1. Introduction
Discussions about a waiver applicable to certain obligations contained in the Agreement on Trade-Related Aspects of Intellectual Property Rights (TRIPS Agreement) at the World Trade Organization (WTO) took what some may have seen as an unexpected turn.Footnote 1 Since 1995, key WTO Members, including the European Union and the United States, have remained staunch advocates for high intellectual property protection.Footnote 2 Accordingly, those Members, and others, first opposed the waiver sought by many Members to deal with the COVID-19 pandemic, and they were less than forthcoming in preliminary discussions about a waiver to allow Members to address climate change.Footnote 3 In March 2021, however, the United States signaled a willingness to engage in the waiver discussions, putting pressure on the EU and pharmaceutical companies to be more accommodating of the demands made by developing nations and others.Footnote 4
The principal reason to obtain a waiver relates to dispute settlement. A WTO Member seeking a waiver likely believes that it could be on the losing end of a dispute brought against it by another Member under the TRIPS Agreement if that member limited intellectual property protection to pursue public health, environmental, or other policy objectives. The waiver is unlikely to be doctrinally necessary on that count, even without discounting the risk that a Member would file a dispute against another Member using TRIPS flexibilities during a pandemic.Footnote 5 Specifically, this is because the Appellate Body and panels following Appellate Body jurisprudence are more likely now than 20 years ago to apply an existing exception or use some other doctrinal vehicle to allow a Member to justify a measure sufficiently supported by a significant public policy objective. This shift is ‘pluralist’ in that it allows trade law to compete both with other norms of international law and with domestic norms in major policy areas.Footnote 6
To argue that there is a trajectory towards pluralism in TRIPS jurisprudence, one must plot points on a historical timeline. This timeline begins with the establishment of the WTO in 1995 or just before. At that beginning point, one could observe two coexisting legal realms that mostly ignored one another. From World War II up until the early 1990s, those realms – international law and trade law (or economic law more generally) – had relatively few interconnections.Footnote 7 As far as trade law is concerned, this was by design.Footnote 8 Hence, until around 1990 trade law was, simply put, not part of the mainstream of international law.Footnote 9
Viewed from the other realm, that of international law, international economic relations were perceived, in the words of Antonio Cassese, as ‘a hunting ground for a few specialists, who often jealously hold for themselves the key to this abstruse admixture of law and economics’.Footnote 10 In other words, trade law and international law were different communities of practice, with little cross-pollination, if any. Professor Cassese penned this tale of separateness in 1986, the same year that the transformative Uruguay Round, which would lead to the establishment of the WTO, was launched. The Round would produce a package that added intellectual property to the WTO's norm-set, that is, the TRIPS Agreement.Footnote 11
The dissimilarity of normative foundations of both realms explains part of the fragmentation of international law.Footnote 12 In a nutshell, trade law's normative compass points towards trade liberalization, while international law aims to build a community of (sovereign) states.Footnote 13 Though there was always some common ground between the two realms, it was limited in scope. For example, both realms have been in agreement on the application of the treaty interpretation provisions of the Vienna Convention on the Law of Treaties (VCLT).Footnote 14
In the last decade of the previous century – during which the WTO was established – the idea that trade law could help build the edifice of international law began to emerge.Footnote 15 International law and trade law began eyeing each other with an increasing degree of interest.Footnote 16 Professor McRae put his finger on an inquiry that resulted from this change: ‘How, and to what extent, are concepts of international law to be integrated within the legal regime of international trade law?’Footnote 17 Trade law would progressively have to learn to navigate without its single normative trade liberalization lodestar, as its world was increasingly visited by non-trade, indeed non-economic concerns.
This progressive rapprochement, which emerged in plain view soon after the entry into force of the Marrakesh Agreement and the establishment of the WTO, is not altogether surprising.Footnote 18 After all, the WTO Dispute-Settlement Understanding (DSU) itself contains a significant nudge in providing that WTO instruments are to be interpreted and applied ‘in accordance with the customary rules of interpretation of public international law’.Footnote 19 In interpreting this provision barely a year after the establishment of the WTO, the Appellate Body cracked the door of the trade law realm open in stating that WTO Agreements were ‘not to be read in clinical isolation from public international law’.Footnote 20 At the very least, this meant that WTO law was not, or no longer, a closed system.Footnote 21 As stated by the Appellate Body, this ‘non-clinical-isolation doctrine’ was reflected in later Appellate Body reports that relied – to a limited extent – on the case law of international tribunals, namely the International Court of Justice, the European Court of Human Rights (ECHR) and the Inter-American Court of Human Rights.Footnote 22 This increased openness towards non-WTO norms of international law may reflect changes at the time in the composition of the Appellate Body.Footnote 23 There is also potentially influence from the Appellate Body Secretariat, which ‘tends to view the WTO as a bona fide international court’.Footnote 24
While this shift, however subtle, affected trade law, it applied somewhat differently to TRIPS because that Agreement is not typical trade law. Indeed, TRIPS incorporated by reference most provisions of two extant intellectual property conventions (that belonged to the realm of international law, not trade law).Footnote 25 This erected a different type of bridge between the two realms. Then TRIPS is also different in that it aims not to liberalize trade but to protect intellectual property. Hence, there is what this Article refers to as a ‘TRIPS difference’, justifying its different consideration from the (rest of) trade law.
The Article proceeds as follows. In Section 2, it defines the term used to label the last point in the timeline, namely ‘pluralism’, and explains what a pluralist approach to the application and interpretation of the TRIPS Agreement might entail. In Section 3, the Article draws a first timeline by reviewing reports of panels and the Appellate Body in non-TRIPS disputes at the WTO that support, or not, the idea that there is a trajectory towards a pluralist approach. This is relevant because despite the TRIPS difference it is the same jurisdictions that decide TRIPS cases. Section 4 paints the TRIPS timeline and reviews the changes in the interpretation of the TRIPS Agreement in various disputes since 1995. Section 5 looks in greater detail at the 2020 dispute-settlement reports in a case concerning Australian tobacco plain packaging legislation, which have paved the way to a pluralist approach. The Article then examines what a pluralist repositioning may mean for the future of TRIPS.
