, however, patent infringement could take place in different
ways. The most common type of infringing activities takes the character of direct, indirect, or
contributory infringement. Before looking at them in more detail, it is important to note that to
infringe, the activity must be carried out without the consent of the patentee, and take place
during the duration of the patent.
Direct infringement
Direct infringement occurs if a person makes, uses or sales the patented invention without
permission. As such, direct infringement involves immediate engagement with the patented
product or process. It occurs irrespective of the knowledge of the infringer. This is to say that the
exclusive right granted to the patent owner does not allow for any defense based on good faith or
ignorance. However, to request damage the patentee must have marked his product invention
with notice of the patent or give actual notice to an infringer.
Indirect infringement
Indirect infringement applies where a person facilitates the act of infringement. In the Fromberg,
Inc.V. Thornhill, it was held that:
Even if a seller does not commit direct infringement, if he asks or induces another to do
so, or if he sells a product with advertising or instructions about an infringing use, and
intends to cause the buyer to make, use or sell a patented invention, he may be liable for
inducing another to infringe as an indirect infringer.
Accordingly, if a person encourages another to make, use or sell the invention without
permission, the person who induces would be liable for indirect infringement. For indirect
infringement to take place, two elements need to be met: first the patentee must establish that the
means supplied by the defendant relates to an essential element of the invention. Secondly, the
supplier must know or it must be obvious to a reasonable person in the circumstances that the
means are both “suitable” for and “intended” to be used in putting the invention into effect. The
imposition of a knowledge requirement ensures that parties who do not knowingly benefit from
the misuse of a patent are not caught as indirect infringers.
Contributory infringement
Contributory infringement is a recent concept that is regarded as a broader version of indirect
infringement. It occurs only in connection with a sale of a component knowing it to be specially
made or adapted for use in a patented device or process and the component is not a staple article
suitable for some substantial non-infringing use. For instance, if all parts of an infringing device
are sold by the person in a form so that they can be put together easily to make the infringing
device, that person will be liable for a contributory infringement. Also if two persons act in
concert so that each sells some of the parts necessary to make an infringing device, both will be
liable for infringement.
Although good faith or ignorance is defense for direct infringement, that is not the case with
contributory infringement. Thus, it is a defense for an accused contributory infringer to show that
he had no knowledge that the goods were substantially suitable only for infringement. However,
knowledge of the infringer could be easily presumed, as the contributory infringement is founded
upon the sale of items for which there is no substantial use other than in the patented invention. It
is, therefore, unlikely that a seller could market such items without the knowledge that there was
an infringement occurring.
Defenses to infringement
Once the patentee has proved that the defendant has performed an activity that fall within the
scope of the patent monopoly, the obligation then shifts to the defendant to show that the activity
is exempted from liability by one of the defenses to patent infringement that are available to
them. Generally the exceptions balance the interests of patentees against the interest of other
groups such as non-profit making bodies, research and teaching establishments, prior users, as
well as the state. (See details of the exceptions to exclusive patent right on pages ?
The other available legal remedy pertains to criminal sanction. In line with this, Art 720(2) of the
new revised criminal code provides:
“Whoever unlawfully so acts with respect to intellectual property rights, particularly
industrial designs, models, or patented inventions, duty registered and protected by
existing law or agreements, national or international, shall be punishable by a rigorous
imprisonment not exceeding ten years”
The requirement, and the right and obligations available to the standard patent are applicable to
the patent of introduction. However, little is known as to whether the patent examined could
deny issuance of patent of introduction on the ground that the foreign patented inventions lacks
novelty or inventive step. If we say yes, we must be ready to address how we could realize the
very purpose that underlies the issuance of patent of introduction.
The duration of patent of introduction is ten years. But, where the patent examinee is satisfied
that the foreign patent works adequately, it may extend the patent of introduction by another five
years: time.
Under our patent law, utility model certificate is issued for minor inventions that possess novelty
and industrial applicability. From this, one would conclude that the subject matters of utility
model certificate are minor inventions. Now the question is: what is a minor invention? Is it an
essential validity requirement for the issuance of utility model certificate?
Our patent law does not define and determine the scope of minor inventions, and hence the
subject matter of utility model certificate is not known under our patent law, and there is no
indication, under our patent law that requires that an invention must be a minor invention, as an
essential validity requirement for the issuance of utility model certificate confers a shorter
protection.
Principally, the duration of utility model certificate is five years. But, it can be extended by
another five years where it is shown that the invention has been used sufficiently.
Under the PBP, the requirement of novelty takes three features. The first is that novelty is not
lost by prior use (for example, growth) of the Variety, but only by prior sale or disposal. As such
a plant can be grown in some ones garden for years prior to application and an application still
success. Indeed it seems that the applicant still obtains a plant variety even if they have given
away propagating or harvesting materials, as long as this was not for purposes of exploiting the
variety. The second notable feature is that the nobility requirement permits for a grace period.
That is, it allows for periods in which the applicant can commercialize the plant prior to grant
without prejudicing the application. Thirdly, and quit uniquely, the only disposals or sales to be
taken into account when considering the novelty of a particular variety are those by the applicant
himself or with his consent. Sales of material by a third party that has independently developed
the same variety will not render the variety lacking in novelty. In such circumstances, priorities
are accorded to the first to apply. However, no protection is given to the independent developer
via prior user’s right, as a monopoly may be granted to a person over an activity or trade which
someone else was doing already.
In addition to the requirement of novelty, the variety must be distinct, uniform, and stable. A
variety is distinct if it is clearly distinguishable by one or more characteristics that are capable of
a precise description from any other variety whose existence is a matter of common knowledge
at the time of application. Distinctiveness may be measured through visible differences in
outward appearance, such as height, size of leaves, leave color. It may also be tested through
physiological differences associated with the variety particularly chemical or biological,
structure, such as resistance to disease, or ability to withstand certain conditions.
