[Federal Register Volume 86, Number 219 (Wednesday, November 17, 2021)]
[Rules and Regulations]
[Pages 64300-64334]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2021-24926]



[[Page 64299]]

Vol. 86

Wednesday,

No. 219

November 17, 2021

Part II





 Department of Commerce





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Patent and Trademark Office





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37 CFR Parts 2 and 7





Changes To Implement Provisions of the Trademark Modernization Act of 
2020; Final Rule

Federal Register / Vol. 86 , No. 219 / Wednesday, November 17, 2021 / 
Rules and Regulations

[[Page 64300]]


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DEPARTMENT OF COMMERCE

Patent and Trademark Office

37 CFR Parts 2 and 7

[Docket No. PTO-T-2021-0008]
RIN 0651-AD55


Changes To Implement Provisions of the Trademark Modernization 
Act of 2020

AGENCY: United States Patent and Trademark Office, Commerce.

ACTION: Final rule.

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SUMMARY: The United States Patent and Trademark Office (USPTO or 
Office) amends the rules of practice in trademark cases to implement 
provisions of the Trademark Modernization Act of 2020 (TMA). This rule 
establishes ex parte expungement and reexamination proceedings for 
cancellation of a registration when the required use in commerce of the 
registered mark has not been made; provides for a new nonuse ground for 
cancellation before the Trademark Trial and Appeal Board (TTAB or 
Board); establishes flexible Office action response periods; and amends 
the existing letter-of-protest rule to indicate that letter-of-protest 
determinations are final and non-reviewable. The rule also sets fees 
for petitions requesting institution of ex parte expungement and 
reexamination proceedings, and for requests to extend Office action 
response deadlines. The rules governing the suspension of USPTO 
proceedings and attorney recognition in trademark matters are also 
amended. Finally, a new rule is added to address procedures regarding 
court orders cancelling or affecting registrations.

DATES: This rule is effective on December 18, 2021, except for 
Sec. Sec.  2.6(a)(28); 2.62(a) and (c); 2.63(b) introductory text, 
(b)(1) and (2), (c), and (d); 2.65(a); 2.66(b); 2.163(b) through (e); 
2.165; 2.176; 2.184(b); 2.186(b) through (d); 7.6(a)(9); 7.39; and 
7.40, which are effective on December 1, 2022.

FOR FURTHER INFORMATION CONTACT: Robert Lavache, Office of the Deputy 
Commissioner for Trademark Examination Policy, USPTO, at 571-272-5881, 
or by email at [email protected].

SUPPLEMENTARY INFORMATION: The TMA was enacted on December 27, 2020. 
See Public Law 116-260, Div. Q, Tit. II, Subtit. B, sections 221-228 
(Dec. 27, 2020). The TMA amends the Trademark Act of 1946 (the Act) to 
establish new ex parte expungement and reexamination proceedings to 
cancel, either in whole or in part, registered marks for which the 
required use in commerce was not made. Id. at section 225(a), (c). 
Furthermore, the TMA amends section 14 of the Act to allow a party to 
allege that a mark has never been used in commerce as a basis for 
cancellation before the TTAB. Id. at section 225(b). The TMA also 
authorizes the USPTO to promulgate regulations to set flexible Office 
action response periods between 60 days and 6 months, with an option 
for applicants to extend the deadline up to a maximum of 6 months from 
the Office action issue date. Id. at section 224. In addition, the TMA 
includes statutory authority for the USPTO's letter-of-protest 
procedures, which allow third parties to submit evidence to the USPTO 
relevant to the registrability of a trademark during the initial 
examination of the application, and provides that the decision of 
whether to include such evidence in the application record is final and 
non-reviewable. Id. at section 223. The TMA requires the USPTO to 
promulgate regulations to implement the provisions relating to the new 
ex parte expungement and reexamination proceedings, and the letter-of-
protest procedures, within one year of the TMA's enactment. Id. at 
sections 223(b), 225(f).
    Accordingly, the USPTO revises the rules in 37 CFR part 2 to 
implement the TMA's provisions and set fees for the new ex parte 
expungement and reexamination proceedings and for response deadline 
extensions. The rule also clarifies that the new ex parte expungement 
and reexamination proceedings are subject to suspension in appropriate 
cases and reflects existing practice regarding suspension of 
proceedings before the USPTO and the TTAB. The USPTO also amends the 
rules regarding attorney recognition and correspondence to clarify that 
the USPTO will not recognize an attorney who has been ``mistakenly, 
falsely, or fraudulently designated'' and that an attorney need not 
formally withdraw under such circumstances. Finally, a new rule is 
added, formalizing the USPTO's longstanding procedures concerning 
action on court orders canceling or affecting a registration under 
section 37 of the Act, 15 U.S.C. 1119. In formulating this final rule, 
the USPTO considered the public comments submitted pursuant to the 
notice of proposed rulemaking (NPRM) published in the Federal Register 
on May 18, 2021, at 86 FR 26862, and made adjustments to the substance 
of this rule based on these considerations. Comments the USPTO received 
about specific requirements or procedures are summarized, and the 
USPTO's responses are provided, in section VIII below.

I. Ex Parte Expungement and Reexamination Proceedings

    As the House Report for the TMA explained, ``Trademarks are at the 
foundation of a successful commercial marketplace. Trademarks allow 
companies to identify their goods and services, and they ensure that 
consumers know whose product they are buying. . . . By guarding against 
deception in the marketplace, trademarks also serve an important 
consumer protection role.'' H.R. Rep. No. 116-645, at 8-9 (2020) 
(citation omitted).
    In order to have a well-functioning trademark system, the trademark 
register should accurately reflect trademarks that are currently in 
use. Id. at 9. When the register includes marks that are not currently 
in use, it is more difficult for legitimate businesses to clear and 
register their own marks. Id. It has become apparent in recent years 
that registrations are being obtained and maintained for marks that are 
not properly in use in commerce. Id. at 9-10. Moreover, this 
``cluttering'' has real-world consequences when the availability of 
marks is depleted. Id. at 9.
    The House Report also noted that ``[a] recent rise in fraudulent 
trademark applications has put further strain on the accuracy of the 
federal register. Although trademark applications go through an 
examination process, some of these forms of fraud are difficult to 
detect in individual applications (even if patterns of fraud can be 
seen across multiple applications), leading to illegitimate 
registrations. Although the USPTO can try to develop better systems to 
detect fraud during the examination process, its authority to 
reconsider applications after registration is currently limited.'' Id. 
at 10-11 (citation omitted).
    To address these problems, the TMA created two new ex parte 
processes that will allow a third party, or the Director, to challenge 
whether a registrant made use of its registered trademark in commerce. 
If the registered mark was not properly used, the Office will be able 
to cancel the registration. Id. at 11. The TMA also provides for 
improvements to make the trademark examination process more efficient 
and more effective at clearing applications that may block later-filed 
applications from proceeding to registration. Id.

[[Page 64301]]

    The two new ex parte proceedings created by the TMA--one for 
expungement and one for reexamination--provide new mechanisms for 
removing a registered mark from the trademark register, or cancelling 
the registration as to certain goods and/or services, when the 
registrant has not used the mark in commerce as of the relevant date 
required by the Act. In an expungement proceeding, the USPTO must 
determine whether the evidence of record supports a finding that the 
registered mark has never been used in commerce on or in connection 
with some or all of the goods and/or services recited in the 
registration. In a reexamination proceeding, the USPTO must determine 
whether the evidence of record supports a finding that the mark 
registered under section 1 of the Act was not in use in commerce on or 
in connection with some or all of the goods and/or services as of the 
filing date of the application or amendment to allege use, or before 
the deadline for filing a statement of use, as applicable. If the USPTO 
determines that the required use was not made for the goods or services 
at issue in the proceeding, and that determination is not overturned on 
review, the registration will be cancelled in whole or in part, as 
appropriate.
    These new proceedings are intended to provide a more efficient and 
less expensive alternative to a contested inter partes cancellation 
proceeding before the TTAB. While the authority for the expungement and 
reexamination proceedings is set forth in separate subsections of the 
Act, the procedures for instituting the proceedings, the nature of the 
evidence required, and the process for evaluating evidence and 
corresponding with the registrant, as set forth in this rule, are 
essentially the same. Thus, for administrative efficiency, proceedings 
involving the same registration may be consolidated by the USPTO for 
review.
    To implement these new proceedings and related procedures, the 
USPTO amends its rules to add the following new rules:
     Section 2.91, setting forth the requirements for a 
petition requesting the institution of expungement or reexamination 
proceedings;
     Section 2.92, regarding the institution of ex parte 
expungement and reexamination proceedings; and
     Sections 2.93 and 2.94, setting forth the procedures for 
expungement and reexamination proceedings, and for action after those 
proceedings.
    In addition, conforming amendments are made to the following 
existing rules:
     Section 2.6, which sets the fees for petitions for 
expungement and/or reexamination and for requests for extensions of 
time to respond to an Office action;
     Section 2.11, which requires U.S. counsel for foreign-
domiciled petitioners and registrants;
     Section 2.23, which addresses the duty to monitor the 
status of a registration;
     Section 2.67, which addresses suspension of action by the 
USPTO;
     Section 2.117, which addresses suspension of proceedings 
before the TTAB;
     Section 2.142, which addresses the time and manner of ex 
parte appeals;
     Section 2.145, which addresses appeals to the U.S. Court 
of Appeals for the Federal Circuit;
     Section 2.146, which addresses petitions to the Director; 
and
     Section 2.193, which addresses signature requirements.

A. Timing for Requests for Proceedings

    The TMA specifies the time periods during which a petitioner can 
request institution of expungement and reexamination proceedings, and 
during which the Director may institute such proceedings based on a 
petition or on the Director's own initiative. Accordingly, under Sec.  
2.91(b)(1), a petitioner may request, and the Director may institute, 
an ex parte expungement proceeding between 3 and 10 years following the 
date of registration. However, the TMA provides that, until December 
27, 2023 (3 years from the TMA's enactment date), a petitioner may 
request, and the Director may institute, an expungement proceeding for 
a registration that is at least 3 years old, regardless of the 10-year 
limit. Under Sec.  2.91(b)(2), a petitioner may request, and the 
Director may institute, a reexamination proceeding during the first 
five years following the date of registration.
    The TMA gives discretion to the Director to establish by rule a 
limit on the number of petitions for expungement or reexamination that 
can be filed against a registration. However, after consideration of 
the comments received regarding establishing such a limitation, which 
are discussed below, and to foster clearing of the register of unused 
marks, the USPTO has determined that it will not impose a limitation on 
the number of petitions at this time. This will allow the USPTO time to 
determine whether existing safeguards in the statute and the 
regulations implemented herein suffice to protect registrants from 
potential misuse of the proceedings. These safeguards include the fact 
that the registrant does not participate until after the Director 
institutes a proceeding based on a prima facie case of nonuse of the 
mark, and the registrant cannot be subject to another proceeding for 
the same goods and/or services for which use of the mark was 
established in a prior proceeding. If the existing safeguards in the 
statute and the regulations do not suffice to protect registrants from 
misuse of the proceedings, the USPTO may establish a limit on the 
number of petitions for expungement or reexamination that can be filed 
against a registration in a future rule.

B. Petition Requirements

    Under the TMA, and Sec.  2.91, any person may file a petition with 
the USPTO requesting institution of an expungement or reexamination 
proceeding. In the NPRM, the USPTO sought comments on whether and when 
the Director should require a petitioner to identify the name of the 
real party in interest on whose behalf the petition is filed. As 
discussed below, this rule does not require a petitioner to identify 
the name of the real party in interest on whose behalf the petition is 
filed, but retains the Director's authority to require that information 
in particular cases.
    Reexamination and expungement petitions are intended to allow third 
parties to bring unused registered marks to the attention of the USPTO. 
To the extent a registrant believes its own mark was not used in 
commerce, or is no longer used in commerce, on or in connection with 
some or all of the goods and/or services listed in the registration, 
the registrant should utilize the existing mechanisms for voluntarily 
amending the registration to delete the goods and/or services or 
surrendering the registration in its entirety, pursuant to section 7 of 
the Act, 15 U.S.C. 1057. To incentivize registrants to keep their 
registrations accurate and up-to-date as to the goods and/or services 
on which the mark is actually used in commerce, the USPTO previously 
established a $0 fee for voluntary deletions of goods and/or services 
made outside of a maintenance examination. See Trademark Fee Adjustment 
rule (85 FR 73197, November 17, 2020).
    A petition for expungement must allege that the relevant registered 
trademark has never been used in commerce on or in connection with some 
or all of the goods and/or services listed in the registration.
    A petition for reexamination must allege that the trademark was not 
in use in commerce on or in connection with

[[Page 64302]]

some or all of the goods and/or services listed in the registration on 
or before the relevant date, which, for any particular goods and/or 
services, is determined as follows:
     In a use-based application for registration of a mark with 
an initial filing basis of section 1(a) of the Act for the goods and/or 
services listed in the petition, and not amended at any point to be 
filed pursuant to section 1(b) of the Act, 15 U.S.C. 1051(b), the 
relevant date is the filing date of the application; or
     In an intent-to-use application for registration of a mark 
with an initial filing basis or amended basis of section 1(b) of the 
Act for the goods and/or services listed in the petition, the relevant 
date is the later of the filing date of an amendment to allege use 
identifying the goods and/or services listed in the petition, pursuant 
to section 1(c) of the Act, or the expiration of the deadline for 
filing a statement of use for the goods and/or services listed in the 
petition, pursuant to section 1(d), including all approved extensions 
thereof.
    Under Sec.  2.91(c), the Director will consider only complete 
petitions for expungement or reexamination. To be considered complete, 
the petition must be made in writing and filed through the USPTO's 
Trademark Electronic Application System (TEAS), and must include:
     The fee required by Sec.  2.6(a)(26);
     The U.S. trademark registration number of the registration 
subject to the petition;
     The basis for petition under Sec.  2.91(a);
     The name, domicile address, and email address of the 
petitioner;
     If the domicile of the petitioner is not located within 
the United States or its territories, a designation of an attorney, as 
defined in Sec.  11.1, who is qualified to practice under Sec.  11.14;
     If the petitioner is, or must be, represented by an 
attorney, as defined in Sec.  11.1, who is qualified to practice under 
Sec.  11.14, the attorney's name, postal address, email address, and 
bar information under Sec.  2.17(b)(3);
     Identification of each good and/or service recited in the 
registration for which the petitioner requests that the proceeding be 
instituted on the basis identified in the petition;
     A verified statement signed by someone with firsthand 
knowledge of the facts to be proved that sets forth in numbered 
paragraphs:
    a. The elements of the reasonable investigation of nonuse 
conducted, as defined under Sec.  2.91(d), where for each source of 
information relied upon, the statement includes a description of how 
and when the searches were conducted and what the searches disclosed; 
and
    b. A concise factual statement of the relevant basis for the 
petition, including any additional facts that support the allegation of 
nonuse of the mark in commerce on or in connection with the goods and 
services as specified in Sec.  2.91(a);
     A clear and legible copy of all documentary evidence 
supporting a prima facie case of nonuse of the mark in commerce and an 
itemized index of such evidence.

If a petition does not satisfy the requirements for a complete 
petition, the USPTO will issue a letter providing the petitioner 30 
days to perfect the petition by complying with the outstanding 
requirements, if otherwise appropriate.

