1 Introduction

During his long and successful career at the Max Planck Institute and as an eminent lawyer, Jochen Pagenberg has dealt with many issues in IP law that took him to the forefront of legal debates and developments. For instance, I remember him being active in the at that time relatively novel field of character merchandising,Footnote 1 fighting inter alia against what he considered as serious disparagement of a unique cast of endearing personae inhabiting a small, unyielding village in ancient Gallia.Footnote 2 Not being a character himself who is easily coaxed into complacency, Jochen in his later years became widely known as one of the critical observers of the back-and-forth steps taken towards the creation of a unitary patent system and judiciary.Footnote 3 While those efforts finally took form in Regulations (EU) No 1257/2012Footnote 4 and (EU) No 1260/2012,Footnote 5 as well as in the Unified Patent Court Agreement (UPCA), the ultimate fate of that project still hangs in limbo after Brexit,Footnote 6 and more legal challenges than we have seen so farFootnote 7 may be raised.

However, that is not my topic for this homage to my old friend Jochen. What I want to address in the following is the alternative model chosen by the makers of the unitary rights systems already existing at the EU level, that is, European Union trade marks (EUTMs) and Community designs (CDs).Footnote 8 Unlike the unitary patent package, the ambitious plan of creating a common EU judiciary for adjudication of infringement and validity of EUTMs and CDs was never pursued.Footnote 9 Instead, Member States were obliged to designate national courts to perform the task of Community/EU trade mark and design courts that are competent to decide on claims concerning unitary rights (in the following: designated courts). The system has the charm of simplicity; it fits without problem into already existing structures. On the other hand, it fails to provide for a genuine EU judiciary. Although being “EU courts” by name, the courts deciding on infringement and counterclaims for invalidity are de facto national fora acting and deciding within the context of separate judicial systems. The imperfect, limping character of the system is liable to create issues inter alia concerning international jurisdiction, applicable law, and coherence of the system. Some of those issues have been addressed and decided by the CJEU with one case still pending at this time.

In the following, an overview is first given on the regulation of international jurisdiction and applicable law with regard to unitary intellectual property (IP) rights in the relevant instruments of EU law (Sect. 2). Thereafter a presentation of the pertinent CJEU jurisprudence (Sect. 3.1) forms the background for suggesting a solution for the case currently pending (Sect. 3.2), with a brief conclusion pointing out the deficits of the system (Sect. 4).

2 Legal Bases

2.1 General Rules on Jurisdiction and Applicable Law

Rules governing judicial competence in litigation concerning civil and commercial matters are unified by Regulation (EU) No 2012/1215 (BR I a).Footnote 10 As a general principle, all claims can be brought against a defendant before the courts of the Member State where he or she is domiciled (Art. 4 BR I a). In case of torts or delicts, jurisdiction is also vested in the courts at the place where the harmful event occurred (Art. 7(2) BR I a). Furthermore, claims can be brought before a different court from that of a defendant’s place of domicile where he is one of a number of defendants joined in actions having the same factual and legal basis (Art. 8(1) BR I a). Finally, Art. 67 BR I a stipulates that the “application of provisions governing jurisdiction and the recognition and enforcement of judgments in specific matters which are contained in instruments of the Union” shall not be prejudiced. This means that specific rules set forth in Regulations No 2017/1001 on the European Union trade mark (EUTMR)Footnote 11 and No 2002/6 on the Community design (CDR)Footnote 12 take precedence, while the provisions in the BR I a operate by default.Footnote 13

The law applicable in litigation concerning non-contractual obligations is determined by the rules enshrined in Regulation (EC) No 2007/864 (Rome II).Footnote 14 For IP rights, Art. 8(1) Rome II stipulates that “[t]he law applicable to a non-contractual obligation arising from an infringement of an intellectual property right shall be the law of the country for which protection is claimed”. That rule is complemented in Art. 8(2) Rome II by declaring that “[i]n the case of a non-contractual obligation arising from an infringement of a unitary Community intellectual property right, the law applicable shall, for any question that is not governed by the relevant Community instrument, be the law of the country in which the act of infringement was committed”.