A variety is uniform if it is sufficiently uniform in those characteristics that make it distinct. This
means that nearly all examples of the variety must bear the characteristics that make the plant
distinct. However, it is not necessary for a variety to be completely uniform. This is to say that a
variety will still be uniform even if a few of the plants that are grown do not exhibit the critical
characteristics.
A variety is stable if the characteristics that make it distinct remain unchanged after repeated
propagation. The idea is that while a first generation might be distinct and uniform, when a
second generation is grown a large number of deviants appear. This requires an assessment to be
made of the inherent capability of the variety to remain true to its original characteristics.
However, as with the testing of uniformity, deviants that appear as a result of pollination by
nearby crops are ignored.
The other important feature of the plant breeders’ right is that it accommodates the competing
interests of developers, users, and farmers, in particular. According to Art---- acts done privately
and for non-commercial purposes, and acts done for experimental purposes are regarded as
justified acts. Furthermore, acts done for the purpose of breeding or discovering and developing
other varieties do not infringe plant breeders’ right.
The other most important exception pertains to the privilege given to farmers. As per Art------
A farmer is authorized to use the product of his harvest for propagation or multiplication by him
on his farm, and to sow them in his farmland. More ever, he is entitled to sell the products of his
harvest in his farmland. However, it would constitute infringement if the farmer sells the harvest
in the market, which in a way amounts to competing with the proprietor of the plant breeder’s
right.
Industrial design rights can be acquired through registration, or by use (like prior user in trade
mark law). As such, industrial design rights can be created in registered or unregistered designs.
Unregistered industrial design rights are common in the UK, and now under the European Union.
In many countries, however, industrial design rights are acquired only through registration. Our
system of industrial design right is a typical example of the traditions which require registration
for obtaining industrial design right.
Our system of industrial design rights act affords five years of protection to industrial designs.
Such period may be extended for two periods of five years each by an application for renewal.
As such, subject to renewal, the protection of industrial designs is for upto fifteen years (15
years). During the existence of an exclusive right, no person can "make, import for the purpose
of trade or business, or sell, rent or offer or expose for sale or rent, any article in respect of which
the design is registered.
In addition to novelty, Article 46(1) requires that the design must possess practical applicability.
This means that the design must be capable of serving as a model for repeated manufacture. In
other words, the industrial design should enable the industry to produce a product, industrial
commodity or handicraft.
Exclusions
Not all designs qualify for protection under the industrial design rights. Although the window of
exclusions are deep and wide in other jurisdictions, our system of industrial design right excludes
only the following matters: a) an industrial design that is contrary to public order or morality, b)
an industrial design that serves solely to obtain a technical result.
The other important feature of the Paris Convention is that it established the principle of priority
right. The priority right provides that an applicant from one contracting state shall be able to use
its first filing date (in one of the contracting state) as the effective filing date in another
contracting state, provided that the applicant files another application within 6 months (for
industrial designs and trademarks) or 12 months (for patents and utility models) from the first
filing.
9.5.2 Patent cooperation Treaty
The Patent Cooperation Treaty (PCT) is an international patent law treaty, concluded in 1970. It
came into force as of 1978. The key feature of the treaty is that it provides a unified procedure
for filing patent applications to protect inventions in each of its Contracting States. A patent
application filed under the PCT is called an international application or PCT application.
Under the PCT, an applicant can only apply to an international office and get an international
preliminary examination. It then results in a search performed by an International Searching
Authority (ISA), accompanied with a written opinion regarding the patentability of the invention
which is the subject of the application. It is optionally followed by a preliminary examination,
performed by an International Preliminary
9.5.3 TRIPs
The basic feature of the TRIPs is that it aims at setting common standards with respect to the
requirements of patentability, and the subject matters of patent which should be applied in the
contracting states. In spite of its underlying objectives to standardize national laws on the patent
system, it is often criticized for its failure to show a demonstrable advances from international
treaties adopted before it. While the developed countries wish for expanding the subject matters
of patent so as to include particularly the patenting of the byproducts of genetic engineering,
most of the developing countries require that TRIPs shall ensure access to food, medicine and
genetic resources. As such the member states are in the process of reviewing and updating the
1994 agreement. While the details of the negotiations are still unclear, one area that is on the
agenda is the review of Article 27.3(b). This provides a limited exception in relation to plant and
animal inventions to the general rule that patents should be granted in all areas of technology.
innovations and practices relevant to the conservation of biological diversity and the sustainable
use of its components.
While the Rio convention may not have an immediate impact on patent law, it does represent a
change of attitude towards the way natural resources are exploited, which may impact upon the
way patents are viewed. In particular,r it may help to undermine the pro-patent attitudes that
have dominated for the last forty or so years.
7. Try to state the basic reason why the requirement of non-obviousness is missing under the utility
model certificate.
An important change to the traditional role of trademark occurred around the beginning of the
20th century. In this period, trademarks shifted from being merely indicators of origin to valuable
assets in their own right. Thus, trademarks became instrumental to build consumer goodwill.
Indeed, the mark itself (accompanied by advertising) gave rise to a desire for product that was
distinct from a desire based on a belief that the product would be of a particular quality. As such,
the trademark serves more as a marketing tool, and less as a means of identifying a product’s
source.
Nowadays, trademark is taking new characters. While the traditional and the modern notion of
trade make functions to identify source and build commercial reputation, recent developments
demonstrate that trade mark extends beyond a mark or a symbol to encompass the personality,
style, or aura associated with a particular product. A typical example of this is the coca-cola,
which is perceived as more than a product, a reputation for a quality and a mark. Instead, it is an
image and a way of life that is instituted through the presentation, marketing, advertising and
packing as well as the production of the product.