C. Petition Fee

    After consideration of the comments discussed below regarding the 
proposed fee of $600 per class, this final rule sets a fee of $400 per 
class for a petition for expungement or reexamination. In setting this 
fee, the USPTO intends to strike a balance between recovering the costs 
associated with conducting these proceedings (including Director-
initiated proceedings) and providing a less expensive alternative to a 
contested inter partes cancellation proceeding before the TTAB.

D. Reasonable Investigation Requirement

    Under Sec.  2.91(c)(8), a petition requesting institution of an 
expungement or reexamination proceeding must include a verified 
statement that sets forth the elements of the reasonable investigation 
the petitioner conducted to determine that the mark was never used in 
commerce (for expungement petitions) or not in use in commerce as of 
the relevant date (for reexamination petitions) on or in connection 
with the goods and/or services identified in the petition.
    A reasonable investigation is an appropriately comprehensive search 
likely to reveal use of the mark in commerce on or in connection with 
the relevant goods and/or services, if such use was, in fact, made. 
Thus, what constitutes a reasonable investigation is a case-by-case 
determination, but any investigation should focus on the mark disclosed 
in the registration and the identified goods and/or services, keeping 
in mind their scope and applicable trade channels.
    The elements of a petitioner's investigation should demonstrate 
that a search for use in relevant channels of trade and advertising for 
the identified goods and/or services did not reveal any relevant use. 
In addition, the petitioner's statement regarding the elements of the 
reasonable investigation should specifically describe the sources 
searched, how and when the searches were conducted, and what 
information and evidence, if any, the searches produced.
    Sources of information and evidence should include reasonably 
accessible sources that can be publicly disclosed, because petitions 
requesting institution of expungement and reexamination proceedings 
will be entered in the registration record and thus be publicly 
viewable through the USPTO's Trademark Status & Document Retrieval 
(TSDR) database. The number and nature of the sources a petitioner must 
check in order for its investigation to be considered reasonable, and 
the corresponding evidence that would support a prima facie case, will 
vary depending on the goods and/or services involved, their normal 
trade channels, and whether the petition is for expungement or 
reexamination. Because nonuse for purposes of expungement and 
reexamination is necessarily determined in reference to a time period 
that includes past activities (not just current activities), a 
petitioner's investigation normally would include research into past 
usage of the mark for the goods and/or services at issue in the 
petition and thus may include archival evidence.
    As a general matter, a single search using an internet search 
engine likely would not be considered a reasonable investigation. See 
H.R. Rep. No. 116-645, at 15 (2020). On the other hand, a reasonable 
investigation does not require a showing that all of the potentially 
available sources of evidence were searched. Generally, an 
investigation that produces reliable and credible evidence of nonuse at 
the relevant time should be sufficient.
    As set forth in Sec.  2.91(d)(2), appropriate sources of evidence 
and information for a reasonable investigation may include, but are not 
limited to:
     State and Federal trademark records;
     internet websites and other media likely to or believed to 
be owned or controlled by the registrant;
     internet websites, other online media, and publications 
where the relevant goods and/or services likely would be advertised or 
offered for sale;
     Print sources and web pages likely to contain reviews or 
discussions of the relevant goods and/or services;
     Records of filings made with or of actions taken by any 
State or Federal

[[Page 64303]]

business registration or regulatory agency;
     The registrant's marketplace activities, including, for 
example, any attempts to contact the registrant or purchase the 
relevant goods and/or services;
     Records of litigation or administrative proceedings 
reasonably likely to contain evidence bearing on the registrant's use 
or nonuse of the registered mark; and
     Any other reasonably accessible source with information 
establishing that the mark was never in use in commerce (expungement), 
or was not in use in commerce as of the relevant date (reexamination), 
on or in connection with the relevant goods and/or services.
    A petitioner is not required or expected to commission a private 
investigation but may choose to generally reference the results of any 
report from such an investigation without disclosing specific 
information that would waive any applicable privileges.
    Finally, any party practicing before the USPTO, including those 
filing petitions to request institution of these ex parte proceedings, 
is bound by all ethical rules involving candor toward the USPTO as the 
adjudicating tribunal. Of particular relevance in ex parte expungement 
and reexamination proceedings is 37 CFR 11.303(d), which states: ``In 
an ex parte proceeding, a practitioner shall inform the tribunal of all 
material facts known to the practitioner that will enable the tribunal 
to make an informed decision, whether or not the facts are adverse.'' 
Also relevant is the USPTO rule concerning submissions in trademark 
matters, which provides that by presenting any trademark submission to 
the USPTO, a party, whether a practitioner or non-practitioner, is 
certifying that ``[t]o the best of the party's knowledge, information 
and belief, formed after an inquiry reasonable under the circumstances, 
. . . the paper is not being presented for any improper purpose, such 
as to harass someone or cause unnecessary delay'' and ``[t]he 
allegations and other factual contentions have evidentiary support.'' 
37 CFR 11.18(b)(2). See also 37 CFR 11.18(c) (providing that violations 
of any subparagraphs of Sec.  11.18(b)(2) are ``subject to such 
sanctions or actions as deemed appropriate by the USPTO Director'').

E. Director-Initiated Proceedings

    As authorized by the TMA, Sec.  2.92(b) provides that the Director 
may, within the time periods set forth in Sec.  2.91(b), institute an 
expungement or reexamination proceeding on the Director's own 
initiative, if the information and evidence available to the USPTO 
supports a prima facie case of nonuse.
    Section 2.92(e)(1) provides that, for efficiency and consistency, 
the Director may consolidate proceedings (including a Director-
initiated proceeding with a petition-initiated proceeding). 
Consolidated proceedings are related parallel proceedings that may 
include both expungement and reexamination grounds.
    In addition, under Sec.  2.92(e)(2), if two or more petitions under 
Sec.  2.91 are directed to the same registration and are pending 
concurrently (i.e., expungement or reexamination proceedings based on 
these petitions are not yet instituted), or the Director wishes to 
institute an ex parte expungement or reexamination proceeding on the 
Director's own initiative under Sec.  2.92(b) concerning a registration 
for which one or more petitions under Sec.  2.91 are pending, the 
Director may elect to institute a single proceeding.

F. Establishing a Prima Facie Case

    Under Sec.  2.92, as provided for explicitly in the TMA, an 
expungement or reexamination proceeding will be instituted only in 
connection with the goods and/or services for which a prima facie case 
of relevant nonuse has been established. See Public Law 116-260, Div. 
Q, Tit. II, Subtit. B, section 225(a), (c). For the purpose of this 
rule, a prima facie case requires only that a reasonable predicate 
concerning nonuse be established. See H.R. Rep. No. 116-645, at 8 
(2020) (citing In re Pacer Tech., 338 F.3d 1348, 1351 (Fed. Cir. 2003) 
and In re Loew's Theatres, Inc., 769 F.2d 764, 768 (Fed. Cir. 1985)). 
Thus, with respect to these proceedings, a prima facie case includes 
sufficient notice of the claimed nonuse to allow the registrant to 
respond to and potentially rebut the claim with competent evidence, 
which the USPTO must then consider before making a determination as to 
whether the registration should be cancelled in whole or in part, as 
appropriate.
    For expungement and reexamination proceedings instituted on the 
basis of a petition under Sec.  2.91, the determination of whether a 
prima facie case has been made is based on the evidence and information 
that is collected as a result of the petitioner's reasonable 
investigation and set forth in the petition, along with the USPTO's 
electronic record of the involved registration. Appropriate sources of 
such evidence and information include those listed in Sec.  2.91(d)(2).
    For Director-initiated expungement and reexamination proceedings, 
the evidence and information that may be relied upon to establish a 
prima facie case may be from essentially the same sources as those in 
the petition-initiated proceeding.

G. Notice of Petition and Proceedings

    When a petitioner files a petition requesting institution of 
expungement or reexamination proceedings, the petition will be uploaded 
into the registration record and be viewable through TSDR. The USPTO 
plans to send a courtesy email notification of the filing to the 
registrant and/or the registrant's attorney, as appropriate, if an 
email address is of record. The registrant may not respond to this 
courtesy notice. No response from the registrant will be accepted 
unless and until the Director institutes a proceeding under Sec.  2.92.
    Once the Director has determined whether to institute a proceeding 
based on the petition, notice of that determination will be sent to the 
petitioner and the registrant, along with the means to access the 
petition and supporting documents and evidence.
    If a proceeding is instituted, the petitioner will not have any 
further involvement. In the case of Director-initiated proceedings, 
there is no petitioner, and thus all relevant notices will be provided 
only to the registrant. In both types of proceedings, documents 
associated with the proceeding will be uploaded into the registration 
record and will be publicly viewable through TSDR.
    Under the TMA and Sec.  2.92(c)(1), any determination by the 
Director whether to institute an expungement or reexamination 
proceeding, based either on a petition or on the Director's own 
initiative, is final and non-reviewable. See Public Law 116-260, Div. 
Q, Tit. II, Subtit. B, section 225(a), (c).
    Finally, for purposes of correspondence relating to these 
proceedings, the ``registrant'' is the owner/holder currently listed in 
USPTO records.

H. Procedures for Expungement and Reexamination Proceedings

    Under Sec.  2.92(f)(2), the Director's determination to institute a 
proceeding is set forth in an Office action, which, in accordance with 
Sec.  2.93(a), will require the registrant to provide such evidence of 
use, information, exhibits, affidavits, or declarations as may be 
reasonably necessary to rebut the prima facie case by establishing that 
the

[[Page 64304]]

required use in commerce has been made on or in connection with the 
goods and/or services at issue, as required by the Act. While 
institution necessitates a response from the registrant that includes 
evidence rebutting the prima facie case, the ultimate burden of proving 
nonuse by a preponderance of the evidence remains with the Office.
    Although the Office action will be substantively limited in scope 
to the question of use in commerce, the registrant will also be subject 
to the requirements of Sec.  2.11 (requirement for representation), 
Sec.  2.23 (requirement to correspond electronically), and Sec.  2.189 
(requirement to provide a domicile address). Thus, the USPTO will 
require the registrant to furnish domicile information as necessary to 
determine if the registrant must be represented by a U.S.-licensed 
attorney. In addition, all registrants will be required to provide a 
valid email address for correspondence, if one is not already in the 
record, and to update the email address as necessary to facilitate 
communication with the USPTO.
    The TMA provides that any documentary evidence of use provided by 
the registrant need not be the same as that required under the USPTO's 
rules of practice for specimens of use under section 1(a) of the Act, 
15 U.S.C. 1051(a), but must be consistent with the definition of ``use 
in commerce'' set forth in section 45 of the Act, 15 U.S.C. 1127, and 
in relevant case law. Although testimonial evidence may be submitted, 
it should be supported by corroborating documentary evidence.
    The USPTO anticipates that the documentary evidence of use in most 
cases will take the form of specimens of use, but the TMA contemplates 
situations where, for example, specimens for particular goods and/or 
services are no longer available, even if they may have been available 
at the time the registrant filed an allegation of use. In these cases, 
the registrant may be permitted to provide additional evidence and 
explanations supported by declaration to demonstrate how the mark was 
used in commerce at the relevant time. As a general matter, because the 
registration file, including any specimens, has already been considered 
in instituting the proceeding based on a prima facie case of nonuse, 
merely resubmitting the same specimen of use previously submitted in 
support of registration or maintenance thereof, or a verified statement 
alone, without additional supporting evidence, will likely be 
insufficient to rebut a prima facie case of nonuse.
    For expungement proceedings, the registrant's evidence of use must 
show that the use occurred before the filing date of the petition to 
expunge under Sec.  2.91(a), or before the date the proceeding was 
instituted by the Director under Sec.  2.92(b), as appropriate. For 
reexamination proceedings, the registrant's evidence of use must 
demonstrate use of the mark in commerce on or in connection with the 
goods and/or services at issue on or before the relevant date 
established pursuant to the TMA under the relevant section of the Act.
    Under Sec.  2.93(b)(5)(ii), a registrant in an expungement 
proceeding may provide verified statements and evidence to establish 
that any nonuse as to particular goods and/or services with a sole 
registration basis under section 44(e) of the Act, 15 U.S.C. 1126(e), 
or section 66(a) of the Act, 15 U.S.C. 1141f(a), is due to special 
circumstances that excuse such nonuse, as set forth in Sec.  
2.161(a)(6)(ii). However, excusable nonuse will not be considered for 
any goods and/or services registered under section 1 of the Act, 15 
U.S.C. 1051.
    Section 2.93(d) provides that a registrant in an expungement or 
reexamination proceeding may also respond to an Office action by 
deleting some or all of the goods and/or services at issue in the 
proceeding and that an acceptable deletion will be immediately 
effective, that is, upon deletion the registration is considered 
cancelled as to the deleted goods and/or services, and the deleted 
goods and/or services cannot be reinserted. The rule further specifies 
that no other amendment to the identification of goods and/or services 
in a registration will be permitted as part of the proceeding. If goods 
and/or services that are subject to an expungement or reexamination 
proceeding are deleted after the filing, and before the acceptance, of 
an affidavit or declaration under section 8 or 71 of the Act, the 
deletion will be subject to the fee under Sec.  2.161(c) or Sec.  
7.37(c).
    In addition, a registrant may submit a request to surrender the 
subject registration for cancellation under Sec.  2.172 or a request to 
amend the registration under Sec.  2.173, but the mere filing of these 
requests will not constitute a sufficient response to an Office action 
requiring the registrant to provide evidence of use of the mark in the 
expungement or reexamination proceeding. The registrant must 
affirmatively notify the Office of the separate request in a timely 
response to the Office action.
    Any deletion of goods and/or services at issue in a pending 
proceeding requested in a response, a surrender for cancellation under 
Sec.  2.172, or an amendment of the registration under Sec.  2.173 
shall render the proceeding moot as to those goods and/or services, and 
the Office will not make any further determination regarding the 
registrant's use of the mark in commerce as to those goods and/or 
services.
    Under Sec.  2.93(b)(1), the registrant must respond to the initial 
Office action via TEAS within three months of the issue date, but has 
the option to request a one-month extension of time to respond for a 
fee of $125, as set forth in Sec.  2.6(a)(27). As discussed below, the 
USPTO made this change after consideration of the comments received in 
response to the proposed response period in the NPRM of two months for 
an Office action issued in connection with an expungement or 
reexamination proceeding. If the registrant fails to timely respond, 
the rule provides that the USPTO will terminate the proceedings and the 
registration will be cancelled, in whole or in part, as appropriate. 
However, a registrant may request reinstatement of the registration and 
resumption of the proceeding if the registrant failed to respond to the 
Office action because of an extraordinary situation. Under Sec.  
2.146(d)(2)(iv), such a petition must be filed no later than two months 
after the date of actual knowledge of the cancellation of goods and/or 
services in a registration and not later than six months after the date 
of cancellation as indicated in TSDR. Section 2.146(c)(2) requires the 
registrant to include a response to the Office action with the 
petition.
    Relatedly, Sec.  2.23(d)(3) provides that registrants are 
responsible for monitoring the status of their registrations in the 
USPTO's electronic systems at least every three months after notice of 
the institution of an expungement or reexamination proceeding until a 
notice of termination issues under Sec.  2.94.
    The USPTO also sought comments regarding whether Sec.  2.93 should 
provide that, when a timely response by the registrant is a bona fide 
attempt to advance the proceeding and is a substantially complete 
response to the Office action, but consideration of some matter or 
compliance with a requirement has been omitted, the registrant may be 
granted 30 days, or to the end of the time period for response in the 
Office action to which the substantially complete response was 
submitted, whichever is longer, to resolve the issue. As discussed 
below, after consideration of the comments received, Sec.  2.93 
includes the option for the USPTO to issue a 30-day letter in