2.2 Sanctions for Infringement

In practice the reference in Art. 8(2) Rome II to “the law of the country where the act of infringement was committed” is of primary importance with regard to sanctions for infringement. Both the EUTMR and the CDR only contain a rudimentary set of sanctions. Article 122 EUTMR and Art. 98(1)(a) CDR set forth that courts must enjoin current or imminent infringements; furthermore, pursuant to Art. 89(1)(b) and (d) CDR, courts can order seizure of imitations of protected Community designs as well as of material and implements primarily serving to produce those items. Regarding further sanctions, courts must revert to the provisions in national law. The discrepancies potentially caused thereby are mitigated by the fact that Directive 2004/48/EC on Enforcement of Intellectual Property Rights (IPRED)Footnote 15 has brought about a fair amount of harmonisation. This concerns inter alia damages, corrective measures, publication of judgments etc. However, this is far from claiming that because of the harmonisation achieved under IPRED, the issue of which law applies under Art. 8(2) Rome II to sanctions for infringement which are not regulated in the EUTMR or CDR has become largely moot. For instance, irrespective of harmonisation, the principles and methods for calculating damages diverge quite substantially in practice. Furthermore, IPRED does not regulate each and every aspect of claims for redress that the right-holder is entitled to. Thus, IPRED is silent with regard to the infringer’s duty to render account of the gains derived from the infringement item, information that courts may need for computation of damages.Footnote 16

2.3 Special Rules in the EUTMR and CDR

2.3.1 Jurisdiction

Both the EUTMR and the CDR declare that international jurisdiction in matters concerning unitary rights in trade marks or designs is regulated by the BR I a and its predecessors, unless the specific rules set forth in the respective instruments provide otherwise (Art. 122 EUTMR; Art. 79 CDR). Jurisdiction is vested in the courts designated by the Member States as EUTM and/or CD courts which are exclusively competent to adjudicate on claims for infringement and counterclaims for invalidity (or revocation). Furthermore, if national law so permits, the designated courts are also exclusively competent regarding claims for threatened infringement and for declaration of non-infringement (Art. 124 EUTMR; Art. 81 CDR).Footnote 17 Prerequisites and breadth of international jurisdiction of designated courts are regulated in Art. 125, 126 EUTMR and Art. 82, 83 CDR respectively. Competence lies with the courts in the Member State where the defendant is domiciled or, if he has no domicile in the EU, where he has a business establishment. If the defendant is neither domiciled nor has a business establishment in the EU, competence lies with the court in the Member State of the plaintiff’s domicile or, failing that, a business establishment. If none of the parties is domiciled or has a business establishment in the EU, competence is vested in the courts of the Member State where the Office has its seat (Spain) (Art. 125(1)–(3) EUTMR; Art. 82(1)–(3) CDR). Furthermore, the parties can agree on the competent court, or enter an appearance (Art. 125(4) EUTMR; Art. 82(1)–(4) CDR). Jurisdiction of courts so determined is not subject to territorial restrictions (Art. 126(1) EUTMR; Art. 83(1) CDR).

An alternative head of jurisdiction is set forth in Art. 125(5) EUTMR and Art. 82(5) CDR: claims, except for declaration of non-infringement, can also be raised in the courts of the Member State “in which the act of infringement has been committed or threatened”. In that case, the competence of the court seized is limited to “acts committed or threatened within the Member State where that court is situated” (Art. 126(2) EUTMR; Art. 83(2) CDR).

2.3.2 Applicable Law

As a matter of principle, the law to be applied in proceedings concerning EUTMs and CDs is primarily the law enshrined in the respective instruments (Art. 129(1) EUTMR; Art. 88(1) CDR). For matters not regulated therein, national law applies, which includes private international law (Art. 129(2) EUTMR; Art. 88(2) CDR). In addition to the sanctions expressly regulated in the CDR – injunctions and seizure of infringing goods and implements – Art. 89(1)(d) CDR specifies that competent courts may impose “other sanctions”, which are provided by the law of the Member State in which the acts of infringement or threatened infringement are committed, including its private international law. In the same vein, Art. 130(2) EUTMR points out that “[t]he EU trade mark court may also apply measures or orders available under the applicable law which it deems appropriate in the circumstances of the case”. Both instruments further provide that designated courts must take measures in accordance with their national law to ensure that injunctions or other orders issued on the basis of the Regulations are complied with (Art. 130(1) second sentence EUTMR; Art. 89(2) CDR). Finally, for procedural matters, national procedural law (lex fori) applies (Art. 129(3) EUTMR; Art. 88(3) CDR).