Objectives
After going through the Unit, you will be able to:
Understand the basic notions of trademarks law
Explain the justification for trademarks law
State the procedures for registration of trade marks
The extended notion of trademark can be observed by looking at the trademark statutes of
different countries. The British trade act of 1994, for example, defines trademark as:
“Any sign capable of being represented graphically, and which is capable of
distinguishing goods or services of one undertaking from those of others. A trade
mark may, in particular, consist of words including personal names, design,
letters, numeral, or the shape of goods or their packaging”
According to the above definition, for a trade mark to be validly registered, it is necessary to
show that it consists of a sign. Indeed, no statutory definition is given as to what is meant by this
term. However, it is construed that the non-exhaustive lists of trademark under the definition
potentially allows other things that are capable of distinguishing the origin of one product from
another. While not mentioned under the definition, it was held that colors are prima facie
registrable where they are used as a trademark, the main problem being showing that the mark is
distinctive. It was also contended that sensory marks are eligible for trademark registration.
The other fundamental features of trademark is “distinctiveness” which represents the phrase ‘---
capable of distinguishing one undertaking from those of other undertakings. Naturally, a
trademark must be distinctive if it is to serve its function of identifying the origin of goods and
services. As such modern trademark law is founded on the principle that trademarks function to
guarantee to the consumer or end-user the identity or origin of the product to which it is applied.
Hence, if a trademark is to protect consumers from deception or confusion over what they are
purchasing, then the trademark must be identifiable and different from other marks.
In the course of transaction, distinctive marks don’t only serve to identify the origin of products
but also they become instrumental in building commercial reputation. As such, to the owner of
the mark, trademarks serve as a marketing tool in its own right.
Having regard to the role it plays, trademark is invariably bound to be distinctive. The
jurisprudential question rather converges on what is not distinctive mark.
The jurisprudential debate that surrounds the character or nature of distinctiveness is not over.
However, it is often said that marks that describe (hence descriptive mark) the nature, quality or,
quantity or type of a product are straightforward non-distinctive marks. For example, ‘soap’ for
soap is frequently mentioned as typical descriptive term. Similarly, orange for orange would
serve only to confuse the consumer, for it would tell nothing about the different origins of a
selection of oranges produced by different producers.
The most distinctive marks are arbitrary or fanciful marks. Arbitrary and fanciful marks are
naturally unrelated marks to the goods they are applied to. As such, they convey nothing about
the nature of the product except through knowledge of the market. For example, the numeral
symbol B29 conveys nothing about soap except to those knowledgeable about that trade.
However, it must be noted that an originally descriptive mark may turn to be distinctive at
market place through the use of the mark by buyers for a relatively longer period of time. For
instance, the mark “red” would be descriptive of apples, and then, ineligible for trade mark
registration. However, if a producer effectively markets his apples with the term ‘red’ and if after
a while consumers immediately associate the mark “red” with only one producer or apples, the
consumer identification makes the mark eligible for trademark registration. A ‘Red’ apple, under
the example, connotes a certain producer, and not colors at all. The second meaning that a mark
acquires through its continuous use by buyers is known as secondary meaning.
Secondary meaning is acquired rather than inherent and is developed in the market
place through use that makes the mark distinctive of the owner’s goods or service. It
essentially implies that an otherwise descriptive mark has been used so long as it
has come to be synonymous with the goods or service with which it is connected, at
least with respect to the contents of the particular trade and with respect to the
consumers with the market.
At least theoretically, proof of secondary meaning is difficult to establish. Under the United
States trademark, there is an established practice that requires the applicant to demonstrate five
continuous years use of the mark in the market. Hence, a user of the mark who shows that he has
used the mark for five continuous years may benefit from the presumption despite the fact that
the mark is facially descriptive or non distinctive.
Apart from being the subject matters of intellectual property, largely, trademarks, patent and
copyright are distinguished from each other both in purpose, and content. Trademark protects
marks or signs that indicate the commercial source of goods or services. However, trademark
cannot be used to stop others from copying the goods or service to which the mark is applied.
This is not, however, the case with patent and copy right. Both patent and copyright prohibit
unauthorized copying of goods by third parties.
Furthermore, the arguments that are used to justify patent, and copyright, which focus on the
protection of labor and personality (whether as recognition of a right or as a reward) are difficult
to apply to trademarks. For example, while patent law requires that the inventor must
demonstrate a novel thought that is never anticipated before, a trade mark may consist a personal
name, or numerals or shape or a word that is already known and in use in the public domain
matters. Similarly, copyright law requires that a work must be original, i.e. a work must be the
author’s own creation. However, it is immaterial under a trademark law that a mark is original,
or known. As long as a mark is capable of distinguishing the origin of one producer from those
of other products, it would be eligible for trademark registration.
As the above paragraph expounds, the goodwill must have a power of attraction sufficient to
bring customers home to the source from which it emanates. Accordingly, the fact that a trader
has started business does not necessarily mean that there will be goodwill. This is because
customers might use the business; purchase the goods or service, because it is conveniently
located or just because it is there. Rather, for goodwill to exist, customers must be buying the
goods or using the services as a result of the reputation that they have developed.
The manifestation of goodwill as described above seems to be envisaged under our Commercial
Code. Art.130 provides that “the goodwill results from the creation and operation of a business
and is a value that may vary according to the problem or possible relations between a trader and
third parties who may acquire from him goods or services.” As per this provision, for goodwill
to be created, there is a business in operation. Moreover, there must be commercial relationship
between the business and customers. The problem with this provision is that it does not explicitly
envisage whether goodwill arises in relation to marks, name, sign or logo. The provision seems
to imply that good will is associated more with trade name (i.e., business name) than trademark.
However, despite the vagueness of Art.130, it will still be absurd to contend that goodwill is not
concerned with marks. It is clear that goodwill is typically developed through the use of words
such as Coca Cola, Nike, Abyssinia (spring water) that are understood as indicating that a
product or service emanates from a particular trade source. Thus for the provision to make sense,
the phrase ……..”From the creation and operation of a business…” must be construed flexibly to
include marks as manifestation of goodwill.