[[Page 64305]]

such circumstances. However, granting the registrant additional time in 
such circumstances does not extend the time for filing an appeal to the 
TTAB or a petition to the Director. In addition, the USPTO sought 
comments on whether it should take additional action when a 
registrant's failure to respond in an expungement or reexamination 
proceeding leads to cancellation of some of the goods and/or services 
in the registration. Specifically, the USPTO considered whether, in 
these cases, the registration should also be selected for audit under 
37 CFR 2.161(b) or 7.37(b) if a registration maintenance filing is 
pending or, if one is not pending, when the next maintenance filing is 
submitted. As under current practice, if selected for audit, the 
registrant would be required to substantiate use for some or all of the 
remaining goods and/or services recited in the registration. As 
discussed below, after consideration of the comments received, the 
USPTO will not automatically select for audit a registration when the 
registrant fails to respond to an expungement or reexamination Office 
action and its registration is cancelled in part.
    If the registrant timely responds to the initial Office action in 
the expungement or reexamination proceeding, the USPTO will review the 
response to determine if use of the mark in commerce at the relevant 
time has been established for each of the goods and/or services at 
issue. If the USPTO finds, during the course of the proceeding, that 
the registrant has demonstrated relevant use of the mark in commerce on 
or in connection with the goods and/or services at issue sufficient to 
rebut the prima facie case, demonstrated excusable nonuse in 
appropriate expungement cases, or deleted goods and/or services, such 
that no goods and/or services remain at issue, the proceeding will be 
terminated upon the USPTO issuing a notice of termination under Sec.  
2.94.
    If, however, the response fails to establish use of the mark in 
commerce at the relevant time (or to sufficiently establish excusable 
nonuse, if applicable) for all of the goods and/or services at issue, 
or otherwise fails to comply with all outstanding requirements, the 
USPTO will issue a final action. In an expungement proceeding, the 
final action will include the examiner's decision that the registration 
should be cancelled for each good or service for which the mark was 
determined to have never been used in commerce or for which no 
excusable nonuse was established. In a reexamination proceeding, the 
final action will include the examiner's decision that the registration 
should be cancelled for each good and/or service for which it was 
determined the mark was not in use in commerce on or before the 
relevant date. As appropriate, in either an expungement or 
reexamination proceeding, the final action will include the examiner's 
decision that the registration should be cancelled in whole for 
noncompliance with any requirement under Sec. Sec.  2.11, 2.23, and 
2.189.
    If a final action is issued, the registrant will have three months 
to file a request for reconsideration or an appeal to the TTAB, if 
appropriate. These deadlines are not extendable. In accordance with 
Sec.  2.93(c)(3)(ii), if the registrant fails to timely appeal or file 
a request for reconsideration that establishes use of the mark in 
commerce at the relevant time for all goods and/or services that remain 
at issue in a final action (or that deletes the remaining goods and/or 
services at issue), the USPTO will issue a notice of termination of the 
proceeding under Sec.  2.94, clearly setting forth the goods and/or 
services for which relevant use was, or was not, established, as well 
as any other outstanding requirements. The notice of termination is a 
statement intended to provide notice to the registrant and the public 
of the ultimate outcome of the proceedings and is not itself 
reviewable. The USPTO will also issue, as appropriate, an order 
canceling the registration in whole or in part, in accordance with the 
examiner's decision in the final action. Section 2.93(b)(1) provides 
that, if the registrant fails to timely respond, the USPTO will 
terminate the proceedings, and the registration will be cancelled, in 
whole or in part, as appropriate. However, a registrant may request 
reinstatement of the registration and resumption of the proceeding if 
the registrant failed to respond to the Office action because of an 
extraordinary situation. Under Sec.  2.146(d)(2)(iv), such a petition 
must be filed no later than two months after the date of actual 
knowledge of the cancellation of goods and/or services in a 
registration and may not be filed later than six months after the date 
of cancellation in TSDR. Under Sec.  2.146(c)(2), the registrant must 
include a response to the Office action with the petition.
    Under Sec.  2.94, if the required use in commerce (or excusable 
nonuse, in appropriate cases) is not established, the notice of 
termination will indicate a cancellation of either some of the goods 
and/or services or the entire registration, depending on the 
circumstances. If the goods and/or services for which use (or excusable 
nonuse) was not demonstrated are the only goods and/or services in the 
registration, or there remain any additional outstanding requirements, 
the entire registration will be cancelled. However, if the notice of 
termination relates only to a portion of the goods and/or services in 
the registration, and there are no other outstanding requirements, the 
registration will be cancelled in part, as appropriate. A notice of 
termination will not issue until all outstanding issues are 
satisfactorily resolved (and thus no cancellation is necessary) or the 
time for appeal has expired or any appeal proceeding has terminated. 
Petitioners and other interested parties may monitor the progress of a 
proceeding by reviewing the status and associated documents through 
TSDR.
    In setting the deadlines for expungement and reexamination 
proceedings, the USPTO considered the amount of time a registrant might 
need to research and collect relevant evidence of use, the fact that 
some proceedings may involve more goods and/or services than others, 
and the comments it received regarding the proposed deadlines. The 
USPTO also weighed these considerations against the goal that these 
proceedings be faster and more efficient than other available options 
for cancellation of registrations for marks not used with goods and/or 
services listed therein, as well as the probability that most 
registrants are likely to have evidence of use that is contemporaneous 
with the relevant date at issue.

I. Estoppel and Co-Pending Proceedings

    Section 2.92(d) of this rule includes provisions for estoppel and 
bars co-pending proceedings involving the same registration and the 
same goods and/or services.
    Specifically, Sec.  2.92(d)(1) provides that, upon termination of 
an expungement proceeding where it was established that the registered 
mark was used in commerce on or in connection with any of the goods 
and/or services at issue in the proceedings prior to the date a 
petition to expunge was filed under Sec.  2.91 or the Director-
initiated proceedings were instituted under Sec.  2.92, no further 
expungement proceedings may be instituted as to those particular goods 
and/or services. Subsequent reexamination proceedings for marks 
registered under section 1 of the Act are not barred under these 
circumstances because reexamination proceedings involve a question of 
whether the mark was in use in commerce as of a particular relevant 
date, whereas earlier expungement proceedings would only have involved

[[Page 64306]]

a determination of whether the mark was never used. Proof of use 
sufficient to rebut a prima facie case of nonuse in an expungement 
proceeding might not establish use in commerce as of a particular 
relevant date, as required in a reexamination proceeding.
    Section 2.92(d)(2) provides that, upon termination of a 
reexamination proceeding where it was established that the registered 
mark was used in commerce on or in connection with any of the goods 
and/or services at issue, on or before the relevant date at issue in 
the proceedings, no further expungement or reexamination proceedings 
may be instituted as to those particular goods and/or services. The TMA 
does not explicitly bar a subsequent expungement proceeding following a 
determination in a reexamination proceeding. However, the rule takes 
into account that it would be unnecessary for the registrant to be 
subjected to a later-instituted proceeding alleging the mark was never 
used in commerce when the USPTO has already determined that the mark 
was used in commerce on or before a relevant date.
    In addition, Sec.  2.92(d)(3) provides that, with respect to a 
particular registration, while an expungement proceeding is pending, no 
later expungement proceeding may be instituted with respect to the same 
goods and/or services at issue in the pending proceeding. Section 
2.92(d)(4) establishes that, with respect to a particular registration, 
while a reexamination proceeding is pending, no later expungement or 
reexamination proceeding may be instituted with respect to the same 
goods and/or services at issue in the pending proceeding.
    For the purposes of these rules, the wording ``same goods and/or 
services'' refers to identical goods and/or services that are the 
subject of the pending proceeding or the prior determination. Thus, for 
example, if a subsequent petition for reexamination identifies goods 
that are already the subject of a pending reexamination proceeding and 
goods that are not, only the latter goods could potentially be the 
subject of a new proceeding. The fact that there is some overlap 
between the goods and/or services in the pending proceeding and those 
identified in a petition would not preclude the goods and/or services 
that are not the same from being the subject of a new proceeding, if 
otherwise appropriate. This situation is addressed in Sec.  2.92(c)(2), 
which permits the Director to institute a proceeding on petition for 
fewer than all of the goods and/or services identified in the petition. 
The comments received in connection with the estoppel and co-pending 
provisions are discussed below.

II. New Nonuse Ground for Cancellation Before the TTAB

    The TMA created a new nonuse ground for cancellation under section 
14 of the Act, allowing a petitioner to allege that a mark has never 
been used in commerce as a basis for cancellation before the TTAB. This 
ground is available at any time after the first three years from the 
registration date. Therefore, the USPTO amends Sec.  2.111(b) to 
indicate when a petition on this ground may be filed and to distinguish 
it from the timing of other nonuse claims.

III. Flexible Response Periods

    The TMA amended section 12(b) of the Act, 15 U.S.C. 1062(b), to 
allow the USPTO to set response periods by regulation for a time period 
between 60 days and 6 months, with the option for extensions to a full 
6-month period. Under current Sec.  2.62(a), applicants have six months 
to respond to Office actions issued during the examination of a 
trademark application. Many examination issues, particularly formal 
requirements like amendments to identifications or mark descriptions, 
can be resolved well before the current six-month deadline. However, 
the USPTO also recognizes that Office actions containing statutory 
refusals may present complex issues that require more time to address, 
and thus applicants and their attorneys may need the full response 
period to prepare and submit a response.
    USPTO data analytics indicate that, in fiscal year (FY) 2020, 42% 
of represented applicants and 66% of unrepresented applicants responded 
to an Office action with a single substantive ground of refusal within 
three months from the issuance of a non-final Office action. Where the 
Office action covered multiple refusals, 31% of represented applicants 
and 56% of unrepresented applicants responded within three months.
    Accordingly, the USPTO amends Sec.  2.62 to set a response period 
of three months for responses to Office actions in applications under 
sections 1 and/or 44 of the Act. Under Sec.  2.62(a)(2), applicants may 
request a single three-month extension of this three-month deadline, 
subject to payment of the fee in Sec.  2.6(a)(28), namely, $125 for an 
extension request filed through TEAS and $225 for a permitted paper-
filed request. To be considered timely, the request for an extension 
must be received by the USPTO on or before the deadline for response, 
which, consistent with current examination practice, will be set forth 
in the Office action. If an applicant fails to respond or request an 
extension within the specified time period, the application will be 
abandoned. This extension will not affect the existing practice under 
Sec.  2.65(a)(2) that permits an examiner to grant an applicant 30 
days, or to the end of the time period for response to the action to 
which a substantially complete and timely response was submitted, 
whichever period is longer, to explain or supply an omission. The 
amendments to Sec.  2.66 address the requirement for the extension fee 
in situations where an applicant files a petition to revive past a 
three-month deadline.
    Although post-registration actions are not subject to the response 
provisions in section 12 of the Act, for convenience and 
predictability, the same three-month response period and single three-
month extension apply to Office actions issued in connection with post-
registration review of registration maintenance and renewal filings.
    However, applications under section 66(a) of the Act will not be 
subject to the three-month deadline for Office action responses; the 
deadline will instead remain at six months. USPTO data analytics 
indicate that in FY 2020, only 11% of Madrid applicants filed a 
response to a non-final Office action with multiple grounds within 
three months, while 62% of Madrid applicants took six months to file a 
response. The additional processing required for these applications, 
both at the USPTO and the World Intellectual Property Organization's 
International Bureau (IB), per article 5(2) of the Madrid Protocol, 
introduces time constraints that justify maintaining the current 
deadlines.
    These flexible response periods are intended to promote efficiency 
in examination by shortening the prosecution timeline for applications 
with issues that are relatively simple to address, while providing 
sufficient time, through an optional extension, for responses to Office 
actions with more complex issues. In addition, shorter response periods 
may result in faster disposal of applications and thus reduce the 
potential delay in examination of later-filed applications for similar 
marks.
    The rule includes conforming revisions to Sec. Sec.  2.63, 2.65, 
2.66, 2.141, 2.142, 2.163, 2.165, 2.176, 2.184, 2.186, 7.6, 7.39, and 
7.40 to account for the deadlines and extensions. The USPTO 
inadvertently failed to list Sec.  2.176 in the NPRM but has included 
it here.

[[Page 64307]]

    Although the rules regarding expungement and reexamination 
proceedings must be implemented within one year of the TMA's enactment, 
there is no required date of implementation for the flexible response 
and extension provisions. Therefore, because these flexible response 
periods and extensions will involve significant changes to examination 
processes and the USPTO's information technology (IT) systems, the 
Office will delay implementation of them until December 1, 2022. This 
will also allow customers to update their practices and IT systems for 
these changes.
    The USPTO also sought comments on two alternatives to the 
procedures discussed above. The comments received regarding the 
flexible response period implemented herein, as well as the proposed 
alternatives, are discussed below.

IV. Letters of Protest

    The TMA amends section 1 of the Act, 15 U.S.C. 1051, to add a new 
paragraph (f), providing express statutory authority for the USPTO's 
existing letter-of-protest procedure, which allows third parties to 
submit to the USPTO for consideration and entry into the record 
evidence bearing on the registrability of a mark. This procedure is 
intended to aid in examination without causing undue delay or 
compromising the integrity and objectivity of the ex parte examination 
process. The TMA also provides that the Director shall determine 
whether evidence should be included in the record of the relevant 
application within two months of the date on which a letter of protest 
is filed.
    The USPTO promulgated letter-of-protest procedures at 37 CFR 2.149 
in a final rule published in the Federal Register on November 17, 2020 
(85 FR 73197). The requirements set out in Sec.  2.149 are consistent 
with those in the TMA. However, the TMA further provides that any 
determination by the Director of the USPTO whether to include letter-
of-protest evidence in the record of an application shall be final and 
non-reviewable, and that such a determination shall not prejudice any 
party's right to raise any issue and rely on any evidence in any other 
proceeding. See Public Law 116-260, Div. Q, Tit. II, Subtit. B, section 
223(a). Therefore, the USPTO revises Sec.  2.149 to include these 
additional provisions.
    The TMA also authorizes the USPTO to charge a fee for letters of 
protest. Public Law 116-260, Div. Q, Tit. II, Subtit. B, section 
223(a). Under existing Sec.  2.6(a)(25), the USPTO currently charges 
$50 per letter-of-protest submission. That fee is not changed in this 
rulemaking. Comments received in connection with the procedures for 
letters of protest are discussed below.

V. Suspension of Proceedings

    The USPTO revises Sec. Sec.  2.67 and 2.117 to clarify that 
expungement and reexamination proceedings are included among the types 
of proceedings for which suspension of action by the Office or the TTAB 
is authorized. In addition, the USPTO revises these rules to align them 
with the existing practice regarding suspension of proceedings before 
the USPTO or the TTAB. Generally, the USPTO will suspend prosecution of 
a trademark application or a matter before the TTAB during the pendency 
of a court or TTAB proceeding that is relevant to the issue of 
registrability of the involved mark; therefore, this rule eliminates 
the limitation in Sec.  2.117 to other proceedings in which a party or 
parties are engaged.
    Suspension will normally be maintained until the outcome of the 
proceeding has been finally determined. As set forth in the current 
version of section 510.02(b) of the Trademark Trial and Appeal Board 
Manual of Procedure, the USPTO considers a proceeding to have been 
finally determined when an order or ruling that ends litigation has 
been rendered and noticed, and no appeal has been filed, or all appeals 
filed have been decided and the time for any further review has expired 
without further review being sought. The expiration of time for any 
further review includes the time for petitioning for rehearing or U.S. 
Supreme Court review. Thus, the Office will not normally lift a 
suspension until after the time for seeking such review has expired, a 
decision denying or granting such review has been rendered, and any 
further review has been completed. Comments received regarding 
suspension procedures are discussed below.