3 CJEU Jurisprudence

3.1 Cases Decided So Far

In the following, CJEU decisions concerning international jurisdiction and applicable law in litigation involving unitary rights are presented in chronological order.

Adjudicative competence of courts in the Member State where an infringement occurs (Art. 125(5) EUTMR; Art. 82(5) CDR) was first addressed in Coty Germany v. First Note.Footnote 18 The defendant, a Belgian company, had sold products infringing the plaintiff’s EUTM to a German company that imported and sold the products in Germany. The defendant disputed jurisdiction of the German courts where the litigation had been brought against him. The question was thus referred to the CJEU whether German courts were competent to decide on the defendant’s contribution to the infringement that took place in Germany. The CJEU referred to established jurisprudence under Art. 7(2) BR I a (then: Art. 5(3) BR) according to which jurisdiction in matters of torts and delicts is vested in the courts at the place where damage is caused as well as at the place where the tort produces its effects.Footnote 19 As the infringement to which the defendant had contributed produced its effects in Germany, it was found that jurisdiction of German courts exists insofar as jurisdiction is determined on the basis of Art. 7(2) BR I a. In the actual case this concerned claims based on national unfair competition law.Footnote 20 Concerning claims for infringement of the EUTM, however, the provisions in the EUTMR take precedence, meaning that jurisdiction was determined by Art. 125(5) EUTMR (then: Art. 93(5) CTMR) in lieu of Art. 7(2) BR I a. As Art. 125(5) EUTMR refers to the courts in the State where the “act of infringement” is committed or threatened, the CJEU concluded that bringing proceedings in Germany was excluded due to the fact that the infringement only produced its effects, without the defendant having acted there.Footnote 21

After the CJEU’s ruling in Coty Germany it remained unclear for some time whether for a Member State to qualify as a place where the act of infringement occurs it must be established that the alleged defendant physically acted in that territory. Support for that position could arguably be drawn from the CJEU’s reference to the defendant having to engage in “active conduct”Footnote 22 within the territory concerned for there to have been an “act of infringement”. That understanding would have rendered Art. 125(5) EUTMR and Art. 82(5) CDR largely moot, in particular where goods are offered and distributed through the internet.

Before the issue was clarified, the CJEU had an opportunity to specify its position concerning the determination of the law applicable to sanctions for infringement of unitary rights in case that the pertinent measures are not regulated in the EUTMR or the CDR. The issue had already been addressed in Gautzsch v. Duna;Footnote 23 however, as the Rome II Regulation had not been in force when the lawsuit was filed, Art. 8(2) Rome II was not addressed in the decision. The plaintiff in Gautzsch claimed rights in an unregistered Community design (UCD) that was allegedly infringed in several Member States. The German Federal Supreme Court (BGH) referred to the CJEU the question under which law (or laws) the plaintiff’s claims for destruction, information and damages had to be decided.Footnote 24 On the one hand, the BGH referred to arguments made in the literature that identifying a single point of attachment for the law to be applied was conducive to efficient enforcementFootnote 25 but, on the other hand, the wording of Art. 89(1)(d) CDR was held to suggest that the national law of any individual Member State affected by the infringement must be applied (mosaic approach).Footnote 26 The CJEU did not comment on those considerations, but only pointed out that the law applicable to “other sanctions” in the meaning of Art. 89(1)(d) as well as to matters not regulated in the CDR (Art. 88(2) CDR) is the law of the Member State where the court is situated, including its private international law.Footnote 27

Questions remaining as to the interpretation of Art. 8(2) Rome II were answered in Nintendo v. BigBen.Footnote 28 The plaintiff claimed infringement of its CD, jointly undertaken in several EU Member States by the defendants, a French-based mother company and its daughter established in Germany. Again the question arose as to the law applicable to ancillary sanctions such as damages, destruction, and publication of judgments. The CJEU noted that, as a general rule, the law applicable under Art. 8(2) Rome II is the law of the “country where the event giving rise to the damage occurs”, and not, as in the general rule enshrined in Art. 4(1) Rome II, the “country in which the damage occurs”.Footnote 29 Considering that in proceedings relating to intellectual property rights it is not uncommon for the same defendant to be accused of several infringing acts, several places could constitute the relevant connecting factor for determining the applicable law,Footnote 30 resulting in a mosaic approach. That proposition is evaluated in the light of the factors guiding the interpretation of Art. 8(2) Rome II, which the CJEU identifies as legal certainty, foreseeability and the aim of striking a reasonable balance of interests.Footnote 31 The CJEU then concludes that