Certification marks
A certification mark is used in connection with goods or services to indicate that those products
or services originated in a particular region, or that they are of a particular nature, quality, or
characteristics or that they were produced by a member of a particular organization. The
certification mark helps an organization to indicate that the goods or service meet certain quality
or standard, thereby excluding all others from making the same claim with the same or similar
marks that might cause confusion. However, it must be noted that the ownership of a mark does
not convey what ordinarily are thought of as exclusive right. In particular, the owner of a
certification mark cannot prohibit use of the mark to anyone who maintains the standard or
characteristics of the mark.
Generally, certification mark are subjects to the requirements for the registrability of trademark.
However, unlike trademark that prohibits use of geographical names, a certification mark can be
used to certify the geographic origin of goods or service.
The certification of mark does not seem to have entered into the body of our trademark law. It is
not envisaged under the commercial code. And it does not seem to be suggested under the new
trademark registration and protection proclamation, either. However, in other jurisdiction, it is as
important as trademarks, and collective marks. The Lanham Act, in the USA, for example,
provides for registration and protection of certification marks.
Collective marks
Collective marks generally provide a device by which a number of individuals can identify
themselves as members of a particular group. It indicates that either goods or services are
produced by members of a collective group or simply indicates membership in a particular
group. There are two forms of collective marks: collective trade (or service) mark, and collective
membership marks. Collective trademarks are conventional marks in the sense that they indicate
the origin of the product or service, which is a member of the group. However, it does not confer
ownership of the mark in the producer or provider, but in a group of which each producer or
provider is a member. On the other hand, collective membership marks are used to indicate
membership, not origin of goods or services.
Under the new trade mark registration and protection proclamation, collective trade mark means
‘a trade mark distinguishing the goods or services of members of an organization, which is the
owner of the trade mark.’ This provision underlines that collective trademark is used to
distinguish the goods or services of members of an organization. And it provides that the
ownership of the mark belongs to the organization, not individual members
goods or services that the mark is applied the and the ethical issues that govern fairness in
business.
Information
Perhaps the most convincing arguments for the protection of trade signs is that they operate in
the public interest insofar as they increase the supply of information to consumers and thereby
increase the efficiency of the market. These arguments highlight the fact that trademarks are a
short hand way of communicating information that purchasers need in order to make informed
purchasing choices. By ‘preventing others from copying a source-identifying mark’ trademarks
law reduces ‘ the customer’s cost of shopping and making purchasing decisions, for it quickly
and easily assures a potential customer that this item-the item with this mark –is made by the
same producer as other similarly marked items that he or she liked( or disliked) in the past.
The information provided by the mark is particularly important in relation to goods that a
consumer cannot judge merely through inspection. Where the quality and/or the variety of goods
is not readily apparent, trademarks enable consumers to choose the product with the desired
features. Trademarks also encourage firms to maintain consistent quality and variety standards
and to compete over a wide quality and variety. Consequently, it has been said that the
“Primary reason for the existence and protection of trademarks is that they facilitate and enhance
consumer decisions and… they create incentives for firms to produce products of desirable
qualities even when these are not observable before purchase”.
Similar to the above assertion, our trademark registration and protection proclamation
no.501/2007 under its preamble provides that ‘… trade mark …play an important role in guiding
customers` choice and protecting their interests’. In here the trade mark registration and
protection proclamation does not explicitly mention the function of trade mark registration as an
incentive for the production of quality products. However, by emphasizing on the source
identifying role of trade mark registration, it can be contended that our trade mark registration
and protection proclamation as well encourages the production of quality products.
Ethical Justification
Ethical arguments have also been used to justify the trade mark regime. The main ethical ground
for the protection of trademarks is based on the idea of fairness or justice. In particular, it is said
that a person should not be permitted ‘to reap where they have not sown’. More specifically, it is
said that by adopting ‘someone else’s mark, a person is taking advantage of the goodwill
generated by the original trade mark owner’. Through this agricultural metaphor, the justification
for protecting trademarks is linked to the broader arenas of the protection of traders against
‘unfair competition’ and ‘unjust enrichment’
While the classical cases where a trader uses someone else’s trademark on identical goods are
clearly objectionable under the principle that a person should not reap what he has not sown, the
principle has also been used to justify more extensive protection. For example, it is said that the
objection to comparative advertising is that even though it does not confuse consumers, it takes
advantage of the reputation that the earlier trade has built up. Similarly, the objections which are
made to marks being used on dissimilar goods is that it takes advantage of the repute of earlier
mark.
Other ethical arguments have also been used to justify trade mark protection. For example, it is
sometimes argued that the misuse of trademarks is justified by reference to moral norms which
treat truth- telling as a core good (rather than as necessary for the maintenance of efficient
markets). As such it is argued that the law ought to allow a person who suffers harm as a result
of lying to bring an action against the liar. Misrepresentations as to the source of goods are
equivalent to lying or deception and are simply wrong. While arguments of this sort would
justify the law of trademark in some form, they would not appear to justify the protection of one
trade mark owner against the innocent adopter of a mark, nor against uses which the public
would not understand as indicating a business connection with the owner. As such, it would only
support a very narrowly confined law of trademarks.
advertising his desire to use the mark in the future in connection to his products or services.
Certainly, trademark right is not automatic to the use of the mark over goods or services. In
many countries right in trademark emanates from prior use, and registration, or only from
registration of the mark.
The concept of prior use has been hatched and developed in the common law trademark law. As
such, prior use is understood as the actual use of a mark in the market place over a reasonably
extended period of time. It has the same effect with registered trademarks. Thus, like an owner of
trademark by registration, the (the prior user) can prohibit similar or identical use of the mark by
others. However, while objecting to similar marks, the prior user assumes the burden of proving
that his mark was actually in use in the market place for some reasonably longer time before the
use of the mark by the defendant.
The other most common acquisition of trademark is registration. According to this method,
rights in trademark become effective only after a duly established authority registers it. In many
countries, rights in trademark are acquired by registration. Our country is one of them. As per
Art.4, a right in trademark is acquired and is binding on third parties upon the grant of a
trademark registration.