VI. Attorney Recognition

    The USPTO proposed revising Sec.  2.17(g) to indicate that, for the 
purposes of an application or registration, recognition of a qualified 
attorney as the applicant's or registrant's representative will 
continue until the owner revokes the appointment or the attorney 
withdraws from representation. Accordingly, to end attorney recognition 
by the USPTO under the proposal, owners and attorneys would be required 
to proactively file an appropriate revocation or withdrawal document 
under Sec.  2.19, rather than the current situation, where recognition 
automatically ends when one of the events listed in current Sec.  
2.17(g) occurs.
    Furthermore, under the proposed revision to Sec.  2.17(g), if the 
applicant or registrant wished to retain a new attorney for submissions 
to the USPTO following abandonment or registration, the applicant or 
registrant would be required to revoke the original power of attorney, 
or the attorney would need to request to withdraw from representation, 
before a new attorney could be recognized.
    In addition, under the proposed rule, recognition of the attorney 
of record would continue, even when there is a change of ownership, 
until the attorney affirmatively withdraws or representation is 
revoked.
    After consideration of the comments received in connection with the 
proposed changes, as discussed below, the USPTO has decided not to 
implement these proposed changes to the rules governing attorney 
recognition and withdrawal at this time.
    However, as proposed, this rule adds Sec.  2.17(b)(4) to specify 
that when a practitioner has been mistakenly, falsely, or fraudulently 
designated as an attorney for an applicant, registrant, or party to a 
proceeding without the practitioner's prior authorization or knowledge, 
recognition of that practitioner shall be ineffective.
    In addition, the USPTO revises Sec.  2.18(a)(1) to refer to 
``recognition'' instead of ``representation,'' consistent with the 
wording in Sec.  2.18(a)(2). The term ``recognition'' reflects the fact 
that the USPTO does not control representation agreements between 
practitioners and clients but merely recognizes an attorney for 
purposes of representation before the USPTO. In addition, revised Sec.  
2.18(a)(2) indicates that, as with service of a cancellation petition, 
the USPTO may correspond directly with a registrant in connection with 
notices of institution of expungement or reexamination proceedings. 
Accordingly, the USPTO plans to send notices of institution of 
expungement and reexamination proceedings to the owner currently 
identified in the registration record and to the attorney of record, if 
any, or any previous attorney of record whose contact information is 
still in the record.

VII. Court Orders Concerning Registrations

    This rule also adds new Sec.  2.177 to codify the USPTO's 
longstanding procedures concerning action on court orders cancelling or 
affecting a registration under section 37, 15 U.S.C. 1119, which are 
currently set forth in section 1610 of the Trademark Manual

[[Page 64308]]

of Examining Procedure (TMEP). The USPTO requires submission of a 
certified copy of the order and normally does not act on such orders 
until the case is finally determined.

VIII. Comments and Responses

A. Number of Petitions

    Comment 1: Several commenters submitted comments about whether the 
USPTO should limit the number of petitions for expungement or 
reexamination that can be filed against a registration. Two commenters 
agreed with the approach, stated in the NPRM, that the USPTO would not 
initially limit the number of petitions. These commenters suggested 
that the Report on Decluttering Initiatives would inform the USPTO on 
whether additional safeguards might be needed after some experience 
with these proceedings and encouraged the USPTO to address patterns of 
abusive filings by denying institution of bad-faith petitioners' future 
requests. One commenter was concerned about the possibility of misuse 
by deferring a limit on the number of petitions that can be filed 
against a registration, but was amenable to a wait-and-see approach, 
while encouraging the USPTO to reserve the authority of the Director to 
limit the number of petitions at his or her discretion or for the USPTO 
to establish a limit in a future rule. Two commenters stated that the 
USPTO should limit the number of petitions that can be filed as an 
additional safeguard against abuse, one opining that allowing multiple 
ex parte proceedings against a single registration disproportionately 
impacts small and medium-sized enterprises.
    Response: As noted above, the USPTO is not imposing a limitation on 
the number of petitions at this time. The USPTO agrees with those 
commenters who believe that experience with these proceedings will 
inform the USPTO as to whether there are patterns of abuse in the 
filing of petitions for expungement or reexamination. As referenced by 
the comments, the TMA requires the USPTO to collect data for a 
congressionally mandated report on the effectiveness of the expungement 
and reexamination proceedings in addressing inaccurate and false claims 
of use. Some of these comments suggested that this data could identify 
whether or not abuses of the proceedings have occurred. In connection 
with the report, the USPTO is establishing internal systems for 
collecting data on, among other things, the number of petitions for 
expungement or reexamination filed, the number of proceedings 
instituted, and the final outcome of those proceedings. However, this 
data is primarily for the purpose of measuring the effectiveness of the 
proceedings and likely will not inform the USPTO as to the potential 
for abuse. Thus, the USPTO's Special Task Force for Improper Activities 
(STF) will be separately analyzing other data elements to evaluate 
abuse of the proceedings. The USPTO does not intend to make this 
investigative data collection public because of the potential for bad 
actors to use that information to evade detection. If it appears that 
abuse of the petition process or of the nonuse proceedings is 
occurring, the USPTO may take steps to prevent such abuse from 
continuing to occur, the USPTO may take steps to prevent it from 
continuing by establishing a limit on the number of petitions for 
expungement or reexamination in a future rulemaking or by imposing 
appropriate sanctions under 37 CFR 11.18, which may include striking 
submissions and precluding parties from making submissions. Regarding 
the concern that multiple ex parte proceedings against a single 
registration would disproportionately impact small and medium-sized 
enterprises, the USPTO notes that the absence of a limit on petitions 
to cancel at the TTAB does not appear to have disproportionately 
impacted these enterprises and there is no evidence to suggest a 
different result with respect to petitions for reexamination or 
expungement. It should be noted, however, that, based on information 
already collected, many of the applications and registrations in which 
nonuse may be an issue are owned by individuals or small-volume filers. 
Therefore, the USPTO anticipates that a significant portion of the 
expungement and reexamination proceedings instituted will be brought 
against registrants who are considered small enterprises. If so, this 
fact alone would not indicate that the process was unfairly impacting 
this group. However, the USPTO will carefully review the data to be 
collected for the above-referenced report, along with the data to be 
collected by the STF, which should provide additional insight to allow 
the USPTO to assess the impact of these proceedings on registrants, as 
well as potential abuse, and make adjustments if necessary. For now, 
given the per-class filing fee for submitting a petition for 
expungement and/or reexamination, the time and resources required to 
demonstrate the petitioner's search for use in relevant channels of 
trade and advertising, and the potential ramifications under Sec.  
11.18 of submitting a petition for an improper purpose, the USPTO 
expects that petitioners will take care to submit petitions that 
appropriately challenge all goods and/or services for which they allege 
nonuse.

B. Real Party in Interest

    Comment 2: The USPTO received six comments agreeing that it should 
not require a petitioner to identify the name of the real party in 
interest on whose behalf a petition is filed. These commenters stated, 
among other things, that: (1) Allowing the real party in interest to 
remain anonymous will encourage filers to take advantage of the system 
by reducing the likelihood of retaliation, (2) requiring real-party-in-
interest information could become an obstacle to the use of the system, 
(3) it is consistent with the TMA and congressional intent not to 
require standing, and (4) these proceedings are only between the USPTO 
and the registrant after institution. Four commenters supported a 
requirement to identify the real party in interest in order to 
discourage frivolous, speculative, or abusive filings and so the 
registrant would know who is challenging its registration. Two 
commenters suggested that the USPTO adopt a wait-and-see approach and 
revisit the issue after gaining some experience with processing the 
petitions, with one stating that the Director should nonetheless retain 
the discretion to require a petitioner to identify the real party in 
interest.
    Response: The USPTO agrees with the rationale articulated by those 
commenters who stated that the identity of the real party in interest 
should not be required in order to file a petition for expungement or 
reexamination. The TMA allows any party to file and does not require 
the real party in interest to be identified and requiring such 
information could discourage legitimate petitions from being filed 
where the potential filers have concerns about being identified in the 
petitions. However, the USPTO also agrees that there is merit in 
retaining the Director's discretion to require the identity of the real 
party in interest in order to discourage and prevent abusive filings. 
Therefore, this rule retains such discretion in Sec.  2.91(h).

C. 30-Day Letter--Petition

    Comment 3: One commenter supported providing petitioners an 
opportunity to supplement a deficient petition. Another stated that 
allowing petitioners 30 days to perfect a deficient petition is too 
long and does not appear fairly balanced with the registrant's

[[Page 64309]]

proposed response period of two months to provide evidence of use for a 
potentially large number of goods and/or services across multiple 
classes. One commenter requested that the USPTO clarify whether a 
petitioner's failure to establish a prima facie case will be 
correctable under the 30-day letter process for perfecting a petition 
or if the letter will only issue when a petition is incomplete as a 
result of other formal requirements. Another commenter asked whether 
the USPTO will place 30-day letters in the TSDR record of the 
challenged registration, whether it will notify the registrant of the 
letter, and whether it will issue the 30-day letter under the same 
current processes and procedures as letters issued in relation to 
petitions to the Director. That commenter also recommended that any 
notification to the registrant be made to the email addresses of the 
registrant, attorney of record, and any secondary email addresses 
listed in the registration. Finally, one commenter suggested that a 
technical defect in a petition, such as failing to adequately describe 
its reasonable investigation, should not preclude the Director from 
instituting a proceeding.
    Response: A 30-day letter will be issued in connection with a 
petition for expungement or reexamination when the petition is 
incomplete because it fails to include all of the required elements 
listed in Sec.  2.91(c). For example, a 30-day letter will be issued 
when: (1) The petition does not include the name, domicile address, or 
email address of the petitioner; (2) a U.S.-licensed attorney is not 
designated when the petitioner has a foreign domicile; (3) the petition 
does not include the required verified statement; or (4) the 
documentary evidence is not clear and legible. As set out in Sec.  
2.91(c)(8)(i), the verified statement must include the elements of the 
petitioner's reasonable investigation, a description of how and when 
the searches were conducted, and what the searches disclosed. For 
purposes of determining whether the petition includes elements required 
under Sec.  2.91(c), the verified statement will be reviewed for 
whether it includes the descriptions listed in paragraph (c)(8)(i), but 
not for the substantive adequacy of those descriptions. If the USPTO 
determines that the petition does not include the descriptions required 
in Sec.  2.91(c)(8)(i), the petitioner may be given 30 days to perfect 
its petition.
    The 30-day letter is intended only to give the petitioner an 
opportunity to provide a required element for a complete petition, 
consistent with the current procedure regarding missing required 
elements for petitions to the Director under Sec.  2.146. It will not 
include a determination regarding whether the petition establishes a 
prima facie case, and the petitioner may not include additional 
evidence in its response. If the petitioner includes additional 
evidence in its response, such evidence will not be considered. If a 
proceeding is not instituted because the USPTO ultimately determines 
that the petition fails to establish a prima facie case based on the 
evidence originally submitted, the petitioner may submit a new petition 
with additional evidence.
    Regarding the inquiry about whether the USPTO will place 30-day 
letters in the TSDR record of the challenged registration and whether 
it will notify the registrant of the letter, as well as the 
recommendation that any notification to the registrant be made to the 
email addresses of the registrant, attorney of record, and any 
secondary email addresses listed in the registration, the USPTO notes 
that the issue of whether a petition for expungement or reexamination 
complies with the requirements set out in Sec.  2.91 involves only the 
petitioner and the USPTO. Therefore, a 30-day letter giving a 
petitioner an opportunity to perfect an incomplete petition will be 
sent only to the petitioner. The letter will be loaded into TSDR, as 
will the petitioner's response, if one is received. The registrant will 
have received notice of the petition via the courtesy email 
notification sent by the USPTO when the petition is filed, and will be 
able to view any 30-day letter issued in connection with an incomplete 
petition, and the petitioner's response, in TSDR.
    Finally, the USPTO agrees with the commenter who suggested that a 
technical defect in a petition should not preclude a Director-
instituted proceeding. If a petitioner fails to perfect its petition by 
supplying all of the required elements, the petition will be denied, 
and none of the petitioner's evidence will be reviewed. However, 
nothing in Sec.  2.92(b) prohibits the Director from instituting a 
proceeding on the Director's own initiative simply because a third 
party filed an incomplete petition.

D. Petition Fee

    Comment 4: Two commenters agreed with the proposed $600 per-class 
fee for filing a petition for expungement or reexamination, with one 
noting that the fee should be adequate to discourage abuse by 
petitioners, while also accounting for the increased administrative 
burden on the Office. Several others thought that it was too high. 
Those commenters generally opined that the proposed fee was excessive 
considering the limited scope and duration of the proceedings and that 
it would discourage parties from using the process. Four commenters 
suggested specific fees, ranging from $250 to $400 per class. Two 
commenters also recommended that the USPTO extend the applicability of 
the fee for deleting goods and/or services after submission and prior 
to acceptance of a section 8 or section 71 affidavit to goods and/or 
services deleted as a result of reexamination or expungement, and that 
the Office issue these fees back to petitioners.
    Response: The USPTO agrees with the commenter who noted that the 
fee should be adequate to discourage abuse by petitioners, while also 
accounting for the increased administrative burden on the Office. As 
noted above, the USPTO must determine whether the requirements to 
establish a prima facie case have been satisfied by the petitioner in 
order to institute a proceeding. Thus, although the proceeding is more 
limited in scope than examination prior to registration, the USPTO must 
expend the time and resources to evaluate whether the petitioner has 
provided sufficient notice of the claimed nonuse to allow the 
registrant to respond to and potentially rebut the claim. Upon response 
by the registrant, the USPTO must review and evaluate all evidence 
provided by the registrant to determine whether it is sufficient to 
show use in commerce for each challenged good and/or service. 
Nevertheless, after consideration of the comments recommending a lower 
fee, the USPTO has adjusted the per-class fee for filing a petition for 
expungement or reexamination to $400 per class to ensure that it 
adequately discourages abuse and accounts for the increased costs to 
the Office, while also incentivizing the use of these procedures.
    Regarding the suggestion to extend the fee for deleting goods and/
or services after submission and prior to acceptance of a section 8 or 
section 71 affidavit to goods and/or services deleted as a result of 
reexamination or expungement, the USPTO notes that the deletion fee 
would be charged if goods and/or services are deleted from a 
registration in response to a petition for expungement or reexamination 
and a section 8 or section 71 affidavit is pending while the 
expungement or reexamination proceeding is ongoing. However, extending 
the applicability of the deletion fee during other periods was not 
proposed in the NPRM and is outside the scope of this rule.