[i]n the light of those objectives, where the same defendant is accused of various acts of infringement … in various Member States, the correct approach for identifying the event giving rise to the damage is not to refer to each alleged act of infringement, but to make an overall assessment of that defendant’s conduct in order to determine the place where the initial act of infringement at the origin of that conduct was committed or threatened.Footnote 32

In cases like the one at issue, it is therefore possible to identify a single connecting factor linking to a single national law instead of applying a mosaic approach.

Nintendo achieved a welcome clarification insofar as the law applicable to ancillary sanctions in case of multi-Member-State infringement of unitary IP rights is concerned. However, the decision risked exacerbating the problems concerning the interpretation of Art. 125(5) EUTMR and Art. 82(5) CDR. If the words “act of infringement” were to be interpreted synonymously with the CJEU’s reading of the same term appearing in Art. 8(2) Rome II, this would mean that proceedings on the basis of Art. 125(5) EUTMR and Art. 82(5) CDR could only be brought in the courts situated in the Member State where, according to an overall assessment, the “initial act of infringement” was committed. In the large majority of cases that place would coincide with the defendant’s seat or establishment, if that exists in the EU;Footnote 33 the provision would thereby become all but meaningless. Nevertheless, that interpretation was endorsed by the German Federal Supreme Court,Footnote 34 which was so convinced of its position that the judges considered it needless to refer the issue to the CJEU.Footnote 35 Fortunately, the Court of Appeal for England and Wales reacted soon thereafterFootnote 36 and requested the CJEU’s opinion on Art. 125(5) EUTMR in a case concerning marketing of EUTM-infringing articles via a website operated from Spain to customers inter alia in the UK (AMS Neve v. Heritage Radio).Footnote 37 The CJEU set the matter straight. The judgment points out, first, that Art. 125(5) EUTMR (then: Art. 97(5) CTMR) is meant to provide an alternative to the venues listed in Art. 125(1)–(4),Footnote 38 and that the interpretation must be guided (inter alia) by that aspect. The Court then refers to its decision in Coty Germany, and that the criterion for jurisdiction in (then) Art. 93(5) CTMR relates to “active conduct”.Footnote 39 As a basis for assessing whether such conduct was made by the defendant, the CJEU points to Art. 9 EUTMR which sets forth the conditions for infringement and a list of actions that fall within the exclusive right of the trade mark holder, including advertising and offering for sale products under the mark. If such acts occur by electronic means,

it is necessary … to hold that those acts were committed in the territory where the consumers or traders to whom that advertising and those offers for sale are directed are located, notwithstanding the fact that the defendant is established elsewhere, that the server of the electronic network that he uses is located elsewhere, or even that the products that are the subject of such advertising and offers for sale are located elsewhere.Footnote 40

Any other solution would make it easy for an infringer to evade the application of Art. 9 EUTMR, and it would undermine the efficiency of Art. 125(5) EUTMR and its predecessors to provide an alternative forum.Footnote 41 Accordingly,

the expression “the act of infringement” must be understood as relating to acts, specified in Article 9, which the applicant claims to have been committed by the defendant … and those acts must be held to have been “committed” in the territory where they can be classified as advertising or as offers for sale, namely where their commercial content has in fact been made accessible to the consumers and traders to whom it was directed.Footnote 42

3.2 Comment

The language chosen by the CJEU in AMS Neve is clear enough to disperse any doubts about the applicability of Art. 125(5) EUTMR where the right-holder seeks to enjoin and obtain redress against individual acts of infringement forming part of a larger operation conducted from a different Member State. It must be added, however, that the confusion about the role and interpretation of Art. 125(5) EUTMR is at least partly due to the CJEU’s own unfortunate attempts to transpose the scheme developed in general tort law to the differently structured area of IP rights.Footnote 43 In private international law pertaining to torts, it is an established feature to distinguish between the place where an event giving rise to damage occurs, and the place where that damage takes effect. Due to the territoriality principle, that scheme cannot apply properly in the field of IP law. It is simply not possible for “damage” in the meaning of IP infringement to ensue in a country without an “event” in the meaning of an infringing act also being committed there; both necessarily coincide with regard to the territory where they occur.Footnote 44 Of course, that does not exclude that an act of infringement committed in one particular Member State results from a central activity carried out in a different Member State (or possibly even outside the EU). This does not change the fact, however, that the dichotomy of “place of the harmful event” (locus delicti commissi) and “place of the harmful effect” (locus damni) established in private international law makes no sense regarding IP infringement. The relevant distinction rather applies between the place where events leading to further infringing acts were initiated and the place where individual acts prohibited under the relevant provision(s) of IP law were committed. None of those is a mere “locus damni”; the notion of “locus delicti commissi” fits both of them, albeit in different ways. Both varieties of the notion have a proper place in the arena where private international law interacts with IP law, depending on the circumstances of the case and the claims raised, as is shown in the following.