The registration process involves certain procedural steps. Under our trademark registration and
protection proclamation, the registration process can be divided into four stages: I) filing of the
application, ii) examination, iii) publication, opposition, and iv) registration
Art.8 (2) provides that an application for registration shall cover only one trade mark. This is
clearly a prohibition of a series of marks under one application i.e., one application for one mark.
It is not clear why it prohibits register of a series of marks in a single registration. In other
jurisdictions, say in the UK, an applicant is allowed to register a series of marks under a single
registration. And its major purpose is to reduce bureaucracy, and other expenses. In registering a
series of marks, the applicant is required to include a separate representation of each mark in the
series.
B. Examination
Once the filing process is completed, the registrar further conducts a search for similar marks,
and an examination of the application to ensure that the proposed mark does not cover the
inadmissible marks envisaged under the trademark registration and protection proclamation. In
particular, the registrar, investigates whether the proposed mark:
Fulfills the formal requirement under Art.8
Complies with the substantive requirements under Arts. 6 and 7
D. Registration
Substantive requirements and the subsequent announcement for opposition registration of the
mark come into picture. Thus as per Art.15, where the registrar is convinced that both formal
and. As has been discussed, registration is not automatic to the filing of application, nor is it a
very short process. It further involves examination by the registrar, and a hearing for opposition
by third parties. Largely, due to the expansion of industries and commercial services, and the
corresponding proliferation of marks, as well as the mass of exclusion to marks, there is no less
probability that the applicant may fail. The registration, an the last day, would, therefore, make
the applicant flourish or perish. After going through an examination of the mark in light of
formal and substantive requirements, and the subsequent announcement for opposition,
registration of the marks follows. Art.15 provides that where no effective opposition is made,
the registrar should register the mark. Notice of registration may be made in the same way to the
notice for opposition. However, it should be noted that the decision of the registry could be
appealed to the regular courts having jurisdiction.
The trademark registration and protection and protection proclamation does not explicitly
provide lists of non-distinctive marks. However, from the inadmissible lists under Art.7, we can
identify some typical examples of marks that are excluded nearly as non-distinctive. These
include:
a. A trade mark consisting exclusively of signs or indications which have become
customary in the current language use in relation to such goods or services for
which the registration of a trademarks is applied or which have become
customary in economic and business activities.
As regards surname, it is thought that they lack distinctive quality. This is partly motivated by
the inconvenience that the grant of right would have upon other traders who shared the same
name. As such, third parties cannot be prohibited to use their name or, even the name of others
that could be similar to other trademarks. Thus, where two or more people use the same surname
or family name, consumers would not be able to assume that the name operates to indicate one
particular supplier.
Descriptive marks
The second absolute grounds for refusal of trademarks relate to descriptive marks. Art.6
excludes from registration trademarks which consist exclusively of sign or indications which
may serve, in trade, to designate the: i) kind, quality, quantity, ii) intended purpose, iii) value, iv)
geographical origin, v) the time of production of the goods or of the rendering of the services or
vi) other characteristics of the goods or services.
Although, exclusion of descriptive marks which characterize goods or services is in part
motivated by a desire to protect traders, the primary reason why the various marks are excluded
is that they would not of themselves be taken or understood by customers to indicate the origin
of goods.
“The more apt a word is to describe the goods of a manufacturer, the less apt it
is to distinguish them from the goods of others.”
Before looking at each of these subcategories in more detail, let’s make a general explanation on
the idea of “exclusivity.”
Exclusivity
The exclusion under Art.6 (1) (e) applies where the trademark consist exclusively of signs which
characterize the goods and services. This gives rise to the question of what is meant by
’exclusively’?
The term ‘exclusively’ is often construed as covering the whole of the mark. In other words,
‘exclusively’ means that the whole of the mark must be descriptive. This implies that if it can be
shown that part of the mark is non-descriptive, and then it will fall outside the remit of Art.6 (1)
(e), as long as that part is not significant or de minim is. Thus marks that are made up of
descriptive and non-descriptive matter can be registered. For example, ZUM fruit could not be
treated as being ‘exclusively’ descriptive of fruits because while fruit is descriptive, ZUM is an
arbitrary term. However, it must be noted that a mark would not become registrable by the mere
addition of trivialities, such as the addition of prefix or affix terms, or prepositions such as ‘The’.
This is to say that for a trademark not to fall under Art.6 (1) (e), it is necessary that the additional
element is fanciful, imaginative, unusual or peculiar.
In effect, there must be some part of the mark (above and beyond the descriptive parts) that is
distinctive. With these general points in mind, we now turn to look at the categories of
descriptive marks excluded under Art.6 (1) (e).
iii) Value
Trademarks that consist exclusively of signs that refer to goods or services will not be eligible
for trademark registration. The reason is that consumers are unlikely to treat references to value
as indications of origin. It also ensures that other traders are free to use common words and
expressions to refer to things such as price and value.
Many marks that consist of geographical names are ineligible for trademarks registration.
However, it should not be assumed that there is a blanket prohibition on the registration of all
geographical names. For example, if it is shown that consumers associate a geographical name
with single sources for particular products, the mark could be eligible for trademarks registration.
As such, the registrability of a mark should be determined with respect to the market and the
goods of the applicant. Within the market test the inquiry would be whether the term conveys an
immediate geographical sense to the consumer with respect to the particular product. If
otherwise, geographical term conveys something rather than geographical significance, it is
essentially arbitrary, because its relationship to the product is not natural but contrived and
unrelated to any inherent meaning in the mark.