[[Page 64310]]

E. Reasonable Investigation Requirements

    Comment 5: One commenter stated that allowing internet search 
engine results, let alone a single internet search, to suffice as a 
reasonable investigation biases ex parte proceedings against small and 
medium-sized enterprises. That commenter suggested that: (1) The 
limitations of internet search engine results should preclude such 
results alone from constituting a reasonable search and that evidence 
be required from at least one additional source before a prima facie 
case can be established; and (2) any internet search relied upon as 
part of the broader body of evidence should be conducted within the 
United States and at a time reasonably contemporaneous with the filing 
of the petition, e.g., within 14 calendar days. Another commenter 
suggested adding a statement in Sec.  2.91(d)(3) to indicate that a 
petitioner's investigation will be deemed reasonable if the sources 
used sufficiently demonstrate that a search for use in the typical 
relevant channels of trade and advertising for the identified goods 
and/or services did not reveal any relevant use. A third commenter 
suggested that ``information about domain name registrations presently 
or previously in the name of the Registrant, including offers of such 
domain names for sale,'' be included within the sources of information 
for a reasonable investigation. Another commenter suggested that the 
USPTO assign a dedicated group of examiners to review and evaluate 
whether a petitioner has conducted a reasonable investigation and 
established a prima facie case. That commenter and two others suggested 
that such examiners receive specialized training. Another commenter 
suggested that the notice regarding whether a proceeding will be 
instituted should clarify what evidence is required to meet the 
reasonable investigation requirement, whether such evidence is 
sufficiently provided, and whether the evidence supports a prima facie 
case. Several commenters also requested clarification regarding whether 
the petitioner's sources and evidence will be viewable in TSDR in 
addition to the petition itself.
    Response: The USPTO appreciates the commenter's concerns regarding 
the limitations of search-engine results. However, the commenter did 
not provide evidence that such searches are biased against small and 
medium-sized enterprises other than to state that they are prone to 
variation based on such factors as the location of the user, the time 
the search was conducted, and prior search history. Even assuming that 
an internet search would not return evidence of use by small and 
medium-sized enterprises, the petitioner still bears the responsibility 
of demonstrating that its investigation was reasonable and producing 
reliable and credible evidence of nonuse at the relevant time. 
Moreover, there may be situations in which an investigation comprised 
only of internet searches would be deemed reasonable, based on the 
nature of the goods and/or services at issue. Therefore, the USPTO 
declines to adopt a requirement that evidence be provided from at least 
one additional source before a prima facie case can be established.
    Regarding the commenter's suggestion that any internet search 
relied upon be conducted within the United States, the USPTO 
understands that search-engine algorithms may include a geographic 
component that may lead to different search results for users in 
different countries. Thus, users outside the United States may not see 
the same search results that U.S. users see. Generally, a search should 
encompass the relevant online sources that would be searched and 
returned if it was conducted by someone seeking information about a 
product or service that is in use in commerce in or with the United 
States, as defined by the Act. However, there are means for conducting 
such a search that do not require the person conducting such a search 
to be located in the United States; any suggestion that the search be 
conducted by someone located in the Unites States may unfairly inhibit 
foreign parties from submitting legitimate petitions. Therefore, the 
USPTO declines to adopt such a requirement in the final rule.
    As to requiring that searches be conducted at a particular time 
that is reasonably contemporaneous with the filing of the petition, the 
USPTO notes that under Sec.  2.91, evidence comprising screenshots from 
relevant web pages must include the URL and access or print date. This 
information will allow the USPTO to weigh the value and currency of 
such evidence when determining whether a prima facie case of nonuse has 
been established by the petitioner.
    As to the request that the regulatory text specifically list 
information about domain name registrations owned or offered for sale 
by the registrant as a source for a reasonable investigation, the USPTO 
notes that Sec.  2.91(d)(2) clearly states that the sources for a 
reasonable investigation are not limited to those listed in the 
regulation. Therefore, the rule does not prohibit petitioners from 
including such information.
    Regarding the suggestion that Sec.  2.91(d)(3) include a statement 
specifying the circumstances in which a petitioner's investigation will 
be deemed reasonable, the USPTO declines to include such a statement in 
the regulations. If the USPTO issues a notice instituting a proceeding 
after submission of a petition for expungement or reexamination, 
institution of the proceeding will demonstrate that the USPTO 
determined the petitioner's investigation was reasonable and provided 
sufficient evidence of nonuse for the challenged goods and/or services.
    Regarding the request that the notice regarding whether a 
proceeding will be instituted clarify what evidence is required to meet 
the reasonable investigation requirement, the USPTO notes that examples 
of the types of evidence required to meet the reasonable investigation 
requirement are set out in Sec.  2.91(d)(2). Further, what constitutes 
a reasonable investigation is a case-by-case determination, and the 
USPTO will not provide specific guidance as to what types of evidence 
would comprise a reasonable investigation in a particular situation.
    As to the suggestion that a specialized group of examiners should 
be assigned to review and evaluate whether a petitioner has conducted a 
reasonable investigation and established a prima facie case, and that 
they receive specialized training, the USPTO assures the commenters 
that attorneys within the Trademarks organization who are assigned to 
review petitions for expungement and reexamination will receive 
appropriate training.
    Finally, because the petitioner's sources and evidence are required 
for a complete petition under Sec.  2.91(c), they are not separate from 
the petition, but form part of the petition. As noted in the NPRM, 
petitions requesting institution of expungement and reexamination 
proceedings will be entered in the registration record, and thus these 
materials will be publicly viewable in TSDR.

F. Professional Responsibility

    Comment 6: Two commenters submitted comments regarding the USPTO's 
reference to a practitioner's responsibility under 37 CFR 11.303(d) to 
inform the USPTO in an ex parte proceeding of all material facts known 
to the practitioner that will enable the USPTO to make an informed 
decision, whether or not the facts are adverse. One commenter requested 
that the

[[Page 64311]]

USPTO clarify whether reference to this rule means that after 
submission of a petition, but prior to institution of a proceeding, a 
registrant could provide evidence of use to the petitioner, and thereby 
obligate the petitioner to submit such evidence to the USPTO or 
withdraw the petition, if withdrawal is possible. The other commenter 
inquired whether a petitioner is required to update its evidence to 
account for adverse evidence discovered after its petition is filed and 
before a proceeding is instituted.
    Response: Under the TMA, any person may file a petition to expunge 
or reexamine a registration of a mark on the basis that the mark has 
never been used in commerce, or was not used on or before a relevant 
date, on or in connection with some or all of the goods or services 
recited in the registration. The petition is the mechanism by which a 
third party may submit such a challenge to the USPTO. In that way, it 
is similar to the letter-of-protest process whereby third parties may 
submit evidence relevant to the registrability of a mark in a pending 
application. The involvement of the third party in that situation ends 
with the submission of the letter of protest. Here, if the USPTO 
determines that the petition establishes a prima facie case of nonuse 
during the relevant time period and institutes an expungement or 
reexamination proceeding, such proceeding is ex parte, and, as noted in 
the NPRM and reiterated above, the petitioner will have no further 
involvement.
    As to the first comment, under the procedures set forth in the 
rules, the registrant should not engage with the petitioner regarding a 
pending petition, but rather only with the USPTO after a proceeding is 
instituted. The petitioner's involvement ends with the filing of the 
petition. Any evidence of use should be submitted by the registrant in 
a timely response to an Office action issued in connection with the 
proceeding.
    As to the second comment, if the petitioner discovers that its 
petition included false or fraudulent information, the petitioner 
should seek to correct the petition by filing a petition under Sec.  
2.146(a)(3) to invoke the supervisory authority of the Director to 
correct the submission and specifying the facts to be corrected. See 
Sec.  11.18(b)(2) (submission constitutes certification) and Sec.  
11.303(d) (duty of candor).

G. Director-Initiated Proceedings

    Comment 7: One commenter requested that the USPTO explain the 
meaning of ``essentially'' in the statement that ``for Director-
initiated expungement and reexamination proceedings, the evidence and 
information that may be relied upon to establish a prima facie case may 
be from essentially the same sources as in the petition-initiated 
proceeding.'' The commenter also asked whether the Director will be 
able to use evidence submitted in support of one or more failed 
petitions to establish a prima facie case of non-use in a Director-
initiated proceeding against the same registration and whether the 
reference to a preponderance of the evidence applies only to Director-
initiated proceedings. Another commenter asked if the USPTO 
contemplated further investigating potential nonuse whenever a petition 
for expungement or reexamination is filed for fewer than all the goods 
and/or services in a registration and requested clarification as to 
whether third parties may request consolidation of proceedings. A third 
commenter suggested that the USPTO consider setting up an email address 
for parties to notify the Director if there are registrations that may 
be vulnerable to a Director-initiated expungement or reexamination 
proceeding.
    Response: Regarding the inquiry about the use of the term 
``essentially'' in connection with sources of evidence and information 
relied upon in a Director-instituted proceeding, the term merely 
emphasized that the Director's evidence will come from the same types 
of sources as those of a petitioner. In this final rule, Sec.  2.92(a) 
refers to proceedings instituted upon petition and Sec.  2.92(b) refers 
to proceedings instituted upon the Director's initiative. In either 
case, institution of the relevant proceeding must be based on 
information that supports a prima facie case for expungement or 
reexamination of a registration for some or all of the goods or 
services identified in the registration. Section 2.91(c)(9) provides a 
non-exhaustive list of the types of evidence that may support a prima 
facie case of nonuse. The USPTO anticipates that the evidence put forth 
in a Director-initiated proceeding would come from the same types of 
sources as those relied on in a petition submitted by a third party. As 
to the commenter's second question, nothing in the rule prohibits the 
Director from using evidence submitted in support of a petition that 
failed to establish a prima facie case of non-use in a Director-
initiated proceeding against the same registration as part of the prima 
facie case in a Director-initiated proceeding.
    As to whether the USPTO contemplated further investigating 
potential nonuse whenever a petition for expungement or reexamination 
is filed for fewer than all the goods and/or services in a 
registration, the USPTO has contemplated such a situation. As noted in 
the NPRM and above, if the Director wishes to institute an ex parte 
expungement or reexamination proceeding on the Director's own 
initiative concerning a registration for which one or more petitions 
are pending, the Director may elect to institute a proceeding for other 
goods and/or services and consolidate the proceedings as related 
parallel proceedings. Regarding consolidation of proceedings, the rule 
provides that, for efficiency and consistency, the Director may 
consolidate consideration of a new proceeding with a pending 
proceeding. There is no provision for requests by third parties to 
consolidate proceedings.
    Regarding the suggestion that the USPTO provide an email address 
for parties to notify the Director about registrations they believe may 
be vulnerable to a Director-initiated expungement or reexamination 
proceeding, the USPTO will not provide a separate email address for 
such notifications. If a third party has information and evidence to 
support a prima facie case of nonuse, the appropriate vehicle for 
providing such information and evidence to the USPTO is a petition for 
expungement or reexamination.

H. Establishing a Prima Facie Case

    Comment 8: One commenter requested that the USPTO clarify whether 
examiners should conduct independent internet searches or rely 
primarily on the petitioner's evidence, and further stated that the 
USPTO should conduct such independent searches to ensure the prima 
facie case is met. The commenter also suggested that the USPTO conduct 
a more thorough review when the goods and/or services are industrial or 
business-to-business products, or other goods/services not typically 
sold or advertised online. Another commenter inquired whether the USPTO 
will supplement the prima facie evidence of the petitioner to meet the 
preponderance-of-the-evidence standard of proof. A third commenter 
suggested that the USPTO corroborate in appropriate cases whether the 
reasonable predicate concerning nonuse is supported.
    Response: Under Sec.  2.92, an expungement or reexamination 
proceeding will be instituted only in connection with the goods and/or 
services for which a prima facie case of relevant nonuse has been 
established. Section 2.92(a) provides that the Director will determine 
``if the petition

[[Page 64312]]

sets forth a prima facie case of nonuse to support the petition basis'' 
(emphasis added). It is the petitioner's burden to establish a prima 
facie case. Therefore, with regard to a petition for expungement or 
reexamination, the USPTO will review the evidence provided and 
determine whether it establishes a prima facie case. The USPTO will not 
conduct independent research to ensure that the prima facie case is 
met, nor will it supplement the evidence of the petitioner. The USPTO 
notes, however, that in a Director-instituted proceeding, the evidence 
and information that may be relied upon to establish a prima facie case 
may be from the same types of sources as in the petition-initiated 
proceeding, as well as independent research conducted by the USPTO and 
the electronic record of the registration. Regarding goods and/or 
services not typically sold or advertised online, as noted above, a 
prima facie case must include sufficient notice of the claimed nonuse 
to allow the registrant to respond to and potentially rebut the claim 
with competent evidence. The USPTO will not impose a higher level of 
review based on the nature of the goods and/or services but will 
thoroughly review the evidence in all cases to determine whether this 
standard has been met.

I. Notice of Petition and Proceedings

    Comment 9: Three commenters expressed concern that numerous 
registrations do not have up-to-date email addresses for the registrant 
and assigned attorneys or details regarding any assignments. One 
commenter suggested that where a petitioner's research has disclosed 
one or more email addresses of appropriate parties, the petitioner 
should have an ethical duty to provide such information for proper 
notification of the proceeding by the USPTO. Another commenter asked 
whether the USPTO would accept a response from a new owner when the 
registration was assigned, but the assignment was not recorded before 
the proceeding was instituted, and whether the new owner is required to 
formally record documents evidencing a change of title to be recognized 
as the registrant or if it would be sufficient to supply ownership 
documents with its response.
    Response: The USPTO appreciates the commenters' concerns regarding 
proper notification of a proceeding to the relevant registrant. Under 
37 CFR 2.23(b), registrants must provide and maintain a valid email 
address for correspondence. Therefore, it is the registrant's 
responsibility to ensure that any changes to its email address have 
been properly submitted to the USPTO. Moreover, in order to change a 
registrant's correspondence address, a properly signed written request 
is required. 37 CFR 2.18(c), 2.193(e)(9). Therefore, the USPTO cannot 
change the registrant's email address based on information provided by 
a third party.
    Similarly, it is the registrant's or the new owner's responsibility 
to provide information regarding changes of ownership to the USPTO. In 
a registration based on section 1 or section 44 of the Act, if the 
registrant has not recorded a change of ownership with the Assignment 
Recordation Branch of the USPTO, and a party other than the owner of 
record attempts to take an action with respect to the registration, the 
party must establish ownership of the registration. To establish 
ownership, the new owner must either: (1) Record the assignment (or 
other document affecting title) with the Assignment Recordation Branch, 
and notify the Trademarks organization that the document has been 
recorded; or (2) submit other evidence of ownership, in the form of a 
document transferring ownership from one party to another, or an 
explanation, in the form of an affidavit or declaration under 37 CFR 
2.20, that a valid transfer of legal title has occurred. 37 CFR 
3.73(b)(1). The document(s) must show a clear chain of title from the 
original owner to the party who is taking the action. See TMEP section 
502.01. In an application under section 66(a) of the Act, or a 
registered extension of protection, the new owner must record changes 
in ownership or in the name or address of the holder with the World 
Intellectual Property Organization's IB in order to take an action with 
respect to a registration. The new owner does not have the option to 
submit documentary evidence of ownership pursuant to 37 CFR 3.73(b)(1). 
37 CFR 7.22. Therefore, it is in the best interests of both the prior 
and new owners to provide evidence of changes of title, either by 
recordation of an assignment or otherwise, in a timely manner.