3.3 Case Pending: BMW v. Acacia

3.3.1 Background

At the time of writing, a request for a preliminary decision is pending before the CJEU.Footnote 45 The underlying dispute arose between BMW and an Italian maker of wheel-caps, some of which reproduced a CD protected for BMW. The products were distributed in the entire EU, including in Germany. BMW raised an infringement claim before the District Court of Düsseldorf. The court assumed competence under Art. 82(5) CDR and granted the claim, inter alia ordering the defendant to render accounts so as to calculate damages. The defendant observed that Italian law – which he claimed was applicable to the sanctions not regulated in the CDR – does not provide for such measures. The Düsseldorf Court of Appeal thereupon referred the following questions to the CJEU:Footnote 46

1. In proceedings for an infringement of Community designs, can the national court dealing with the infringement proceedings having international jurisdiction pursuant to Article 82(5) of the Community Designs Regulation apply the national law of the Member State in which the court dealing with the infringement proceedings is situated (lex fori) to subsequent claims in relation to the territory of its Member State?

2. If Question 1 is answered in the negative: Can the “initial place of infringement” for the purposes of the CJEU judgments in Cases C-24/16, C-25/16, Nintendo, regarding the determination of the law applicable to subsequent claims under Article 8(2) [Rome II] also lie in the Member State where the consumers to whom internet advertising is addressed are located and where goods infringing designs are put on the market within the meaning of Article 19 [CDR], in so far as only the offering and the putting on the market in that Member State are challenged, even if the internet offers on which the offering and the putting on the market are based were launched in another Member State?

The plaintiff in this dispute contends that Art. 8(2) Rome II is inapplicable because, for the reasons spelled out in Nintendo, the provision only relates to the situation that infringement claims pertain to several EU Member States. Against that, the referring court argues that application of German law “would contradict the objective of the Rome II Regulation to apply, for the purpose of harmonisation, the same law throughout the EU, irrespective of the venue”.Footnote 47 In addition, the referring court points out that, if German law were applied in this case, this would mean that a different law applies in the case that redress is claimed for the infringement in its entirety, “although the claims pertain to the same acts and the same damage”.Footnote 48 The court therefore endorses the opinion that Italian law applies as the law of the Member State where the infringement was initiated. In that context, the court doubts that the CJEU’s decision in AMS Neve (where the CJEU acknowledged that an “act of infringement” is committed wherever conduct prohibited under Art. 9 EUTMR occurs) has in any way restricted or renounced what has been decided with regard to applicable law in Nintendo.

3.3.2 Analysis and Suggested Solution

3.3.2.1 Lex Fori

As pointed out above, rules concerning private international law in matters concerning a CD are set forth in Arts. 88 and 89 CDR. For matters not regulated in the CDR itself, Art. 88(2) refers to national law, including domestic private international law. While the matter was therefore left entirely to national jurisdiction in Gautzsch,Footnote 49 this changed from the point in time when the Rome II Regulation entered into force. Since then, any reference in instruments of EU law to private international law in matters covered by the Rome II Regulation must be understood as a reference to the provisions set forth therein.Footnote 50 The argument made by the plaintiff that Art. 8(2) Rome II is inapplicable would therefore only be valid if the dispute did not have any cross-border impact.Footnote 51 However, such impact clearly exists here: not only is the defendant a company based in Italy, but the infringement concerns a unitary right that extends throughout the EU. Thus, even though as a result German law should apply in this case, taking the short cut of simply relying on lex fori is not a viable option. This is corroborated by Art. 88(3) CDR, which limits the application of lex fori to issues of procedural law.