To be clear, the Article's objective is not to identify the normative valence of a pluralist approach – a debate that should be had elsewhere – but rather to query whether a pluralist approach is in fact emerging, and what that might mean going forward. Identifying the existence of a trajectory towards pluralism in TRIPS interpretation both broadens the range of tools available to litigants in their written submissions and oral arguments before panels and the Appellate Body, and provides a useful additional lens to parse Appellate Body reasoning.Footnote 26
2. Pluralism
The term ‘pluralism’ as it is used in international law probably owes its origins to an editorial by Josef L. Kunz published in 1955.Footnote 27 In more recent scholarship, pluralism was described differently, namely as seeking:
[T]o discern a model of order that relies less on unity and more on the heterarchical interaction of the various layers of law. Legally, the relationship of the parts of the overall order in pluralism remains open – governed by the potentially competing rules of the various sub-orders, each with its own ultimate point of reference and supremacy claim, the relationships between them are left to be determined ultimately through political, not rule-based processes. Footnote 28
Pluralism can be defined in a number of ways.Footnote 29 That said, all versions of pluralism rest on two overarching premises. The first is recognition that different legal orders do not just co-exist but occasionally clash. The second is an assertion that such clashes can produce positive outcomes through hybridization by allowing non-hierarchical contestations of the norms of one order by another. They can thus become more responsive to normative concerns reflected differently in the ethos of each order.Footnote 30 Pluralism is to international law what entropy is to science, for an increase in entropy means both an increase in the energy but also simultaneously in the randomness of a system.Footnote 31 This explains why pluralism can ‘unleash centrifugal forces’ that, at the extreme, can threaten the very existence of a legal order.Footnote 32 Put differently, by bringing both a renewed energy and more variability to legal analysis – and especially the interpretation of international intellectual property norms enforced through the trade regime – the adoption of a pluralist approach brings increased flexibility but it can also cause uncertainty (as to the outcome of a dispute, for example), which, in turn, can cause systemic instability and be a source of incoherence.Footnote 33
A pluralism of authority among an array of norms, norm generators and decision-makers results in a horizontality of norms from different parts of the legal order – interacting norms perceived as parts of a flower instead of an onion, to use Ana Nordberg's metaphor.Footnote 34 It translates into decentered law generation to take account of ‘differences both in substantive values and in attitudes about law [that] arise from fundamentally different histories, philosophies, and worldviews’.Footnote 35
Pluralism's focuses clashes among both norms and institutions. When norms from different parts of the international legal order interpenetrate the jurisdictions tasked with their interpretation, a form of ‘jurisdictional hybridity’ can occur, whether for good or ill.Footnote 36 Such hybridity can be used as a positive counterweight to ‘jurisdictional isolationism’, a condition that was said to afflict the Appellate Body a decade ago or so.Footnote 37
Pluralism is not limited to the domain of international law, though its role there has gained prominence in the last 15 years or so.Footnote 38 An international norm can also clash with a norm of municipal law. For example, in his account of the interaction between WTO and EU norms in respect of hormones added to beef destined for human consumption (as instantiated in EC–Hormones Footnote 39) or other applications of the precautionary principle, Krisch sheds light on a key feature of pluralism, the ‘contest of constituencies’.Footnote 40 In that case, the WTO dispute-settlement system provided a mechanism of judicial review of EU administrative action, thus serving an international constituency, while ‘the European mechanism that determines the status of WTO law in European Union law ties global regulatory action back to the European, national constituency’.Footnote 41
Based on the above analysis, as it is used in this Article ‘pluralism’ can be defined as a way of interpreting international obligations (trade and non-trade) that posits a horizontal relationship between two norm-sets, resulting in increased flexibility to blend trade and non-trade (indeed, non-economic) interests.Footnote 42 Pluralism is thus best seen as an approach or construct, which can be used from two different perspectives.Footnote 43 From within an institutional actor, making or interpreting a body of rules, it means a horizontality of norms external to that actor and norms within the actor's own institution, whether perceived as a mode of accommodation, or as operating at a more fundamental level, especially in norm-making endeavors. From outside the institutional actor, a pluralist analytical perspective considers that, while each actor/regime may struggle for primacy, none succeeds. Such an outcome can be seen as pluralist whether or not it was actually intended by any particular actor/regime partaking in a norm competition.
3. Pluralism in WTO (non-TRIPS) Practice and Jurisprudence
The aim of this section is to place key dispute-settlement reports and other WTO materials in non-TRIPS related matters on a timeline to provide a contextual backdrop for the analysis of a possible injection of pluralism in the application and interpretation of the TRIPS Agreement.