Used marks
So far we have discussed marks that are inherently ineligible for trademarks registration on the
basis of non-distinctiveness. That is, we looked at the registrability of marks in their natural or
unused state. This is to explain that it is possible to register otherwise ineligible marks by use. In
this regard Art.6 (2) provides that “the provisions of Sub Arts. f and j (those trademarks excluded
on the ground that they are non-distinctive, descriptive, or generic terms) of this article do not
application for registration of a trademark, if the trademark has as a result of its use becomes
well known in Ethiopia”. The result of this provision is that even if a mark is inherently lacking
distinctiveness, it is now possible to register a mark if it does in fact have become well known in
Ethiopia.
Under the above provision, the test for registrability of otherwise non-registrable mark is that
there must be actual use, and by virtue of its use, the mark must be well known in Ethiopia.
These tests seem to suggest that the actual use of a mark and its popularity in Ethiopia must have
made it distinctive for the mark to be registered. The next question that needs to be asked where
a mark has been used is: Has the mark in fact acquired a distinctive character?
The inquiry in relation to used marks is exclusively concerned with consumer perception: the
needs of other traders are irrelevant. As a result, consumer recognition becomes the litmus test
for whether a mark is registrable. The primary goal is to minimize consumer confusion by
preventing other traders from using similar mark. To succeed in claim that a mark has become
registrable through use, an applicant must be able to show that irrespective of how the mark was
perceived in its natural state, the mark now operates as a trademark. That is, an applicant must be
able to show that the primary significance of the word or sign indicates a source rather than, for
example, merely, describing or praising the product. In this sense all that the law does is
recognizing what already happened in practice.
In summary, if an otherwise descriptive trademark conveys something other than its natural
connotation with the goods/or services it applies to, it is possibly eligible for trademark
registration. The consumer, no one else, determines whether the trademark has acquired a new
meaning other than its natural connotation. Although it is not settled as to how many consumers
must certify the acquisition of new meaning, it is thought that it suffice that only a few
consumers believe that the trademark indicates the origin of the product other than the original
meaning of the term.
Deceptive Marks
As discussed earlier, the grand reason for exclusion of many marks lies in the distinctiveness of
the mark. Needless to state, a mark that is devoid of distinctiveness is statutorily excluded from
trademark registration. Under this section we will see exclusion of marks not for not being non--
distinctive, but for their power to deceive the consumer on the quality of the goods/ or services
for which the trademark is attached.
Art.6(1)(h) states that a “trade mark that is likely to mislead the public or the business
community, in particular as regards the geographical origin of the goods or services concerned,
or their nature or characteristics is inadmissible for trade mark registration”. This prohibition
tends to be applied to marks that, though distinctive, contain some kind of suggestion or allusion
that is inaccurate or false. Consequently, a trademark application would be refused if it relates to
a sign that suggests that the goods are made of a particular material, and they are not. This is
particularly the case where the material would be a significant factor for a purchaser.
The prohibition against deceptive marks is motivated by the need to protect consumers from
confusion, mistake, or deception. Deceptive marks are usually applied to indicate that the goods
or services come from a much known state or place, or town for the production of the goods or
services, where it is not. No surprisingly, the intention of the trader is to build goodwill by
pretending that he produces goods or services in a place that the consumer regards as the most
appropriate place for the production of the goods or services. Thus, prohibition against deceptive
marks stands as a guard to the public from mistake, confusion or deception. The English trade
mark registry, for example, refused an application to register “perfumes de Paris” for toiletries
including perfumes on the ground that the mark created an expectation that the perfume would
be manufactured in Paris, so that (if they were not) the trade mark would deceive the public not
only as to the geographic origin of the goods but also as to their nature and quality.
just a few, words or images that are racist or blasphemous, or provocative for conflict are more
likely to fall under the prohibition.
iii. The marks are similar, and the goods or services are either identical or similar, and
there is likelihood of confusion, which includes the likelihood of association between
the marks
iv. The marks are either identical or similar, and the goods or services are not similar,
and where the earlier trademark has a reputation and use of the applicant’s trademark
would take unfair advantage of, or be detrimental to the earlier trademark
Proprietorship
As per Art.4 ownership right in trademark is acquired by registration. By implication, the owner
of a trademark is the person who registers it. In contrast to patent law that creates proprietary
right prior to the application for a patent, the trademark law does not recognize that a trademark
may have a proprietary before an application is made. The only proprietor is the registered
person.
Co-ownership
Two or more people can own a trademark. From this arises a potential problem as to whether one
co-owner can utilize the trademark without the consent of other co-owners. Our trademark law
does not as such provide how each co-owner may utilize their rights. However, it sounds to
assume that if there are no contract bentween the co-owners of a trade mark, each of the co-
owner is entitled to equal undivided share in the registered trade mark. This also implies that
each owner is permitted to do for his own benefit and without the need to account to the other,
any act which would otherwise amount to an infringement of the registered mark. As regards the
assignment and licensing of trademarks, Art 28(3) provides a that “share in a trademark, which is
subject of ownership, may not be transferred without the consent of all the co-owners.
the trade make for specified goods or services without infringing. Thus, so long as the use falls
within the terms of the license, the licensee is immune from an action by the trademark owner.
Usually, license takes two forms: exclusive and non-excusive license. An exclusive license is an
agreement according to which the trademark owner not only confers permission on the licensee
to use the trademark, but also promises that he will not grant any other license. Moreover, an
exclusive license bars the licensor from exploiting the trademark, unless the license contract
allows the licensor to use the trademarks for himself. In effect, an exclusive license confers a
right in respect of the trademark to the exclusion of all others including the licensor, as the case
may be.
Not arguably, the most important aspect of exclusive license is that it prevents others, and even
the licensor from using the trademarks. From this arises, a question: Can the exclusive licensee
sue infringers in his own name. In part, the issue boils down on whether the exclusive license
contract creates effect on third parties.
In contrast to assignment, registration is not a validity requirement to license contract. However,
this does not mean that to a license contract would be effective forthwith on third parties. The
last paragraph of Art 29 (2) provides “the license contract shall have no effect against third
parties until so registered”. The consequence of this provision is that in situations where the
exclusive license contract is registered, the licensor could not possibly have any recourse against
third parties. From this, it simply follows that the exclusive license cannot sue third parties for
infringement. Now the next related question is what if the exclusive license contract is registered.