J. Response Period--Expungement and Reexamination Proceedings

    Comment 10: Several commenters encouraged the USPTO to allow 
registrants longer than two months to respond to an Office action in an 
expungement or reexamination proceeding. They noted, among other 
things, that it may be difficult for foreign owners or large 
corporations to collect use evidence where: (1) Communication with 
multiple layers of personnel who may be in different countries and time 
zones is required; (2) the registrant has recently acquired a company 
with a large portfolio of marks, including the challenged registration; 
or (3) the registrant is a large company, and key personnel with 
knowledge have recently left the company. Two commenters suggested a 
six-month response period, while another suggested that registrants be 
given nine months to respond. Four commenters noted that the response 
period should be consistent with what is contemplated for other Office 
actions, with five commenters proposing a three-month response period. 
Multiple commenters also asked that the USPTO allow registrants to 
request an extension of time to respond, five of whom suggested that 
such extension include a statement of good cause. In addition, one 
commenter suggested that the registrant should have an opportunity to 
set aside a default, for good cause, when correspondence was not 
received, similar to situations at the TTAB.
    Response: The USPTO appreciates the concerns the commenters raised 
about the proposed two-month response period for Office actions issued 
in connection with expungement and reexamination proceedings, including 
that registrants likely will need more time to get counsel and gather 
use evidence in response, especially in proceedings involving multiple 
goods and/or services. To address these concerns, the USPTO is setting 
the response period at three months, which has the additional benefit 
of aligning response deadlines for these proceedings with those the 
USPTO intends to implement for Office actions in the examination of 
applications and post-registration submissions, thus making deadline 
management easier. The rule also provides for a one-month extension of 
the response deadline to a non-final Office action in expungement and 
reexamination proceedings, recognizing that there may be situations 
where a registrant may need an additional month to locate and supply 
the use evidence and information necessary to respond to the initial 
Office action. This rule also sets the same fee of $125 for filing a 
request for extension of time to file a response to a non-final Office 
action through TEAS in an expungement or reexamination proceeding as 
the Office is setting for extensions of time to respond to Office 
actions in the examination of applications and post-registration 
submissions. In addition, consistent with the regulation enacted herein 
permitting requests to extend the time to respond to Office actions 
issued prior to registration, the USPTO will not require a statement of 
good cause for extension

[[Page 64313]]

requests submitted in connection with responses to expungement/
reexamination or to examination/post-registration Office actions.
    Although the response and extension periods for responding to a 
non-final Office action in expungement and reexamination proceedings 
being set in the rule double the response timeframe from what was 
originally proposed, the USPTO believes that the additional time should 
result in registrants providing complete responses to the initial 
Office action and should not overly lengthen resolution of the 
proceedings. To balance the competing interests of providing more time 
for the registrant to respond against ensuring resolution of the 
proceedings is not unduly delayed by the registrant, the Office also is 
setting the deadline to request reconsideration or appeal after a final 
Office action at three months, but is not providing for any extension 
of those deadlines. The USPTO does not believe more time to respond is 
warranted because registrants are expected to file a complete response 
to the initial Office action and, unlike Office actions issued in the 
examination of applications that may raise multiple substantive 
refusals, the scope of Office actions in expungement and reexamination 
proceedings is limited to a single substantive issue--the mark's use in 
commerce for particular goods and/or services. The procedural 
requirements that may be made in Office actions issued in expungement 
and reexamination proceedings are similarly limited to straightforward 
and readily resolvable issues, such as a requirement to appoint counsel 
if the registrant is foreign-domiciled. If the registrant wishes to 
comply with any unsatisfied requirements or address any remaining 
issues raised in the final Office action, it now will have three months 
from the issuance of the final Office action to do so, one month more 
than initially proposed.
    Regarding the request that the USPTO set aside a default when 
correspondence was not received that resulted in cancellation of the 
registration, the USPTO notes that the registrant must maintain a 
current and accurate correspondence address for itself and its 
attorney, if one is designated. 37 CFR 2.18(c). If any of these 
addresses change, a properly signed request to change the address must 
be promptly filed. Id. If the registrant did not receive an Office 
action and the registration was cancelled in whole or in part, the 
registrant may request reinstatement of the registration pursuant to a 
petition to the Director under Sec.  2.146(c)(2). Consistent with USPTO 
practice in other ex parte matters, the failure to respond to an Office 
action is not set aside for good cause in the way that a default or 
notice of default may be cured in inter partes proceedings.

K. Burden and Standards of Proof

    Comment 11: Regarding the submission of evidence to prove use, one 
commenter noted that the USPTO should not rely solely on statements of 
testimony but should require supporting documentary evidence to show 
that the use occurred in the United States, that the use occurred on or 
prior to the relevant date, and possibly that the use was more than a 
mere token use. Another commenter stated that vagueness exists in what 
evidence would be required to be submitted for expungement and 
reexamination issues and any responses related thereto, and that the 
USPTO should adopt general guidelines, with specific language and 
examples of acceptable evidence that an attorney or petitioner can 
follow without any legal knowledge of the process.
    Response: The USPTO agrees with the commenter that testimonial 
evidence typically should be supported by corroborating documentary 
evidence, as stated in section I.H above. Further, Sec.  2.93(b)(7) 
requires that any evidence of use of the mark in commerce be 
``consistent with the definition of `use in commerce' set forth in 
section 45 of the Act and is not limited in form to that of specimens 
under Sec.  2.56.'' Evidence of use must be accompanied by a verified 
statement setting forth factual information about the use of the mark 
in commerce and the supporting evidence, including how the evidence 
demonstrates use of the mark in commerce as of any relevant date for 
the goods and/or services at issue. Id. Therefore, the registrant will 
be required to verify, under penalty of perjury, the dates of use and 
that such use was bona fide use in the ordinary course of trade and not 
merely to reserve a right in the mark.
    Regarding the request for general guidelines, examples of 
acceptable evidence, and specific responses that a registrant could 
submit in response to an Office action issued in an expungement or 
reexamination proceeding, this final rule notes that expected 
documentary evidence of use in most cases will take the form of 
specimens of use, and that when specimens are no longer available, the 
registrant may be permitted to provide additional evidence and 
explanations supported by declaration to explain how the mark was used 
in commerce at the relevant time. The evidence of use will differ in 
each case, and the USPTO cannot provide examples of what might 
demonstrate sufficient evidence of use during the relevant time period 
for the vast array of goods and/or services that may be challenged in 
these proceedings. In addition, under 37 CFR 11.18(b), any registrant 
or attorney who presents a paper to the USPTO is certifying, among 
other things, that the statements made therein of the party's own 
knowledge are true, or are believed to be true; the legal contentions 
are warranted by existing law; and any allegations are supported by 
evidence. Therefore, it is incumbent upon the registrant or its 
attorney to be knowledgeable about the requirements for registering its 
mark, including the requirement to use the mark in commerce and what 
constitutes such use.
    Comment 12: One commenter requested that the USPTO consider adding 
a provision allowing a registrant to designate certain information or 
documents submitted with its response as confidential and that such 
designated information or documents be excluded from the publicly 
viewable file.
    Response: The USPTO appreciates that, in rare circumstances, there 
may be a need for confidentiality with regard to proof of use in 
commerce for certain goods and/or services. If a registrant believes 
that responding to an Office action issued in connection with an 
expungement or reexamination proceeding would require the submission of 
confidential information in order to prove use in commerce of the mark, 
the registrant may submit a response to the Office action with the 
confidential information redacted. However, if the redacted response is 
not sufficient to establish the required use in commerce for the 
challenged goods and/or services, the registrant may be required to 
submit to the Office a non-redacted form of the confidential 
information. In such a case, the registrant may petition the Director 
under Sec.  2.146, requesting that the registrant be permitted to 
submit the information outside of TEAS and that it not be made part of 
the public record.
    Comment 13: One commenter stated that the NPRM appeared to 
contemplate that nonuse is established by a preponderance of the 
evidence merely by the failure of the registrant to show sufficient 
use. The commenter requested that the USPTO clarify whether the USPTO 
considers the registrant's failure to show sufficient use in rebuttal 
to the prima facie case that led to institution of an expungement and/
or reexamination proceeding as necessarily requiring a conclusion that 
nonuse has been shown by a preponderance of

[[Page 64314]]

evidence of nonuse, and whether the reference to a preponderance of the 
evidence standard applies only to Director-initiated proceedings.
    Response: The registrant must rebut a prima facie case of nonuse by 
providing competent evidence of use of the mark on the challenged goods 
and/or services. If the USPTO determines that the registrant's evidence 
is not sufficient to rebut the evidence of nonuse, i.e., that the 
preponderance of evidence shows nonuse, the registration will be 
cancelled, in whole or in part, as appropriate. If the registrant in 
either a petition-based or Director-instituted proceeding elects to 
appeal the decision to cancel the relevant goods and/or services, the 
ultimate determination of whether the USPTO met its burden of 
establishing nonuse by a preponderance of the evidence would be made by 
the TTAB or subsequently by a court.

L. Excusable Nonuse

    Comment 14: One commenter inquired whether the provision in Sec.  
2.93(b)(5)(ii) regarding excusable nonuse in an expungement proceeding 
as to particular goods and/or services with a sole basis under section 
44(e) or section 66(a) of the Act rescind current excusable nonuse 
protection for marks registered under section 1. The commenter also 
stated that the difference in treatment between domestic versus foreign 
registrations appears to put domestic trademark owners at a 
disadvantage versus foreign counterparts.
    Response: The USPTO assures the commenter that the provision 
regarding excusable nonuse as to particular goods and/or services in a 
registration with a sole basis under section 44(e) or section 66(a) 
applies only to goods and/or services challenged in an expungement 
proceeding. The provision in Sec.  2.161 regarding a claim of excusable 
nonuse in connection with an affidavit or declaration of use under 
section 8 of the Act remains unchanged. Regarding the comment that 
domestic owners are at a disadvantage because they cannot claim 
excusable nonuse in an expungement proceeding, the U.S. Congress 
explicitly provided that treaty entitlement in the TMA only for foreign 
owners whose marks were registered via the Paris Convention and Madrid 
Protocol. Therefore, the USPTO cannot eliminate or expand that 
provision to section 1 registrants through rulemaking. In addition, 
unlike registrations with a sole basis under section 44(e) or section 
66(a) that may register prior to use in commerce, registrations under 
section 1 issue based on a sworn statement and proof that the mark is 
in use in commerce on or in connection with the goods and/or services. 
In the context of an expungement proceeding, requiring a showing that 
the mark was never used, allowing for an allegation of excusable 
nonuse, would conflict with the use requirement under section 1 for 
issuance of the registration.

M. Duty To Monitor Status

    Comment 15: One commenter stated that the requirement to monitor in 
Sec.  2.23(d)(3) would require an ongoing responsibility to regularly 
monitor the registration that is too burdensome and suggested that 
regular monitoring be required not more often than once a year. Another 
commenter opined that the new monitoring provisions may be costly for 
all, and cost-prohibitive for individual applicants and small 
businesses, and inquired whether this obligation applies retroactively 
to all existing registrants.
    Response: After consideration of the comments, the USPTO will not 
include the requirement in Sec.  2.23(d)(3) that registrants monitor 
the status of their registrations at least every six months following 
the issue date of the registration. Although this requirement is not 
included in the final rule, registrants are still encouraged to monitor 
the status of their registrations using TSDR every six months from the 
date of issuance. It is in the registrant's best interests to ensure 
that it is aware of any challenges to its registration submitted to the 
USPTO and that it does not miss any deadlines in connection with such 
challenges.
    The USPTO also notes that all registrants must maintain a valid 
email address for themselves to ensure they receive correspondence from 
the USPTO relating to their registrations. See 37 CFR 2.23(b). If a 
registrant neglects to update its own email address, or to notify the 
USPTO of an assignment of its registration to another party, the new 
owner will not receive notifications from the USPTO regarding the 
filing of a petition for expungement or reexamination, the institution 
of one or both of those proceedings or of a Director-instituted 
proceeding, or the issuance of an Office action in connection with such 
a proceeding. In these situations, the owner would lose valuable time 
to begin collecting evidence to support its showing of use in commerce 
of the challenged goods and/or services. Further, if the owner does not 
timely respond to an Office action, the registration may be cancelled 
in whole or in part based upon the failure to respond. If a registrant 
does not receive USPTO correspondence because it failed to maintain a 
valid email address as required by the USPTO rules, and its 
registration is cancelled, its failure to comply with Sec.  2.23(b) 
normally will preclude the registrant from establishing an 
extraordinary circumstance to waive the timing provisions for a 
petition to reinstate a registration under Sec.  2.146(d)(2)(iv). 
Therefore, registrants should ensure that USPTO assignment records are 
updated and that email addresses are up-to-date so that USPTO 
correspondence concerning the registration is sent to the proper 
address, including notification of reexamination or expungement 
proceedings filed in registrations.

N. 30-Day Letter--Expungement/Reexamination Proceeding

    Comment 16: Several commenters responded to the USPTO's request for 
comments regarding whether to grant 30 days, or to the end of the 
response period, whichever is longer, when a timely response to an 
expungement or reexamination Office action is substantially complete, 
but consideration of some matter or compliance with a requirement has 
been omitted. Four commenters agreed with the proposal to issue a 30-
day letter, with one commenter requesting that the USPTO clarify what 
is meant by a ``substantially complete'' response. One commenter stated 
that such a provision is not necessary, given that Sec.  2.93(c) 
provides for a final action with the option to request reconsideration 
if there are outstanding issues. Another commenter stated that 
deficiencies in a response to an initial Office action should be 
addressed through a final action, rather than an additional 30-day 
response period and that the USPTO should apply the additional 30-day 
response period to timely requests for reconsideration.
    Response: During the examination of an application for 
registration, examining attorneys have discretion to grant an applicant 
30 days, or to the end of the time period for response to the Office 
action, whichever is longer, to perfect a response if: (1) The response 
was timely filed, (2) the response was a bona fide attempt to advance 
examination, (3) the response was a substantially complete response to 
the Office action, and (4) consideration of some matter or compliance 
with some requirement was omitted. Generally, such 30-day letters are 
issued only after submission of a response to a final action, and the 
response is considered to be ``substantially complete'' because the 
missing part could put the application in condition for publication or 
registration. See 37 CFR 2.65(a)(2).

[[Page 64315]]

    Consistent with existing examination procedures, the USPTO proposed 
a similar procedure in connection with responses to initial or final 
actions in expungement or reexamination proceedings, or requests for 
reconsideration in such proceedings, to further its stated goal of 
making these proceedings faster and more efficient than pre- or post-
registration processes. For example, if a registrant submits a response 
to an initial expungement or reexamination Office action that 
establishes use of the mark in commerce (or excusable nonuse, when 
applicable), but fails to provide the URL and date accessed or printed 
for any web pages, or submits an improperly signed response, the USPTO 
may issue a 30-day letter requiring the missing information or a 
response that is properly signed pursuant to Sec.  2.193. If the 
registrant supplies the required information within the 30-day period 
(or the time remaining in the initial response period), the USPTO can 
terminate the proceeding faster and more efficiently because it will 
not have to issue a final action giving the registrant another three 
months to respond. In addition, registrants who are able to establish 
use will benefit by having the proceeding terminated at an earlier date 
than might otherwise occur. For these reasons, this final rule provides 
discretion to grant a registrant 30 days, or to the end of the time 
period for response to the previous Office action, whichever is longer, 
to perfect a response. However, granting the registrant additional time 
in such circumstances does not extend the time for filing an appeal to 
the TTAB or a petition to the Director.