3.1 Context
As we begin, it is important to note that the WTO Appellate Body has not expressly described the interface between trade law and international law as horizontal.Footnote 44 Indeed, in certain disputes where the interface with external norms was directly raised by parties, panels and the Appellate Body sidestepped the issue.Footnote 45 The notion of giving WTO Members greater marge de manœuvre to reflect non-trade interests in their public policy initiatives has clearly been present in the Appellate Body's mind, however, and increasingly so.Footnote 46
3.2 Cases Supporting a Pluralist Approach
Leaving TRIPS-related disputes aside for now, the cases that arguably support a pluralist approach allowing WTO members to rely on competing, external (that is, non-WTO) norms to justify derogations from their trade commitments to give way to nontrade concerns, include: US–Shrimp, EC–Asbestos, US–Cotton Yarn, US–Gambling, EC–Biotech, Brazil–Retreaded Tyres, and EC–Seals.Footnote 47
First on the timeline, in US–Shrimp (1998) the Appellate Body used both the Convention on the Law of the Sea (UNCLOS) and the Convention on Biological Diversity (CBD) to decide whether the term ‘exhaustible natural resource’ in the GATT general exception (article XX) included living natural resources.Footnote 48 It found in the affirmative based in part on Article 56 of UNCLOS, which refers to ‘natural resources, whether living or non-living’.Footnote 49 The report also referred to the Convention on International Trade in Endangered Species of Wild Flora and Fauna (the ‘CITES’), to determine that sea turtles were an endangered species.Footnote 50 Interestingly, the Appellate Body mentioned ‘the recent acknowledgement by the international community of the importance of concerted bilateral or multilateral action to protect living natural resources’.Footnote 51 In the same report, the Appellate Body noted that it could rely on ‘interpretative guidance, as appropriate, from the general principles of international law’, including the principle of good faith, which the Appellate Body – described as a ‘“pervasive” general principle of good faith that underlies all treaties’ noting that the chapeau of Article XX is ‘but one expression of the principle of good faith’– and the doctrine of abus de droit. Footnote 52
US–Shrimp admits both a view that an interpenetration of subject-specific, non-WTO norms into the WTO legal order is possible, and a broader view that the application of non-subject specific principles of (international) law is possible. Put differently, the report built a bridge between WTO and non-WTO norms in a way that can, but does not necessarily, support a pluralist approach by using the general exception as a source of norm clashes. Clearly, however, the report marked a sea change from earlier GATT panel reports that squarely denied similar regulatory flexibility to the United States on a similar set of facts.Footnote 53
In EC–Asbestos,Footnote 54 the Appellate Body interpreted the expression ‘necessary to protect human … life or health’ in the same general exception (art. XX GATT) to decide whether the European Communities’ ban on asbestos was justified.Footnote 55 This ‘landmark ruling’ changed the interpretation of the term ‘necessary’ as the Appellate Body found that less trade restrictive measures render a measure unnecessary only if such alternative measures are ‘sufficiently effective’.Footnote 56 Previously, the demonstration by a complainant that a less-trade-restrictive alternative was available, even if not as effective in achieving the respondent's public policy objective, was sufficient for a finding that the measures was incompatible with the respondent's trade commitments.Footnote 57 Though the Appellate Body interpreted the term ‘necessary’ in a way that might make a lexicographer cringe, it left the EC with the room it needed to justify a ban based on an internal public health assessment. The panel considered the ban as supported by an emerging ‘consensual norm’ about the harms associated with the use of the product.Footnote 58 Importantly for our purposes, in words that would find an echo in the Declaration on the TRIPS Agreement and Public Health issued by Ministers at Doha later the same year, the Appellate Body found that ‘it is undisputed that WTO Members have the right to determine the level of protection of health that they consider appropriate in a given situation’.Footnote 59
A few months later in US–Cotton Yarn, the Appellate Body explicitly referred to the International Law Commission's draft Articles on Responsibility of States, and noted that its findings were ‘supported further by the rules of general international law on state responsibility, which require that countermeasures in response to breaches by states of their international obligations be commensurate with the injury suffered’.Footnote 60
In another report issued between EC–Asbestos and US–Cotton Yarn, the Appellate Body referred to the principle of good faith as ‘organic’, and implied that WTO law formed an integral part of public international law, noting that ‘the rules of treaty interpretation in Articles 31 and 32 of the Vienna Convention apply to any treaty, in any field of public international law, and not just to the WTO agreements’.Footnote 61
In US–Gambling (2005) the Appellate Body examined the application of the general exception contained in art XIV GATS.Footnote 62 The US alleged that the measures restricting access to foreign online gambling platforms were ‘necessary to protect public morals or to maintain public order’.Footnote 63 As in EC–Asbestos, the Appellate Body found the measure ‘necessary’ even in the absence of a consideration of less restrictive measures, noting that a prima facie case that a measure was necessary could be made ‘by putting forward evidence and arguments that enable a panel to assess the challenged measure in the light of the relevant factors to be “weighed and balanced” in a given case’.Footnote 64
The portions of the GATT and GATS general exceptions referred to in WTO law as the ‘necessity test’Footnote 65 were thus used to justify recourse to non-WTO norms to impinge on trade liberalization commitments.Footnote 66 This remains true despite the availability of less trade-restrictive measures.Footnote 67
As explained by the Appellate Body, the process of assessing necessity ‘begins with an assessment of the “‘relative importance” of the interests or values furthered by the challenged measure’.Footnote 68 The more important the interest, the heavier it weighs in the assessment.Footnote 69 As a result, ‘necessity’ can be situated on a spectrum that goes from ‘indispensable’, at one end, to merely a need to show that the measure is ‘making a contribution to’ the underlying policy objective, at the other end.Footnote 70 The point on the spectrum that applies to a challenged measure depends, in each case, on the importance of the non-trade public interest at stake, which, in turn, depends on the existence of relevant non-trade norms.