In many jurisdictions, the exclusive license is given the same rights as an assignee, and therefore
has the right to bring proceedings in respect of any infringement that occurs after the date of the
license agreement. However, the right to sue by the exclusive license is not explicitly provided
under our trademark law. The right of license as per Art. 33, seems to be confined to the right to
use the trademark during the duration of the license contract. However, there is not any
established reason that prohibits the exclusive license from bringing proceeding against third
parties. Undoubtedly, a registered exclusive license contract replaces the trademark owner. So it
must be presumed that third parties associate the registered trademark not only with its owner,
but also with the exclusive license.
A non-exclusive license is merely a permission to use a trademark for certain duration. Its
distinctive feature is that it does not prohibit the owner of the trademark from granting further
licenses to third parties or from using the trade mark himself. But, like exclusive license, it must
be made in writing.
invalid. And the third reason why a mark might be removed from register is cancellation for non-
use.
Renunciation of right
Article 34(1) provides that ‘ the owner of a registered mark, who wishes to renounce the
registration of a mark either wholly or in respect of part of the goods or services for which the
trade mark is registered, may submit his application to the office for cancellation of the
registration of the trademark’. The clause ‘...Who wishes to renounce…’ indicates that
renunciation is a voluntary act. But this does not mean that the owner of a registered mark can
renounce his right at home by saying that he does not want to use it. According to Article 34, the
renunciation of right requires that the owner of a registered mark should apply for cancellation.
And where the registered mark is under a license contract, the request for the renunciation of the
right shall be accepted only upon the submission of a written declaration by which the licensee
consents to the renunciation. The renunciation becomes effective only after the decision for
cancellation has been entered into the register.
Invalidation
The other reason that removes a mark from registration is when the registration is held to be
invalid. The grounds for invalidation are set under Articles 6 and 7. These provide that a mark
my be declared invalid on the basis that it was registered in breach of one of the absolute or
relative grounds for refusal. According to Article 36, the registration of a trade mark may be
invalidated, by a written request of any interested person or by the office, in its own motion.
Like the ordinary law of contract, the decision declaring invalidation of registration of a
trademark is effective as of the date of registration. However, there is an exception to this
retroactive effect of invalidation registered of trademark. The exception as envisaged under
para.2 of Article 37 provides:
When the trademark has been subjected to a license and the licensor has benefited from the license
contract, the invalidation of the registration shall not enable the licensee to claim the repayment of
money.
Cancellation
The most common reason why a trademark registration may be cancelled is on the basis of non-
use. This reflects the notion that protection for marks is justified as a result of their use. As
explained by a South African court, the general purpose of cancellation is:
To restrict the monopoly and protection conferred by registration to the proprietor’s legitimate and actual
trade requirements and to avoid the inconvenience, cost, oppression, and interference with trade that
would result from allowing trademarks to be registered with the intention, not of using them but merely of
preventing other traders from using them.
As there are a finite number of useful or valuable marks, cancellation for non-use can also be
explained on the basis that it helps to ensure that unused marks are recycled.
The ground for cancellation of registered mark on the basis of non-use is limited by the relevant
period of non-use. Article 35 (2) provides that a trademark may be cancelled on the basis that,
during a continuous period of at least three years preceding the date of the request for
cancellation of the trademark, it has not been put in Ethiopia, by the proprietor, or a licensee in
respect of any of the goods or services for which it was registered. The only exception to this is
when the owner or a licensee proves that the non-use of the trade mark was due to force majuere.
In order to determine whether a trademark has been infringed, it is necessary to compare the
registered mark with the alleged infringing sign. The circumstances in which a mark may be
infringed are stated under Art.7. These are where
i. The marks age identical and the goods or services age identical
ii. The marks are identical and the goods or services age similar and there is a likelihood of
confusion, which includes the likelihood of association with the registered mark.
iii. The marks are similar, and the goods or services are either identical or similar, and there is a
likelihood of confusion, between the marks
iv. The marks are either identical or similar, and the goods or services are not similar, and where
the registered mark has a reputation and use of the defendant’s mark would take unfair
advantage of, or be detrimental to the distinctive character or the repute of the registered
trademark.
Obviously, the grounds for infringement are the same with relative grounds for refusal. The key
difference between an action for infringement and the relative grounds for refusal is that to
establish infringement, it is necessary to show that the mark was “used in the course of trade”.
10.8.2 Remedies
The remedies for infringement under the trade mark registration and protection consists of
provisional measures, civil remedies that include injunctive relief and an accounting for profits,
and criminal sanctions.
a) Provisional measures
It is often said that ‘prevention is better than cure’. This medical axiom heavily purports for
institutional mechanisms which are directed towards preventing damage or injuries from
occurring. Substantially in a similar context, the trademark registration and protection
proclamation seems to give adequate weight to the prevention mechanism (or provisional
measure, as it stands under the proclamation). As such, Article 39(a) states that ‘a court shall
order prompt and effective provisional measures to prevent an infringement of a right from
occurring, in particular to prevent the entry into the channels of commerce of import and export
goods after completing customs formalities. In addition to the preventive functions of provisional
measures, Article 39(b) provides that provisional measure may be in order to preserve relevant
evidence in regard to an alleged infringement of a right.
As Article 39(a & b) envisages, a provisional measure needs to be prompt and effective. As such
the procedure for adopting provisional measure should not allow the infringer to cause
irreparable damage and/or conceal relevant evidence that may be used for establishing
infringement. Accordingly, Article 39(2) allows the court to order provisional measures, without
summoning the defendant, where it finds it appropriate. This is so, particularly, where any delay
is likely to cause irreparable harm to the applicant or where there is a demonstrable risk of
evidence being destroyed. According to Article 39(5) the provisional measure may take the form
of search and seizure as provided under the civil procedure code and the criminal procedure
code.