O. Timeline for Proceedings and Combined Proceedings

    Comment 17: One commenter stated that the USPTO should require that 
the Director issue a decision on an expungement or reexamination 
petition within a certain amount of time and specify the consequences 
to the petitioner, registrant, and subject registration if a timely 
decision is not rendered. The commenter also stated that the USPTO 
should provide that a petitioner may assert both expungement and 
reexamination bases in a single petition under Sec.  2.92(a) for a 
single filing fee.
    Response: The USPTO intends to review a petition for expungement or 
reexamination and to determine whether to institute a proceeding in a 
timely manner after receipt of the petition. It is in the interest of 
the USPTO to remove unused registrations from the trademark register as 
expeditiously as possible. However, the TMA does not impose a deadline 
for deciding such petitions, and the USPTO does not know how many 
petitions will be submitted within, for example, the first six months 
after implementation of this rule. Therefore, it is not possible to 
predict the level of staffing and the amount of time that will be 
required to review and make determinations regarding such petitions. 
However, the USPTO assures the commenter, and all interested parties, 
that the goal of these proceedings is faster and more efficient 
cancellation of registrations for marks not used with goods and/or 
services listed therein. As such, the USPTO's goal is to issue these 
decisions promptly.
    As to allowing a petitioner to assert both expungement and 
reexamination grounds in a single petition, the USPTO does not believe 
that doing so would be an efficient way to implement these proceedings. 
The evidence required for each ground will differ based on the relevant 
time period, and combining them would complicate the review of evidence 
to determine what applies to which ground, and would not be the most 
efficient use of USPTO resources.

P. Post Registration Audit

    Comment 18: The USPTO received several responses regarding its 
request for comments on whether a registration should be pre-selected 
for audit during any concurrent or subsequent review of a post-
registration maintenance filing when a registrant fails to respond in 
an expungement or reexamination proceeding, leading to cancellation of 
some of the goods and/or services in the registration. Eleven 
commenters stated that a registration should not automatically be 
selected for audit in such circumstances. One of those commenters 
suggested that the USPTO wait until it can evaluate how many 
registrations would be impacted by such a procedure, and another 
commenter proposed specific criteria for selecting a registration for 
audit after failure to respond in an expungement or reexamination 
procedure. Some of the commenters also noted that the audit procedure 
is intended to be random; that selecting a registration for audit in 
this situation appears to be punitive; and that failure to respond, 
resulting in deletion of some goods and/or services, does not lead to a 
presumption that the remaining goods and/or services are not in use. 
Four commenters were in favor of selecting a registration for audit if 
a registrant's failure to respond leads to cancellation of some goods 
and/or services. One of those commenters also suggested that the 
Director evaluate whether there is sufficient evidence to institute an 
expanded proceeding against the entire registration.
    Response: To promote the accuracy and integrity of the trademark 
register and preserve the register as a reliable reflection of marks in 
use in commerce, the USPTO conducts audits of section 8 and section 71 
affidavits or declarations in which the mark is registered for more 
than one good or service per class. TMEP sections 1604.22, 1613.22. 
After careful consideration of the comments, the USPTO will not at this 
time automatically select a registration for audit because a registrant 
failed to respond to an expungement or reexamination Office action and 
its registration is cancelled in part. However, cancellation in part as 
a result of an expungement or reexamination proceeding, either for 
failure to respond to an Office action or failure to rebut a prima 
facie case of nonuse, does not shield a registration from being 
selected for audit under the current procedures after submission of a 
post-registration maintenance filing. Thus, a registration that still 
includes at least one class with four or more goods or services, or at 
least two classes with two or more goods or services, could be subject 
to audit following submission of a section 8 or section 71 affidavit or 
declaration. Regarding the suggestion of particular criteria for 
selecting a registration for audit, specifically, that registrations be 
selected for audit based upon the number of items in the original 
registration, the number of items in the expungement proceeding, and 
whether the registrant deletes items from the registration at or before 
the submission of a section 8 declaration, the USPTO declines to adopt 
a second set of criteria that would unnecessarily complicate the 
procedures for selecting registrations for audit.

Q. Estoppel

    Comment 19: One commenter requested that the rule expressly state 
that the Director will have the burden of ensuring an expungement or 
reexamination proceeding is not initiated if estoppel applies. Another 
commenter: (1) Sought clarification as to whether the USPTO will 
automatically review petitions and registration records to determine 
whether estoppel should apply or whether the burden will be on the 
registrant to show it should apply; (2) suggested permitting 
registrants to petition the Director to prove that additional goods 
and/or services may be considered the ``same'' goods and/or services 
for purposes of estoppel where they are highly similar to previously 
challenged goods/services, but not

[[Page 64316]]

identical; (3) proposed adding a mechanism by which a registrant 
subject to an expungement proceeding can also show use as to the same 
goods/services at issue on or before the relevant date for a 
reexamination proceeding, so that future reexamination proceedings may 
also be estopped; and (4) requested clarification concerning the extent 
to which, or whether, termination of an expungement or reexamination 
proceeding in favor of the registrant may bar future nonuse 
cancellation actions with respect to the registration.
    Response: Regarding the request that the rule expressly state that 
it is the Director's burden to ensure that an expungement or 
reexamination proceeding is not initiated if estoppel applies, the 
USPTO believes that such an express provision is not necessary. The TMA 
and Sec.  2.92(d)(1) specifically prohibit institution of a later 
expungement proceeding as to goods and/or services when it has been 
established that a registered mark was used in commerce on or in 
connection with those goods and/or services at issue in a prior 
expungement proceeding. Section 2.92(d)(2) specifically prohibits 
institution of a later reexamination proceeding as to goods and/or 
services when it has been established that a registered mark was used 
in commerce on or in connection with any of those goods and/or services 
at issue in a prior reexamination proceeding. Because of these 
prohibitions, when the USPTO receives a petition to institute an 
expungement or reexamination proceeding, the USPTO examiner must review 
the entire record to determine whether there was a prior proceeding. If 
estoppel applies, no new proceeding will be instituted. However, the 
fee for the petition requesting expungement or reexamination will not 
be refunded in such circumstances. Therefore, it would be prudent for 
petitioners to ensure that estoppel does not apply to the goods and/or 
services identified in the petition prior to submitting a petition for 
expungement or reexamination.
    Regarding the suggestion that registrants be permitted to petition 
the Director to prove that additional goods/services may be considered 
the ``same'' goods and/or services for purposes of estoppel where they 
are highly similar to previously challenged goods and/or services, but 
not identical, as noted above, the wording ``same goods and/or 
services'' refers to identical goods and/or services that are the 
subject of the pending proceeding or the prior determination. The 
registrant's burden in expungement and reexamination proceedings is to 
demonstrate use of its mark in commerce on the challenged goods and/or 
services. Although certain goods may be related, demonstrating 
acceptable use on one of the challenged goods listed in an 
identification does not establish use on other listed related goods. 
Further, the TMA and Sec.  2.92(d)(1) and (2) specifically provide that 
no further expungement or reexamination proceedings may be instituted 
only as to those ``particular'' goods and/or services that were 
previously challenged and determined to be in use in commerce. 
Therefore, the wording ``particular'' cannot be read to include similar 
goods and/or services.
    The commenter also requested that the USPTO add a mechanism by 
which a registrant subjected to an expungement proceeding can also show 
use as to the same goods and/or services at issue on or before the 
relevant date for a reexamination proceeding, so that future 
reexamination proceedings may also be estopped. A registrant in an 
expungement proceeding can include specific dates of use for each 
challenged good and/or service when it provides proof of use in 
commerce as to each. If a petition for reexamination of the same goods 
and/or services was submitted after the registrant prevailed in the 
expungement proceeding, the USPTO examiner would review the entire 
registration record, which would include any dates of use established 
in the prior proceeding, in order to determine whether institution of a 
reexamination proceeding would be appropriate.
    Regarding the question about the extent to which, or whether, 
termination of an expungement or reexamination proceeding in favor of 
the registrant may bar future nonuse cancellation actions before the 
TTAB with respect to the registration, the USPTO clarifies here that 
termination of an expungement or reexamination proceeding in favor of 
the registrant does not bar future nonuse cancellation actions under 
Sec.  2.111 with respect to the registration.

R. Flexible Response Periods

    Comment 20: The USPTO received a significant number of comments on 
the proposal to implement flexible periods for responding to Office 
actions in the examination of applications and post-registration 
submissions. Some commenters favored the primary proposal to implement 
a three-month response period with an optional three-month extension, 
or some variation thereof. These commenters noted that this option 
would be administratively simpler to implement compared to the proposed 
alternatives and that the three-month response period would be adequate 
in most cases to provide a sufficient response. Other commenters 
opposed any reduction to the current six-month response deadline and 
urged the USPTO to retain the current response deadline framework. 
These commenters cited concerns that three months may be an 
insufficient amount of time to properly respond to some Office actions, 
especially if foreign applicants or substantive refusals are involved; 
that the change in deadlines creates an administrative burden on 
stakeholders, particularly with regard to updating and managing case 
docketing systems; and that a system involving extensions could 
increase costs for applicants.
    Of the comments that opposed changing the current deadline 
framework, most indicated that if one of the three flexible response 
deadline options were to be implemented, the primary proposal of a 
three-month response period with a single optional three-month 
extension would be preferred.
    Overall, the comments reflected little support for the two 
alternative flexible response proposals, namely, the two-phase 
examination option and the ``patent model'' option involving 
progressively higher extension fees for each successive monthly 
extension after two months. Comments about these proposals noted that 
they would be more burdensome and complicated than the primary 
proposal, and that they do not appear to support the USPTO's objectives 
in implementing flexible response periods.
    Of those comments voicing an opinion on extensions of time to 
respond to an Office action, most expressed a preference for a single 
three-month extension. Regarding the proposed $125 fee (if filed 
through TEAS) for these extensions, some comments were in favor, while 
others opposed charging a fee or suggested that the fee be reduced.
    One commenter supported the USPTO's proposal to implement flexible 
response periods only for applications based on section 1 or section 44 
of the Act, while retaining the six-month deadline for applications 
based on section 66(a) of the Act, but others were concerned that such 
an implementation would disadvantage section 1 and section 44 
applicants. To address this, a couple of commenters suggested that 
section 66(a) applicants should not be required to proactively seek 
extension requests, but should be required to pay the same fees based 
on the timing of the response.

[[Page 64317]]

    Another commenter noted that the NPRM suggests that only 
applications with more complex issues would be permitted to obtain the 
optional extension and requested clarification on this point.
    Finally, a number of commenters agreed that the USPTO should delay 
the implementation of flexible response periods until June 2022 or 
beyond, to enable the USPTO to gather additional stakeholder feedback.
    Response: The USPTO appreciates the comments regarding flexible 
response periods and understands the concerns some of these expressed 
about the potential effects of reducing the current six-month deadline 
for responses to Office actions. However, based on a review of all the 
comments, the USPTO has determined that a three-month response deadline 
with a single optional three-month extension for a fee of $125 (if 
filed through TEAS) is the best option to promote efficiency in 
examination by shortening the overall prosecution timeline for 
applications and facilitating faster disposal of applications that may 
delay the disposition of later-filed applications. As some commenters 
noted, three months should be sufficient time to review an Office 
action and submit a response in many, if not most, cases, especially 
those with issues that are relatively easy to address. The USPTO's 
historical data on response times support this conclusion. For those 
applicants who need more time to respond, a full six months will still 
be available by requesting the three-month extension.
    While the USPTO acknowledges the concerns some commenters expressed 
about imposing a $125 fee (if filed through TEAS) for the extension, 
and has considered them carefully, the USPTO believes that charging no 
fee or a nominal fee would undercut the USPTO's objective of 
encouraging applicants to respond sooner. If an extension were 
available at a low cost, or at no cost, many applicants and their 
attorneys would have no incentive to respond within the three-month 
period. The fee for an extension under this rule is set at a level to 
address this reality and is the same amount as the analogous fee for 
requesting an extension of time for filing a statement of use through 
TEAS.
    Regarding the comments about retaining the six-month deadline for 
section 66(a) applications, while implementing flexible response 
deadlines for section 1 and section 44 applications, the USPTO has 
determined that this difference in implementation is appropriate, based 
on data showing that, in contrast with section 1 and section 44 
applicants, only 11% of section 66(a) applicants filed a response to a 
non-final Office action with multiple grounds within three months, 
while 62% of Madrid applicants took six months to file a response. In 
short, as noted in the NPRM, the additional processing required for 
these applications, both at the USPTO and the IB, per article 5(2) of 
the Madrid Protocol, justifies maintaining the current six-month 
deadline.
    As to the comment requesting clarification of the NPRM's statement 
that optional extensions would provide sufficient time for responses to 
Office actions with more complex issues, this statement was not 
intended to suggest that only Office actions with certain refusals or 
requirements would be eligible for an extension. Rather, the statement 
was intended to indicate that the extension option is available if the 
applicant or its attorney felt there were complex issues in an Office 
action that required more time to respond. To be clear, under this 
rule, an extension can be requested regardless of the type or level of 
complexity of the issues raised in the Office action.
    Finally, the USPTO recognizes that changes to the deadline for 
responding to Office actions would require stakeholders to change their 
processes for reviewing, docketing, and submitting responses. Likewise, 
the USPTO must perform a significant amount of work and planning to 
adjust its IT systems and processes to accommodate new deadlines. 
Therefore, to allow sufficient time for this planning and work to be 
carried out by both the USPTO and its stakeholders, the USPTO has 
determined that the implementation of the rules regarding flexible 
deadlines for Office actions issued in connection with pending 
applications or post-registration maintenance documents should be 
delayed beyond the initially proposed effective date of June 27, 2022, 
to a new effective date of December 1, 2022.

S. Letters of Protest

    Comment 21: The USPTO received a few comments on the proposed 
amendment to Sec.  2.149 to add provisions from the TMA relating to the 
USPTO's letter-of-protest procedures. While the comments generally 
supported the proposed amendment, a couple of commenters expressed 
concerns about the TMA's provision that, within two months of 
submission of a letter of protest, the USPTO must determine whether the 
evidence submitted in the letter of protest should be included in the 
relevant application record. One commenter suggested that Sec.  2.149 
should specify a shorter time period for making that determination, 
because the two-month time period could lead to examining attorneys 
acting on applications before receiving relevant letter-of-protest 
evidence. Another commenter recommended that the USPTO should identify 
the consequences for the USPTO failing to meet the two-month 
requirement, specifically whether the letter-of-protest evidence will 
be entered into the record if the requirement is not met.
    Response: The USPTO understands the desire to ensure timely 
forwarding of relevant letter-of-protest evidence to examining 
attorneys, which is, in fact, the objective of the TMA's two-month 
requirement. See H.R. Rep. No. 116-645, at 12 (2020). Any failure of 
the USPTO to meet the two-month requirement is subject to oversight by 
the U.S. Congress. The USPTO will dedicate appropriate resources to 
meet the requirement, taking into account letter-of-protest filing 
levels and examination pendency timelines.
    The USPTO does not believe a shorter time frame for determining 
whether the evidence submitted in the letter of protest should be 
included in the relevant application record is necessary or 
administratively feasible, given the recent increases in application 
filings and the number of letters of protest the USPTO has historically 
received, particularly over the last year. Section 2.149 and the 
USPTO's current procedures allow for letter-of-protest evidence to be 
forwarded and considered even after an application is approved for 
publication, under appropriate circumstances. Thus, the fact that an 
examining attorney has already acted on an application does not 
necessarily preclude the examining attorney's consideration of relevant 
evidence included in a timely, properly filed letter of protest.
    Regarding the comment suggesting that the USPTO specify the 
consequences for failing to meet the two-month requirement, the USPTO 
notes that the TMA imposes the two-month deadline on the USPTO, and the 
statute does not itself specify any consequences for failing to meet 
the requirement. See H.R. Rep. No. 116-645, at 12 (2020). In view of 
this and the USPTO's general obligation to meet the statutory mandate, 
the USPTO has determined that it is not necessary for Sec.  2.149 to 
specify consequences for the USPTO for failing to meet the deadline. 
Nor would it be appropriate for the rule to establish any consequences 
affecting letter-of-protest filers, who have no

[[Page 64318]]

control over whether the USPTO meets the deadline. If a timely and 
properly filed letter of protest contains relevant evidence that should 
be included in the application record of a pending application, but the 
USPTO fails to make that determination within the required two months, 
the USPTO may still forward the evidence to the examining attorney for 
consideration, if possible under the circumstances.