In Brazil–Retreaded Tyres (2007), Brazil tried to justify a ban on the importation of retreaded tires under GATT art. XX.Footnote 71 The ban was meant to reduce ‘exposure to risks arising from the accumulation of waste tyres’.Footnote 72 According to the Appellate Body, the ban ‘illustrates the tensions that may exist between, on the one hand, international trade and, on the other hand, public health and environmental concerns’, adding the analysis should take ‘into account the importance of the interests or the values underlying the objective pursued by it’.Footnote 73
The last dispute in this section is EC–Seals (2014). Canada and Norway contested the EU seal regime, which banned the placing of most seal products on the EU market.Footnote 74 The Appellate Body upheld the Panel's finding that the EU regime was ‘necessary to protect public morals’.Footnote 75 In doing so, the Appellate Body ‘gave expression to an important degree to the ethos of global pluralism … accepting that the EU ban on seal products could be justified not only in terms of moral concern for the suffering of seals, but also as expressing disapprobation of complicity with the infliction of such suffering by consumers who purchase the products’.Footnote 76 This suggests a broad deference to ‘protecting the environment, as well as animal and human health, through approaches that are sound under utilitarian policymaking, and are shaped by noninstrumental ethical and religious conceptions of what is right’.Footnote 77 In other words, the report showed that the ‘WTO is not closed to the rest of the world, and [that] priority can be given to non-trade concerns’.Footnote 78
The above cases support a pluralist approach. From within the WTO, they demonstrate an openness to let external norms, consensuses, decisions, and values compete with WTO norms and the underlying trade liberalization ethos. From outside (analytically) the WTO, the cases show that the external norm can ultimately win the norm competition
3.3 Cases Not Supporting a Pluralist Approach
Other dispute-settlement reports blew a much colder wind on proponents of a pluralist approach. The first example is EC–Biotech Products (2006).Footnote 79 Argentina, Canada, and the United States opposed the EC's restrictions on the importation and sale of genetically modified foods.Footnote 80 The case drew a lot of attention.Footnote 81 The panel focused in highly technical trade terms on the EU measures’ inconsistencies with the SPS and TBT Agreements.Footnote 82 Interestingly, the SPS Agreement expressly opens a door to the application of non-WTO standards in two ways: first, by referring in its preambular provisions to ‘international standards, guidelines and recommendations developed by the relevant international organizations’, and, second, by stating that members must ‘base their sanitary and phytosanitary measures on international standards, guidelines or recommendations, where they exist’.Footnote 83 Moreover, the WTO refers to the basic aim of the SPS Agreement as maintaining ‘the sovereign right of any government to provide the level of health protection it deems appropriate’.Footnote 84 In this dispute, however, the reference to extrinsic norms and ‘relevant’ organizations was used more as a mere outsourcing of the ‘science’ to organizations better equipped to provide those inputs, leaving the WTO as arbiter to decide whether (a) the EU measures were ‘based on’ relevant international norms’; and (b) were not a disguised form of protectionism. WTO norms were situated in a hierarchical position towards other polities.
Though the two disputes deal with different WTO commitments, the panel report in EC– Biotech Products can be compared to the Appellate Body report in EC–Hormones (1998), which defined the phrase ‘based on an international standard’ not as ‘conforming’ to such a standard but only as incorporating some elements of the standard.Footnote 85 In that report, the Appellate Body examined the factors on which WTO members must base their sanitary or phytosanitary measures, namely on an assessment of the ‘risks to human, animal or plant life or health, taking into account risk assessment techniques developed by the relevant international organizations’, a process for which the Agreement provides a list of factors.Footnote 86 The Appellate Body found the list of factors non-exclusive and in doing so it opened ‘the door to the inclusion of such factors as cultural preferences and societal values in the risk assessment for SPS measures’.Footnote 87
The same year as EC–Biotech Products, in Mexico–Soft Drinks (2006) the Appellate Body found Mexico's attempt to rely on the Permanent Court of International Justice's judgement in Factory at Chorzów to argue that the United States had prevented Mexico from having recourse to the NAFTA dispute settlement ‘misplaced’, adding that it saw ‘no basis in the DSU for panels and the Appellate Body to adjudicate non-WTO disputes’.Footnote 88
In Peru–Agricultural Products (2015) the Appellate Body refused to apply the Free Trade Agreement (FTA) between Peru and Guatemala to allow Peru not to comply with its WTO commitments to Guatemala.Footnote 89 Peru based part of its argument on the VCLT, stating that the FTA constituted a relevant rule of international law applicable under Article 31(3)(c) and a ‘subsequent agreement between the parties’ under Article 31(3)(a).Footnote 90 The Appellate Body refused to follow Peru down that path.Footnote 91
The cases just reviewed maintain a fairly clear hierarchy of norms. A clash between WTO and non-WTO norms may be acknowledged but ultimately it was decided on a non-horizontal basis and, hence, do not support a pluralist approach.
3.4 Other Relevant Aspects of WTO Practice
In 2007 – after EC–Asbestos and US–Gambling – WTO Director-General Pascal Lamy opined that WTO norms ‘do not supersede or trump international norms. In fact, the GATT, and now the WTO, recognizes explicitly that trade is not the only policy consideration that Members can favour’.Footnote 92 This statement can be read either as opening the door to a pluralist approach, or merely as mirroring the fact that WTO dispute settlement uses specific mechanisms (such as GATT Article XX and VCLT Article 31(3)(c)) to interface only in specified ways with non-WTO norms. One finds support for the claim that he may have meant the former in a speech given a few months earlier. There, Lamy arguably went a step further down the horizontality/norm competition path by recognizing not just that ‘international norms’ (by which one assumes he meant nontrade international law) are not superseded by trade law, but by positing something like equal force between the two realms, indeed recognizing the potential superiority of non-trade concerns in appropriate cases, hence showing international law as ≥ trade law. In his words:
[T]he WTO does take into account other norms of international law; and absent protectionism, a trade restriction based on legitimate non-WTO considerations will trump WTO norms. Moreover, I believe that in leaving Members with the necessary policy space to favour non-WTO concerns, the WTO also recognizes the specialization, expertise and importance of other international organizations.Footnote 93
Then in 2009, in words that echo the Appellate Body's non-clinical isolation doctrine, he opined that the ‘international intellectual property system cannot operate in isolation from broader public policy questions such as how to meet human needs as basic health, food and a clean environment’.Footnote 94
Lamy's views are consistent with Pauwelyn's, who argued that the ‘WTO treaty, [must be construed and applied] in the context of other norms of international law’ and that WTO norms may ‘prevail over the WTO Treaty’ and ‘offer a valid legal defence against claims of WTO breach’.Footnote 95 WTO Legal Affairs Counselor Gabrielle Marceau wrote along similar lines that an ‘evolving’ (évolutive) interpretative approach to embrace societal values was appropriate.Footnote 96
That said, one should make appropriate distinctions between recognizing the scope of WTO members’ broad policy flexibility to balance their trade commitments against other, non-trade-related policy concerns, and members’ flexibility in implementing widely supported non-trade norms with a reduced focus on trade norm compliance. The idea underlying the latter is letting non-WTO norms permeate the interpretation and application of WTO commitments, especially those that have broad support among WTO Members. Examples include, as the next Part explains, the WHO Framework Convention on Tobacco Control (FCTC) and Guidelines, the CBD and the United Nations Framework Convention on Climate Change, all of which have a very substantial number of parties.Footnote 97
4. Pluralism in TRIPS Practice and Jurisprudence
4.1 The TRIPS Difference
Unlike the GATT and GATS, TRIPS is not meant to liberalize trade. That difference – indeed something one could even call a conflict – between TRIPS and other WTO instruments is encapsulated in what the GATT said about intellectual property before TRIPS, namely that intellectual property is but an acceptable barrier to free trade.Footnote 98 This TRIPS difference is reflected in the TRIPS Preamble, which states that ‘measures and procedures to enforce intellectual property rights [should] not themselves become barriers to legitimate trade’.Footnote 99 Indeed, the name of the Agreement itself points to the difference: it is trade-related.