In deciding on an application for provisional measures, the court may in pursuant to Article 39(4)
(a) consider if the threatened interest cannot be redressed by awarding damages; particularly,
whether the threat is imminent, the prema facie strength of the action and the gravity of the
prejudices a decision for or against may cause to either of the parties. The court may further
undertake, as per Article 39(4) (c), a deeper investigation of the relative strength of the parties
before granting the temporary injunction where the application of the criteria under Article 39(4)
(a) puts the parties on equal position. The clause ‘where the application of the criteria under
Article 39(4) (a) puts the parties on equal position’ is an important safeguard to the defendant in
that it protects him from a surprise by a search and seizure court order. On the other hand,
‘deeper investigation’ by the court, which is for sure overtaken by other matters, may mean
giving the defendant to infringe to the extent irreparable by awarding damage, or possibly it may
give the defendant enough time to conceal or destroy relevant evidence.
b) Civil remedies
According to Article 40 the civil remedies take the form of permanent injunction and accounting
of profits.
I. Permanent Injunction
A permanent injunction is granted, in favor of the plaintiff, after infringement of trade mark
rights by the defendant is proved. Once ordered, permanent injunction prohibits the defendant
from continuing the act of infringement. As such, permanent injunction guarantees the plaintiff
from further infringement by the defendant. It also, though incidentally, protects the public from
deception.
II. Accounting of profits
Article 40(1) (b) cum. Sub article (2) allows the plaintiff to recover profits gained from the use of
the trademark, or alternatively the amount of royalty the defendant could have been charged had
he used the trademark under the license contract. All the plaintiff has to demonstrate is the
defendant’s gross income; the burden is upon the defendant to prove items of cost. In other
words, the plaintiff is required to prove only the total amount of the defendant’s sales and need
not worry about what portion of those gross sales are attributable to the cost of the items,
advertising, administrative costs, and any other expenses that are deductible from gross amounts
to determine profits.
The whole of the net profit derived from the sale of the defendant’s goods or services in connection with
the use of the trade mark shall be attributed to the use of the trade mark unless the defendant proves that
part of the profit is attributive to other factors.
Additionally, the plaintiff does not have to demonstrate that, had the defendant not made these
sales, the consumers would have purchased from the plaintiff instead.
Finally, it must be noted that the accounting for profit is a compensatory measure than a punitive
standard. Hence the court must be certain that the accounting for profit does not yield a result
that is so high as to work a punishment on the defendant rather than compensation to the plaintiff
for any losses. The court should as well guard against the possibility that the accounting fails to
consider factors that unfairly deprive the plaintiff of what is justly his.
c) Criminal Sanctions
In many countries, trade mark infringements are conventionally classified as civil matters. As
such, the remedy for a trademark owner for infringement is to seek compensation, and/or
injunction, and/or destruction of the infringing devices. However, mainly due to the insufficiency
of the civil remedies to control the malady of piracy, some states have started to use the army of
criminal sanction to strengthen the enforcement measures of trademarks rights.
One of the substantial advances envisaged under the new trade mark registration and protection
proclamation is the incorporation of criminal sanctions, in addition to provisional and civil
remedies. The criminal sanctions apply not only to acts committed intentionally but also to those
acts committed with gross negligence.
The severity of the criminal sanction varies depending on the supposed degree of knowledge of
the infringer. Where it is ascertained that the defendant has intentionally infringed rights
protected under the trademark registration and protection proclamation, he would be punished
with rigorous imprisonment of a term not less than 5 years and not more than 10 years. But, in
the case of gross negligence, the punishment ranges from 1-5 years of gross negligence.
However, it must be noted that the criminal sanctions under the trademark registration and
protection proclamation are applicable only where the criminal code does not impose heavier
penalty.
Compare the severity of the criminal sanctions envisaged under the trade mark registration and
protection proclamation with that of the new revised criminal code.
Various mechanisms have been developed to protect trademarks on a transnational basis. The
earliest of these was the Paris convention of 1883 that requires members to apply the principle of
national treatment. That is, it requires members to treat foreign nationals of contracting states as
they would their own nationals. This ensures the possibility for foreign protection of trademarks.
This is further facilitated by provisions that give registrants in one country a short period of
priority, and provisions obliging national offices to register any trademark which has been
registered in its country of origin.
While the Paris convention was of some assistance to transnational traders, it failed to create a
mechanism for the international application for marks. However, afterwards, the Madrid
agreement on the international registration of marks of 1891, and the Madrid protocol of 1989
The TRIPs agreement also provides by far the most detailed international prescription of the
substantive rules relating to the protection of registered marks. For example, Article 15 defines
the protectable subject matter expansively that includes service marks. It also prohibits
discrimination as to regisrabilty according to the nature of the goods and services to which a
trademark is to be applied. Article 16 requires recognition of certain rights, in particular the use
of an identical or similar mark on identical or similar goods or services where such use would
result in a likelihood of confusion. Articles 17 and 18 provide, respectively, for limited
exceptions to the rights conferred by a trademark, and for the potentially indefinite registration of
marks on the basis of renewable terms, each of a minimum of seven years. Article 19 limits the
circumstances in which registrations may be revoked for non-use, and Article 21 prohibits the
compulsory licensing of marks.
There has been relatively little concern at international level on the protection of unregistered
marks. In part this could be explained by the fact that if a business operates on a transnational
level, it will typically have the resources to protect its interest through registration. As a result,
the protection of unregistered marks tends to be a matter of concern for small enterprises and as a
consequence, has not prompted activities at diplomat level.
However, the geographical expansion in the operations of many businesses has given rise to a
form of opportunism, against which international action has taken place. More specifically, the
Paris convention has been revised to prevent the preemptive adoption of such marks by
interlopers in countries where the proprietor has not yet commenced marketing. As such, Article
6 of the Paris convention imposes an obligation to recognize and protect well-known marks even
where they have not been registered.