3.3.2.2 Applicable Law as Determined Under Art. 8(2) Rome II

The questions referred to the CJEU seem to suggest that a choice must be made between either applying lex fori or, if that should be denied, accepting that the point of attachment for the law applicable under Art. 8(2) Rome II must be determined according to the formula developed in Nintendo. However, that choice is too narrow. It omits the alternative that German law applies simply because it is the law of the Member State where the acts of infringement to which the claim pertains have been committed, without any need for invoking or re-interpreting the Nintendo formula.

Different from what the referring court suggests,Footnote 52 that approach does not amount to a renunciation or restriction of what the CJEU said in Nintendo. On the contrary, the CJEU pointed out in Nintendo that each infringing act undertaken in the various Member States could, in principle, serve as a connecting factor for determining the applicable law.Footnote 53 It was only declared in the decision, and was repeated in the operative part of it, that a different point of attachment must apply “where the same defendant is accused of various acts of infringement … in various Member States”.Footnote 54 The validity of the latter principle remains not in question. However, it does not determine the relevant point of attachment in cases that do not conform to the situation addressed in Nintendo.

This becomes particularly obvious in a situation where the defendant initiated the acts of infringement in a non-EU country. In that case, applying the law of that country is definitely excluded.Footnote 55 Other points of attachment must be identified, either by relating to a (secondary) hub of activities in the EU or, where that does not exist, by referring to the law of the countries where individual acts of infringement are committed. As shown before (Sect. 3.2), the term “act of infringement” is broad enough to encompass all those alternatives. It is true that the CJEU insists that reference to the concept of “act of infringement” in Art. 8(2) Rome II must be given an “independent and uniform” meaning.Footnote 56 However, that primarily means that the solution may not vary between Member States; it does not exclude that different points of attachment apply depending on the specifics of the dispute.

The CJEU has declared in Nintendo that the question of which of the notions comprised in the term “act of infringement” applies in a given context depends on an interpretation undertaken in the light of foreseeability and legal certainty, as well as on the aim to strike an appropriate balance between the interests involved.Footnote 57 Applying those principles to the situation presented in Nintendo, the CJEU contended that taking a mosaic approach, in the sense that the law of all Member States involved in the infringement must be applied to the sanctions, would make determination of the substantive law rather unpredictable.Footnote 58 One may have doubts whether that argument is completely convincing. It should normally be clear for the parties, in particular for the defendant, in which Member States the impugned business activities were carried out, so that the national laws applicable under a mosaic approach should generally not be too difficult to predict. However, the approach chosen in Nintendo is unquestionably superior to a mosaic approach in terms of procedural efficiency. Having to apply a number of different laws within the same proceedings would be cumbersome in terms of time and costs, thereby jeopardising the aim of efficient and secure protection against widespread infringement of unitary rights. From the viewpoint of efficiency and security, it is also important that infringements extending over several Member States are frequently initiated at the defendant’s place of domicile, where litigation in such cases must be instigated pursuant to Art. 82(1) CDR (or, in case of EUTMs, Art. 125(1) EUTMR). The coincidence of the venue and the relevant point of attachment for the law applicable under Art. 8(2) Rome II makes it possible for the competent court to apply its own law, which is a substantial, though not necessarily decisive, factor bolstering the expedience of proceedings and the legal certainty of judgments delivered on that basis.

The situation is completely different when litigation only concerns infringements occurring in one single Member State. Applying the law of the country where the individual act(s) of infringement occur does not pose any problem with regard to predictability, nor does it hamper procedural efficiency. Furthermore, in the large majority of claims brought before an infringement court whose competence is based on Art. 82(5) CDR (or Art. 125(5) EUTMR), the venue does not coincide with the Member State in which the infringement in its entirety has been initiated. If the point of attachment for the applicable law were nevertheless bound to relate to the latter activities, infringement courts would frequently have to apply a different law from the law of the Member States where the infringing acts to which the plaintiff’s claims pertain are actually committed. This could lead to skewed results if the procedural context in which the relevant sanctions operate in a domestic context differs from that at the infringement venue. For instance, the aspect that under Italian law the holder of an IP right cannot request rendering of accountsFootnote 59 may be compensated in the domestic context by the fact that Italian judges have wide discretion for estimation of damages, whereas in the context of German law, failure of accounts being rendered seriously jeopardises the computation of damages by the plaintiff and the court.