Senior trade economists commented early on that intellectual property did not fit in a normative framework dedicated to the liberalization of trade in goods and services.Footnote 100 This was not lost on panels and the Appellate Body, many members of both being often picked from a list of seasoned trade negotiators.Footnote 101 The report in the very first TRIPS dispute-settlement case to go to a panel noted that ‘the TRIPS Agreement, the entire text of which was newly negotiated in the Uruguay Round … occupies a relatively self-contained, sui generis status in the WTO Agreement’.Footnote 102
The Appellate Body expressly espoused the TRIPS difference in Australia–Tobacco Plain Packaging:
[T]he TRIPS Agreement, as an agreement addressing intellectual property rights, is principally concerned with the creation and protection of exclusive private rights. By definition, these exclusive rights act to restrict commercial activity and require an active intervention of government to enforce these restrictions’.Footnote 103
Trade agreements tend to limit regulatory autonomy by making certain types of regulation incompatible with trade rules or by imposing a range of acceptable regulation. TRIPS is different in that, as the Appellate Body noted, it requires ‘active intervention of government to enforce these restrictions’.Footnote 104 ‘By contrast’, it said, other covered agreements are focused on the liberalization of international trade, effected through the progressive reduction, through mutual agreement, of barriers to trade.Footnote 105 This TRIPS difference will matter in the following pages as we try to determine the effect of a pluralist approach on the future application and interpretation of the TRIPS Agreement.
4.2 Early TRIPS Cases
The TRIPS Agreement incorporates most of the substantive provisions of two major, non- trade-related instruments administered by the World Intellectual Property Organization (WIPO).Footnote 106 There is a common denominator, however, between trade and IP, and it follows from the choice made during the Uruguay Round of trade law to enforce intellectual property. That common denominator is the focus (particularly in dispute-settlement reports) on economic impact, which, when applied to IP, is the ‘sextant that can ensure that it avoids the Charybdis of rent-seeking and the Scylla of free-riding’.Footnote 107 In the case of copyright, for example, TRIPS’ focus is explicitly limited to economic rights, and excludes authors’ moral rights.Footnote 108 As a result, early dispute-settlement panels have tended to consider exceptions and limitations mostly in terms of their economic impact.Footnote 109
This economic approach is visible in two cases involving the so-called ‘three-step test’.Footnote 110 Unlike GATT and GATS, the TRIPS Agreement does not contain a general exception. Instead, it applies a ‘three-step test’ to any exception to copyright, design or patent rights in municipal law.Footnote 111 The three-step test has not yet been interpreted by the Appellate Body. It was applied, however, by two panels, both in the year 2000. First, in Canada – Pharmaceutical Patents the panel declared a Canadian exception allowing generic drug manufacturers to stockpile a patented drug six months prior to the expiration of the patent to avoid lag time between that expiration and the competition from the lower-cost generic on the market incompatible with Canada's TRIPS commitments.Footnote 112 In its defense of the measure, Canada invoked the public health nature of the measure and anchored that argument in art. 8.1 of TRIPS, which provides in part that ‘Members may, in formulating or amending their laws and regulations, adopt measures necessary to protect public health’.Footnote 113 The panel did not mention public health even once in its findings and made short shrift of Canada's argument, merely noting that the ‘goals and the limitations stated in Articles 7 and 8.1 must obviously be borne in mind’.Footnote 114 Instead, it found, that the three steps necessary to justify an exception should be applied cumulatively and interpreted the term ‘limited’ in the first step by gauging ‘the extent to which the patent owner's rights to exclude “making” and “using” the patented product have been curtailed’, thus ostensibly staying fully within the normative view that TRIPS was meant to protect IP owners.Footnote 115
A few months later in US – Section 110(5) Copyright Act, the panel had to decide whether an exception in US copyright law allowing bars, hotels, restaurants, and supermarkets to play music without payment to the copyright holder was allowable under the three-step test.Footnote 116 The panel answered in the negative, finding fault with the US exception on all three steps of the test.Footnote 117 It did, however, open the door ever so slightly to broader considerations. For example, it interpreted the term ‘special’ in the first step to mean that an exception ‘should be clearly defined and should be narrow in its scope and reach’, but then added that ‘a limitation or exception may be compatible with the first condition even if it pursues a special purpose whose underlying legitimacy in a normative sense cannot be discerned’.Footnote 118 Far from engaging in a contestation of norms, however, the panel merely accepted that ‘undiscernible’ normative claims might generate a sufficient degree of ‘specialness’. On the second step of the test, namely that the impugned exception not ‘interfere with normal exploitation’ of the copyrighted work, the panel took a resolutely economic turn and found that an exception failed that step if it entered ‘into economic competition with the ways that right holders normally extract economic value from that right to the work (i.e., the copyright) and thereby deprive them of significant or tangible commercial gains’.Footnote 119 Then, in what may seem tautological, the panel interpreted the ‘unreasonable’ prong in the third step to mean that an exception was incompatible with TRIPS ‘if an exception or limitation causes or has the potential to cause an unreasonable loss of income to the copyright owner’.Footnote 120
There is a rather striking aspect to both above panel reports. Recall that the TRIPS Agreement incorporated by reference most of the substantive provisions of two pre-existing, non-trade international instruments.Footnote 121 In its consideration of the test contained in art. 13 of TRIPS, both panels noted that it was based on art 9(2) of the Berne Convention.Footnote 122 In pages that would not be jarring in an ICJ judgment, the panels went over the travaux of the Berne Convention and decided that those travaux had been incorporated by reference into TRIPS when the Berne Convention was incorporated by reference into TRIPS.Footnote 123 The path followed to perform this integrative analysis was tortuous, however, especially in US – Section 110(5) Copyright Act. The panel first noted a statement by the Rapporteur at the last revision conference of the Berne Convention (Stockholm, 1967) and found that it amounted to an ‘agreement within the meaning of Article 31(2)(a) of the Vienna Convention between all the parties'.Footnote 124 It then found that the ‘agreement’ reflected in the travaux formed part of the VCLT ‘context’.Footnote 125 The last step in the panel's analysis was to note that there was ‘no indication in the wording’ of the TRIPS Agreement that the ‘incorporation[of the Berne Convention] should have covered only the text of Articles 1–21 of the Berne Convention … , but not the entire Berne acquis relating to these articles’, because otherwise TRIPS ‘would have explicitly so provided’.Footnote 126 This led to a conclusion logically derived from the above, namely that ‘the incorporation of … the Berne Convention … into the Agreement includes the entire acquis of [its incorporated] provisions'.Footnote 127 In the end, however, though the analytical path trodden by the panel created a formal horizontality between external norms incorporated into TRIPS and the TRIPS Agreement, the panel's analysis cannot be described as pluralist as the term was defined above.
Though it has not had a chance to opine on the three-step test, in 1997 the Appellate Body interpreted the freedom to implement contained in TRIPS art 1.1.Footnote 128 Like the three-step test, facially this provision could support a pluralist reading – indeed its very text point to possible ‘plural’ implementations of TRIPS obligations.Footnote 129 Yet, despite a pronouncement that WTO members were ‘free to determine how best to meet their obligations under the TRIPS Agreement within the context of their own legal systems’, the Appellate Body refused to consider that India was complying with its obligation to provide a temporary mechanism to protect pharmaceutical patents (India had no such protection when it became a WTO member) because the Indian mechanism had been established through administrative means rather than a formal statute or regulation.Footnote 130 This provision, like the three-step test(s), has yet to deliver a genuinely pluralist outcome.
4.3 The HIV/AIDS Inflection Point
The HIV/AIDS pandemic of the late 1990s/early 2000s marked an inflection point in the TRIPS timeline. When the HIV pandemic hit, South Africa had begun to reform its drug pricing policy using, inter alia, compulsory licensing to reduce prices.Footnote 131 Facing this major public health crisis, the South African government took measures to obtain antiretroviral medicines at a cost it could afford, including a competition law complaint against many major actors in the multinational pharmaceutical industry.Footnote 132 This quickly got Washington's attention, and the United States Trade Representative designated South Africa a priority country under section 301 of US trade law because ‘South Africa has become a test case for those who oppose the US government's long-standing commitment to improve the terms of protection for all forms of American intellectual property, including pharmaceutical patents’.Footnote 133
Several critiques began to emerge, suggesting that the TRIPS Agreement was reducing public welfare not just in South Africa but more generally in all developing countries.Footnote 134 The WHO ‘began questioning the relationship between the new international trade regime and its own mandate to promote world health’.Footnote 135 This new discourse led in short order to a recommendation that TRIPS should be resisted.Footnote 136 The WTO, which was trying to launch a new round of multilateral negotiations after the failed Ministerial in Seattle in 1999, was feeling this normative tsunami blowing against its walls.Footnote 137 Ministers were finally able to agree to launch the Doha Round (or Development Agenda) in 2001 thanks to the adoption of the Declaration on the TRIPS Agreement and Public Health, paragraph 6, which required members to ‘find an expeditious solution’ to the problem of WTO members with ‘insufficient or no manufacturing capacities in the pharmaceutical sector’.Footnote 138 The so-called ‘paragraph 6’ system, allowing compulsory licensing of pharmaceuticals for export to countries with insufficient or no manufacturing capacities, would be adopted approximately two years later, leading to the first – and so far only – amendment to the TRIPS Agreement: the addition of article 31bis.Footnote 139
When compared to other WTO agreements, by 2001 TRIPS had become a different normative battlefield. The TRIPS difference played a key role in shaping the battle, as the HIV/AIDS pandemics would confirm. This battle initially waged between public health and intellectual property has since been extended to measures to mitigate climate change.Footnote 140 The COVID-19 pandemic put the TRIPS difference in even starker contrast.
The WTO's response to the COVID pandemic has been to try to firm up supply chain commitments and trade liberalization to eliminate or reduce ‘nationalistic’ export restrictions and similar measures.Footnote 141 Hence, in the area of trade in goods, the WTO aims to adopt and if necessary enforce stronger rules to ensure the resilience of supply chains.Footnote 142 Contrast this with intellectual property, an area in which the policy response to COVID-19 under discussion at the WTO is to permit countries who have not or cannot invent technologies (including vaccines) to respond to the crisis to use technology developed by others, either under a compulsory license or an exception under a temporary waiver, that is, a loosening of the rules enshrined in TRIPS. Lessons from the COVID-19 pandemic are likely to fuel continued demands for reductions in intellectual property obligations undertaken by countries that typically import the equipment and pharmaceutical products necessary to deal with such public health emergencies. In those contexts, the ‘TRIPS difference’ will lead to a push for weakening of TRIPS rules by the same WTO members that are pushing for a strengthening of trade liberalization rules, in particular bans on export restrictions.
A final note before we close this Section – between 2001 and 2015, the few TRIPS cases that led to a panel or Appellate Body report did not discuss, at least not head-on, clashes between a public policy goal and intellectual property protection. Then came tobacco.