An analysis undertaken in the light of efficiency, legal certainty and a balance of interests therefore arrives at the conclusion that the Nintendo formula is inappropriate for defining the point of attachment in cases concerning infringement in one single Member State. It is preferable and more appropriate to apply the law of the Member State where the individual acts to which the claim pertains have been committed.

3.3.3 Different Laws – Same Subject Matter?

Concluding that it is possible and appropriate to identify two different points of attachment for the law applicable under Art. 8(2) Rome II does not yield a final answer to the question whether doing so might compromise the system established by the Regulation. Doubts in that regard could ensue if the approach results in different substantive laws being applied to the same subject matter. That risk is addressed by the referring court in BMW v. Acacia.Footnote 60 The approach endorsed here is rejected inter alia with reference to the argument that different laws would apply, depending on whether the plaintiff chooses to claim redress for the infringement in its entirety or for individual acts of infringement committed in a single country.Footnote 61 While that is true, it is not a sign of inconsistency. The diversity of laws applying to the sanctions are explained by the fact that the respective claims differ in their substance. Where claims concern the infringement in its entirety, the tort is completed in the Member State where the initial action is taken. In that scenario, acts occurring in other Member States are of relevance only insofar as they relate to the dimensions of the infringement; they concern quantity, and not the substance of the claim as such. This is different from the situation that acts of infringement in individual Member States are singled out and are litigated separately before the courts in the Member State where those infringements occur. The substance of claims raised is also different when the right-holder chooses to bring a number of proceedings in individual Member States, each one concerning specific acts of infringement occurring there. In that case as well, the law applying to the sanctions is different in consequence of the fact that the claims only relate to the specific acts committed in the respective Member States.

In accordance with that view the CJEU has repeatedly emphasised that infringement claims concerning the same right being infringed in different territories do not concern the same subject matter.Footnote 62 In that context the CJEU also contended that “the courts of the various Member States before which actions are brought in such circumstances cannot deliver ‘contradictory judgments’, within the meaning of recital 17 of Regulation No 207/2009, since the actions that the applicant has brought relate to distinct territories”.Footnote 63

While that statement can be endorsed insofar as ancillary sanctions for specific acts of infringement committed in the different territories are concerned, it is not convincing where divergences relate to the constituent elements of the infringement as such. For instance, if in a case concerning CD infringement, different national courts arrive at diverging conclusions regarding the question of the overall impression produced on an informed user by the allegedly infringing design, it can hardly be said that the decisions are not contradictory.Footnote 64 Mere diversity of territories does not change the fact that the subject-matter in both cases is the same. The situation is the same in principle in regard to trade mark conflicts, for instance concerning the question whether the sign used by the alleged infringer and the goods or services in relation to which it is used are sufficiently similar to give rise to a likelihood of confusion.Footnote 65 The issue is not addressed in the CDR or EUTMR,Footnote 66 leaving it without remedy.Footnote 67 This is another deficiency resulting from the fragmented nature of the system; however, it concerns a general issue of lacking coordination of court decisions and does not affect the validity of the approach espoused towards the interpretation of Art. 8(2) Rome II.

4 Concluding Remarks

At the beginning of this essay reference was made to the yet-to-become-operational unified judicial system forming part of the so-called patent package. For all the flaws potentially troubling the system,Footnote 68 it provides relatively clear-cut solutions for the issues addressed above.Footnote 69 Jurisdiction of courts participating in the systemFootnote 70 and the applicable lawFootnote 71 are regulated comprehensively in the UPCA. Courts of first instance established at the national or regional level as well as the central divisions form part of one single judiciary with a common appeal court, instead of remaining part of their own national court hierarchy. Furthermore, and very importantly, the UPCA contains its own catalogue of measures to be taken by the courts, including sanctions for infringement,Footnote 72 which provides a de facto uniform legal basis for the courts to proceed on. The questions arising in Nintendo and the pending case of BMW v. Acacia would therefore be moot.

There does not seem to be a realistic prospect soon for a genuinely unitary judicial system to be established for EUTMs and CDs. However, at least the last-mentioned aspect in the UPCA, unification of sanctions, does not seem to be completely out of reach for other unitary rights as well. Doing so would considerably ease the frictions between the aspired aim of granting uniform protection and a still somewhat fractured reality when it comes to the enforcement level.