5. Tobacco Plain Packaging
5.1 Overview of the Dispute
As explained above, the ‘relative self-contained’ nature of TRIPS and its ‘difference’ in principle open the door for a normative separation of TRIPS from other WTO instruments, thus possibly allowing for greater flexibility in interpreting the text of the Agreement than other WTO texts. That is arguably what the Appellate Body did in 2020 when, in Australia–Tobacco Plain Packaging, it did not consider that the term ‘unjustifiably’ in TRIPS Article 20 had to be read the same way as a similar term in the chapeau to Article XX GATT (and XIV GATS), that is, the two general exceptions. As the Article will now explain, if Australia–Tobacco Plain Packaging is followed in future panel and Appellate Body reports, it may well be viewed as marking a watershed moment in the use of a pluralist approach in the interpretation of the TRIPS Agreement.
The complainants (Cuba, Dominican Republic, Honduras, and Indonesia) complained, inter alia, that Australia had violated its obligations under TRIPS, article 20, which prohibits unjustifiable encumbrances on the use of a trademark in the course of trade by special requirements, ‘such as use with another trademark, use in a special form or use in a manner detrimental to its capability to distinguish the goods or services of one undertaking from those of other undertakings'.Footnote 143 The impugned Australian legislation (a) bans the use of logos and colors on cigarette packs (other than imposing a color rather vividly described as ‘vomit green’); (b) imposes strict obligations to display large health warnings and graphic images of diseased patients on the packs; and (c) allows only black block letters in small print to identify the brand.Footnote 144 The panel, like the Appellate Body, had no difficulty in finding that the Australian measure created a severe encumbrance by special requirement on the use of tobacco trademarks in the course of trade.Footnote 145 The case turned, therefore, on whether the encumbrance was unjustifiable.
The panel and Appellate Body allowed a broad scope for justification under external norms and put the burden to show unjustifiability on the Complainants, thus making the case virtually impossible to win for them. The external norms in question relied on by Australia are contained in the WHO Framework Convention on Tobacco Control (FCTC) and specifically on Guidelines to the FCTC that suggest that parties ‘consider adopting measures to restrict or prohibit the use of logos, colors, brand images or promotional information on packaging other than brand names and product names displayed in a standard color and font style (plain packaging)’.Footnote 146
The use of the FCTC guidelines is a striking aspect of the panel report, as the FCTC and guidelines are mentioned over 1,000 times in the report.Footnote 147 It is particularly noteworthy that the complainants are not party to the FCTC.Footnote 148 The purported justification for the Australian measure was a multilateral instrument with broad acceptance (181 parties as of August 2021) but one that could thus not be applied to the complainants on a contractarian basis. This was a matter of accepting a clash with an otherwise widely accepted public health norm to defeat a WTO commitment.
In the end, the Appellate Body found that the encumbrance would be unjustified only if the complainant could ‘prove that the encumbrance by special requirement is incapable of being reasonably explained’, which for a complainant is assuredly ‘a heavy burden to discharge’.Footnote 149 The absence of a justification is a necessary element of the claim and not a defense. Unfortunately, however, the Appellate Body, while mostly agreeing with the panel's findings, punted on the role and relevance of the FCTC, even though that question had been put quite squarely before it by the appellants.Footnote 150 The Appellate Body merely noted that the panel had only ‘referred to Articles 11 and 13 of the FCTC Guidelines as additional factual support to its previous conclusion that the complainants failed to establish that Australia acted inconsistently with Article 20 of the TRIPS Agreement’.Footnote 151
5.1.1 Analysis
The door of pluralism, opened wide by the panel in Australia–Tobacco Plain Packaging, was left ajar by the Appellate Body. There is little doubt that environmental and public health norms reflected in instruments adopted outside the WTO by a large contingent of WTO members – whether or not parties to a WTO dispute have adhered to such an instrument – may now validly be brought to the attention of a panel and/or the Appellate Body, even if only under the rubric of ‘factual’ support in a TRIPS dispute. For example, another global framework convention with a high degree of multilateral purchase, the United Nations Framework Convention on Climate Change (UNFCCC) – 197 parties as of August 2021 – might be invoked to limit the role of patents in climate change mitigation.Footnote 152 These norm clashes will be more frequent and, from a pluralist perspective, may inform the horizontal interpretation of WTO norms adumbrated by Pascal Lamy's comment that ‘a trade restriction based on legitimate non-WTO considerations will trump WTO norms'.Footnote 153
The composition of the Appellate Body panel demonstrates that one need not have served on a non-WTO international court or tribunal to allow external norms to clash with a WTO commitment.Footnote 154 The presiding member in Australia–Tobacco Plain Packaging, Shree B. C. Servansing, is a former Permanent Representative (Mauritius) to the WTO. The other two members were Ujal Singh Bhatia, also a former Permanent Representative (India) to the WTO, and Thomas R. Graham, the former head of the international trade practice at a large international law firm and Deputy General Counsel in the Office of the US Trade Representative.Footnote 155
The road towards a pluralist approach traveled over the past 30 years can be measured by comparing the Australian reports with the 1990 Thailand–Cigarettes GATT panel report.Footnote 156 That panel held that a Thai measure banning the importation of tobacco products was not ‘necessary’ to protect their citizens’ health under the ‘least-trade-restrictive-alternative’ test.Footnote 157 A key reason for the adoption of the measure was the presence of harmful ‘chemical and other additives contained in United States cigarettes'.Footnote 158 A GATT Contracting Party, the panel said, could only ‘impose trade restrictive measures inconsistent with the General Agreement to pursue overriding public policy goals to the extent that such inconsistencies were unavoidable’. It suggested that Thailand should ban harmful ingredients instead.Footnote 159 Moreover, while the WHO FCTC guidelines took centerstage in Australia–Tobacco Plain Packaging, in Thailand–Cigarettes, the panel did not accord much weight to Thailand's reliance on a report prepared by experts from the WHO that concluded that ‘once a market was opened, the United States cigarette industry would exert great efforts to force governments to accept terms and conditions which undermined public health and governments were left with no effective tool to carry out public health policies'.Footnote 160 Indeed, the WHO itself submitted a brief in the dispute in support of Thailand's position.Footnote 161 All to no avail. Hence, while Australia was granted almost complete leeway to regulate tobacco, in 1990 Thailand was not given the same opportunity.Footnote 162
5.2. Looking ahead
As noted above, the Appellate Body acknowledged the existence of one or more degree(s) of separation between TRIPS and the rest of the WTO instruments. Hence, a likely future scenario based on the trajectory of cases reviewed in this Article is a pluralist one in which non-WTO norms, domestic or international, are routinely used as support for a domestic policy measure. Within a pluralist analytical framework, a lack of method to deal with such clashes may be unavoidable, as the clash of norms is entropic in nature. That said, if horizontality itself becomes normative, perhaps a more systemic form of ‘constitutional pluralism’ will emerge, one in which ‘each polity, in an exercise of public autonomy through its institutions, [can] define the terms on which it interacts with others'.Footnote 163
Naturally, one can read the accommodations made by WTO panels and the Appellate Body as a mere application of WTO rules allowing a specific interface with non-WTO norms of international law. The analysis contained in this Article leaves the distinct impression, however, that something more is afoot, along the lines suggested in the quotes from former Director-General, Lamy.Footnote 164 That ‘something more’ is an express willingness to engage in norm competition and consider external norms and decisions made by other institutional actors as trumping trade law.
This pluralist shift affects norm-making, such as the TRIPS waiver(s) under discussion as of this writing.Footnote 165 The same concerns will naturally also affect disputes and specifically the interpretation of the Agreement, operationalizing the approach using different doctrinal vectors than in GATT and GATS owing to the TRIPS difference.Footnote 166 In both GATT and GATS disputes, the general exception has been the main vector used to effectuate a pluralist analysis. In TRIPS, pluralism may both bear on the interpretation of the three-step test and lead to a less formalistic approach to the interpretation of, and a broad reduction in the level of obligations contained in, the Agreement when compliance with such commitments affects public welfare negatively and requires policy countermeasures. We find a clear illustration of this approach in Australia–Tobacco Plain Packaging, which functionally read Article 20 out of the Agreement short of an encumbrance resulting from a demonstrably capricious or arbitrary measure.Footnote 167
In what may be a sign of the perceived increase in Member's flexibilities brought about by the pluralist turn of events and interpretation in dispute-settlement reports, the EU took the position in April 2021 that the TRIPS Agreement already contains all the necessary margin required by Members to deal with ongoing public policy crises.Footnote 168 This follows in the wake of work by scholars who suggested, in some cases already more than a decade ago, ways in which TRIPS flexibilities could be expanded.Footnote 169 A pluralist approach would likely make this type of outcome easier to achieve. Considered from within the institutional actor (WTO), a pluralist approach to TRIPS is contingent on the willingness (and underlying analytical posture) of panel and Appellate Body members to consider non-WTO norms, whether embodied in widely subscribed-to multilateral instruments or reflecting otherwise credible and significant public interest objectives, as ‘equal or better’ in contesting the application of commitments contained in the TRIPS Agreement.Footnote 170
This analysis should not lead one too rapidly to the conclusion that a clash with norms generated outside the WTO will necessarily result in Members being able to use or even impose such norms in WTO dispute-settlement proceedings in all cases. Reliance by the Appellate Body on extrinsic norms has thus far been uneven.Footnote 171 Then one must consider the strength of the push for reform of the Appellate Body by the European Union and United States, which seems to pull in the opposite direction. For example, a 2021 reform proposal tabled by the EU notes ‘valid concerns about certain adjudicative approaches of the Appellate Body’ and suggests that the future ‘role of the Appellate Body should be strictly limited to addressing legal issues raised on appeal to the extent this is necessary to resolve a dispute’.Footnote 172 A United States Trade Representative report published under the Trump Administration excoriated the Appellate Body for its interpretive approach in a number of dispute-settlement reports.Footnote 173 Yet, the openness of the pre-2021 Appellate Body to take a pluralist path is unmistakably there, especially following Australia–Tobacco Plain Packaging. Hence, though the suggestion that a non-WTO international norm should be used as a blueprint for the interpretation of, or to effectuate a reduction in the scope of stated obligations under, the TRIPS Agreement must still be considered with caution, the required degree of caution is certainly lower now than it was 20, or even just 10 years ago.Footnote 174
Future Appellate Body guidance on reconciling the influence of external norms in the interpretation of TRIPS and the principle that ‘unbargained-for’ concessions are not part of the WTO norm-set could dramatically change the picture.Footnote 175 Going forward, pluralism is likely to take the form of a somewhat unstructured interaction between norm-sets, at least for a certain period of time, until the point at which (if it is ever reached) pluralism's centrifugal effects cause irreversible systemic change.
Finally, one should note that as the composition of the post-2020 Appellate Body is likely to be entirely different from its former self, it is difficult to predict the exact precedential weight that a future Appellate Body will give to what does seem like emerging pluralism in both TRIPS and non-TRIPS cases, and what role it will allow non-WTO instruments to play on this vast, horizontal stage of international law.Footnote 176 Overall, however, it seems that the tendency to interface by interpretation trade and trade-enforceable norms with broader policy concerns, especially in the public health field supported by the text of the Doha Declaration – formally described as ‘subsequent agreement’ under the VCLTFootnote 177— is a path already well-marked should the future Appellate Body members wish to follow it.
6. Conclusion
This Article explored the idea that a pluralist approach is emerging in the interpretation of the TRIPS Agreement against a backdrop of reports by panels and the Appellate Body in both TRIPS and non-TRIPS disputes. The marriage of convenience of intellectual property and trade formalized by the TRIPS Agreement, which opened the door to a trade-based interpretation of intellectual property norms, is now a ménage à trois, as trade, intellectual property, and non-trade norms cohabit. In sum, with trade norms subject to a pluralist interpretive approach, panels and the Appellate Body are creating ‘linkage[s] to a broader array of norms'.Footnote 178 Whether and how those cases will be followed by future Appellate Body members is assuredly an interesting question.
Acknowledgements
The Author is grateful to Professors Donald McRae, Timothy Meyer and Ingo Venzke and to the anonymous peer-reviewers for their very useful comments on earlier versions of this manuscript. All errors and omissions are the Author's sole responsibility.
Funding
Funding for this project was provided by Vanderbilt University.