T. Suspension of Proceedings

    Comment 22: The USPTO received two comments regarding including 
expungement and reexamination proceedings among the types of 
proceedings for which suspension of action by the Office or the TTAB is 
authorized. One commenter supported suspension while expungement or 
reexamination proceedings are pending. The other commenter disagreed 
that inter partes proceedings should be suspended during the pendency 
of ex parte proceedings under any circumstances. The commenter stated 
further that unless ex parte proceedings are stayed while inter partes 
proceedings are pending, the ex parte proceedings will have the 
unintended consequence of undermining inter partes proceedings, because 
faster resolution of an ex parte proceeding resulting in cancellation 
of a registration potentially moots or impacts the more robust 
proceedings in inter partes forums and that the proposed rules depart 
from the Office's longstanding practice of staying the more 
jurisdictionally limited forum. Finally, the commenter proposed 
amending Sec.  2.67 to provide for suspension when ``ownership'' was an 
issue in another pending proceeding.
    Response: The USPTO appreciates the comment in support of the 
revision to Sec. Sec.  2.67 and 2.117. Regarding the concerns of the 
other commenter, the USPTO notes that suspension of a Board proceeding 
pending the final determination of another proceeding is solely within 
the discretion of the Board. If a cancellation proceeding pending 
before the TTAB includes nonuse as basis for cancellation, and there is 
an expungement or reexamination proceeding involving some or all of the 
goods and/or services in the cancellation proceeding, the outcome of 
the expungement or reexamination proceeding may have a bearing on the 
Board proceeding. The expungement or reexamination may result in the 
cancellation of the registration at issue in the Board proceeding. 
Therefore, the TTAB may exercise its discretion to suspend. As the 
commenter noted, ex parte proceedings generally are less costly and 
time-consuming, and thus an ex parte proceeding may resolve a nonuse 
issue more efficiently. Suspending Board proceedings in favor of 
expungement and reexamination proceedings is consistent with the TMA's 
objective to provide a faster and more efficient alternative to address 
claims of lack of proper use.
    The commenter expresses concern about suspending ``more robust 
proceedings'' at the TTAB in favor of ex parte proceedings. While the 
commenter refers to inter partes Board proceedings having larger 
evidentiary records and more thorough fact-finding, these 
characteristics primarily result from the broader scope of claims and 
issues addressed in inter partes Board proceedings, which range well 
beyond nonuse. The ex parte reexamination and expungement proceedings 
will address a more limited inquiry regarding lack of proper use of a 
registered mark, and within that context the proceedings are designed 
to provide the registrant a sufficiently robust, full and fair 
opportunity to be heard.
    While the commenter characterized suspension of Board proceedings 
in favor of expungement or reexamination proceedings as a change in 
practice, the USPTO disagrees. As set forth in section 510.02(b) of the 
Trademark Trial and Appeal Board Manual of Procedure, the longstanding 
practice of the Board has been that ``[u]nless there are unusual 
circumstances, the Board will suspend proceedings in the case before it 
if the final determination of the other proceeding may have a bearing 
on the issues before the Board.'' Pursuant to this practice, the Board 
has suspended its proceedings in favor of many types of other 
proceedings, including arbitration proceedings, state court cases, and 
foreign actions. Id. The USPTO considers suspending Board proceedings 
in favor of expungement and reexamination proceedings under the same 
conditions to be a continuation of longstanding TTAB practice rather 
than a departure from it.
    With regard to the addition of ``ownership'' as a reason to 
suspend, the wording as proposed is broad enough to include the issue 
of ownership and there is no need to list separately that specific 
issue pertaining to the initial or continued registrability of a mark.

U. Attorney Recognition

    Comment 23: The USPTO received a significant number of comments 
regarding attorney recognition and withdrawal. The comments regarding 
the proposed amendments to Sec.  2.17(g), providing for ongoing 
attorney recognition, were mixed. Several commenters supported ongoing 
recognition, while others preferred the USPTO continue to cease 
recognition under specified circumstances. One commenter noted that the 
existing rule was a ``familiar and practical approach'' to 
representation, while another noted that the change ``would simplify 
how an attorney can be removed from recognition.'' Some commenters 
expressed concern about how the transition from the current rules to 
the new rules would be implemented. Other commenters sought additional 
information regarding the specifics on the implementation of the role-
based access control system intended to improve USPTO database security 
and integrity, which was referenced in the NPRM. One comment suggested 
that any rule change to implement such a system would be premature 
until the plans for the system could be discussed in detail.
    Commenters also raised questions about the obligations imposed by 
the requirements for withdrawal under Sec.  2.19, citing issues 
pertaining to attorney discharge and change of ownership.
    Response: After carefully considering all of the comments, the 
USPTO has decided not to implement any of the NPRM's proposed changes 
to the rules governing attorney recognition and withdrawal at this 
time, except for Sec.  2.17(b)(4), which provides that a false, 
fraudulent, or mistaken attorney designation will be considered 
ineffective; Sec.  2.18(a)(1), which replaces ``representation'' with 
``recognition''; Sec.  2.18(a)(2), which indicates that, with respect 
to notices of institution of expungement and reexamination proceedings 
and ineffective attorney designations under Sec.  2.17(b)(4), the 
Office may correspond directly with the applicant, registrant, or party 
to a proceeding; and Sec.  2.19(d), which indicates that an attorney 
need not formally withdraw when recognition is not effective under 
Sec.  2.17(b)(4).
    While the USPTO may make changes to the attorney recognition and 
withdrawal rules in a future rulemaking, it has determined that 
additional work, planning, and stakeholder communications should be 
carried out before any such changes are made.

V. Court Orders Concerning Registrations

    Comment 24: One commenter expressed concerns about proposed Sec.  
2.177, regarding action on court orders canceling or affecting a 
registration under section 37 of the Act, 15 U.S.C. 1119. Specifically, 
the commenter

[[Page 64319]]

requested that proposed Sec.  2.177 be revised to remove the 
requirement that a party obtain and submit the certified copy of the 
court order to the USPTO, noting that the requirement adds an 
unnecessary burden on litigant parties. In addition, the commenter 
found the proposed rule's reference to ``a party'' to be vague because 
it does not identify which party to the litigation is responsible for 
submitting the court order, nor does it specify a penalty for failing 
to submit the order.
    Response: The intent of Sec.  2.177 is to codify the USPTO's 
longstanding procedures concerning action on court orders cancelling or 
affecting a registration under section 37, 15 U.S.C. 1119, that are 
currently set forth in TMEP section 1610. These procedures enable 
parties to litigation to properly notify the USPTO of a court order so 
that the USPTO may take appropriate action. Thus, Sec.  2.177 imposes 
the obligation to file a certified court order only on those parties 
who wish for the USPTO to take action on the order. To address the 
concerns about possible ambiguity resulting from the wording ``a 
party,'' the text of Sec.  2.177 has been amended to clarify that if a 
party wishes that the USPTO take action on a court order, that party 
must submit a certified copy of the order.

W. Paperwork Reduction Act--Respondent Burden Hours

    Comment 25: One commenter expressed concerns about the USPTO's 
estimated burden hours for preparing petitions for expungement and/or 
reexamination and responses to Office actions issued in connection with 
such petitions. The commenter noted that accurate estimates are 
necessary for realistic assessments of the regulatory burden of 
complying with the rules and weighing the costs with the benefits of 
the rules. The commenter opined that it may generally take, on average, 
at least 12 hours or more, rather than the 1-1.5 hours posited by the 
USPTO.
    Response: The USPTO appreciates the feedback regarding burden 
estimates. As these are new proceedings, it is difficult to predict the 
average amount of time that will be required to research, collect, and 
compile the evidence required for an expungement and/or reexamination 
petition or response to an Office action regarding such petition. 
However, upon consideration of the commenter's concerns, the USPTO 
agrees that its original estimate did not sufficiently account for the 
time burden to submit these petitions and responses. Therefore, the 
USPTO has adjusted the time burdens to 4.5 hours for petitions for 
expungement and/or reexamination and 4 hours for responses to Office 
actions issued in connection with such petitions. The USPTO does not 
believe more time is warranted because the scope of both the petitions 
and Office actions in expungement and reexamination proceedings is 
limited to a single substantive issue--the mark's use in commerce for 
particular goods and/or services. However, the USPTO will continue to 
consider public feedback regarding the burden estimates for these items 
and will raise the burden estimates as needed.
Changes From the NPRM
    Based on the comments and responses above, the USPTO has made the 
following changes to the proposals in the NPRM. Section 2.6(a) is 
revised to include a request for extension of time for filing a 
response to a non-final Office action under Sec.  2.93(b)(1) via TEAS, 
with a fee of $125.00. The proposed revisions to Sec.  2.17(g) are not 
implemented in this rule. Section 2.18(a)(1) is revised to refer to 
``recognition'' instead of ``representation.'' The proposed revisions 
regarding Sec.  2.19(b) and (c) are not implemented in this rule. 
However, proposed Sec.  2.19(d) is added as Sec.  2.19(c). Section 
2.93(b)(1) is revised to change the deadline for response from two 
months to three months and to provide for a one-month extension of time 
to respond to a non-final Office action, and Sec.  2.93(c)(1) is 
revised to change the deadline for filing a response to a final Office 
action to three months.
Discussion of Rule Changes
    The USPTO adds Sec.  2.6(a)(26) to establish a fee of $400, per 
class, for filing a petition for expungement or reexamination under 
Sec.  2.91. The USPTO adds Sec.  2.6(a)(27) to establish a fee of $125 
for filing through TEAS a request for an extension of time for filing a 
response to a non-final Office action under Sec.  2.93(b)(1). The USPTO 
adds Sec.  2.6(a)(28)(i) to establish a fee of $225 for filing on paper 
a request for an extension of time for filing a response to an Office 
action under Sec.  2.62(a)(2), Sec.  2.163(c), Sec.  2.165(c), Sec.  
2.176, Sec.  2.184(b)(2), or Sec.  2.186(c), and Sec.  2.6(a)(28)(ii) 
to establish a fee of $125 for filing through TEAS a request for an 
extension of time for filing a response to an Office action under Sec.  
2.62(a)(2), Sec.  2.163(c), Sec.  2.165(c), Sec.  2.176, Sec.  
2.184(b)(2), or Sec.  2.186(c).
    The USPTO amends Sec.  2.11(d) to add cross-references to 
Sec. Sec.  2.93, 2.163, and 7.39, and amends Sec.  2.11(f) to add a 
cross-reference to Sec.  2.93(c)(1).
    The USPTO adds Sec.  2.17(b)(4) to specify that when a practitioner 
has been falsely, fraudulently, or mistakenly designated as a 
representative for an applicant, registrant, or party to a proceeding 
without the practitioner's prior authorization or knowledge, 
recognition of that practitioner shall be ineffective.
    The USPTO amends Sec.  2.18 to revise paragraphs (a)(1) and (2) to 
clarify the circumstances under which the Office will communicate 
directly with an applicant, registrant, or party to a proceeding.
    The USPTO amends Sec.  2.19 to add paragraph (c) to indicate that 
an attorney need not formally withdraw when recognition is not 
effective under Sec.  2.17(b)(4).
    The USPTO amends Sec.  2.23 to revise paragraph (c) to clarify that 
certain submissions are not subject to the exemption allowing paper 
filing and to add paragraph (d)(3) to address the duty to monitor the 
status of a registration once an expungement or reexamination 
proceeding has been instituted.
    The USPTO amends Sec.  2.61 to remove paragraph (c).
    The USPTO amends Sec.  2.62 to revise paragraph (a) to provide for 
flexible response periods and extensions of time to respond and 
paragraph (c) to include a reference to requests for extensions of time 
to respond.
    The USPTO amends Sec.  2.63 to revise paragraph (b) to include a 
request for an extension of time to respond or appeal under Sec.  
2.62(a)(2) as a response option, and makes other minor stylistic 
changes; revises paragraph (c) to include a reference to requests for 
extensions of time to respond or appeal under Sec.  2.62(a)(2), and 
makes other minor stylistic changes; and revises paragraph (d) to 
remove the wording ``six-month.''
    The USPTO amends Sec.  2.65 to revise paragraph (a) to replace 
``six months from the date of issuance'' with ``the relevant time 
period for response under Sec.  2.62(a)(1), including any granted 
extension of time to respond under Sec.  2.62(a)(2).''
    The USPTO amends Sec.  2.66 to revise paragraph (b)(1) to replace 
the citation to Sec.  2.6 with a citation to Sec.  2.6(a)(15); revises 
paragraph (b)(3) by removing a portion of the current paragraph to add 
new paragraph (b)(5); and adds paragraph (b)(4) to include a provision 
for Office actions with a three-month response period.
    The USPTO amends Sec.  2.67 to codify the existing practice 
regarding suspension of proceedings before the USPTO and the TTAB.
    The USPTO revises the undesignated center heading appearing before 
Sec.  2.91 from ``CONCURRENT USE PROCEEDINGS'' to ``EX PARTE

[[Page 64320]]

EXPUNGEMENT AND REEXAMINATION.''
    The USPTO adds Sec.  2.91 to set forth the procedures for petitions 
for expungement or reexamination.
    The USPTO adds Sec.  2.92 to set forth the procedures for 
instituting ex parte expungement and reexamination proceedings.
    The USPTO adds Sec.  2.93 to set forth the procedures for 
conducting expungement and reexamination proceedings.
    The USPTO adds Sec.  2.94 to set forth the procedures for action 
after expungement or reexamination.
    The USPTO adds the undesignated center heading ``CONCURRENT USE 
PROCEEDINGS'' before existing Sec.  2.99.
    The USPTO revises the undesignated center heading appearing before 
Sec.  2.111 from ``CANCELLATION'' to ``CANCELLATION PROCEEDINGS BEFORE 
THE TRADEMARK TRIAL AND APPEAL BOARD'' to differentiate cancellation 
proceedings before the TTAB from ex parte expungement and reexamination 
proceedings.
    The USPTO amends Sec.  2.111(b) to specify the time for filing a 
petition for cancellation with the TTAB on the ground specified in 
section 14(6) of the Act and to distinguish it from the timing of other 
nonuse claims.
    The USPTO amends Sec.  2.117(a) to include a reference to an 
expungement or reexamination proceeding instituted under Sec.  2.92, to 
eliminate the limitation to other proceedings in which a party or 
parties are engaged, and to indicate that a civil action or proceeding 
is not considered to have been terminated until an order or ruling that 
ends litigation has been rendered and noticed and the time for any 
further review has expired with no further review sought.
    The USPTO amends Sec.  2.141 to revise the heading to ``Ex parte 
appeals''; adds the title ``Appeal from final refusal of application'' 
to paragraph (a) and replaces the six-month deadline with a reference 
to Sec.  2.142(a)(1); adds a new paragraph (b) regarding expungement 
and reexamination appeals with the title ``Appeal from expungement or 
reexamination proceeding''; and renumbers current paragraph (b) as 
paragraph (c) and clarifies that (1) if the applicant or registrant 
does not pay the appeal fee for at least one class of goods or services 
before expiration of the time for appeal, the application will be 
abandoned or the proceeding will be terminated and (2) if the applicant 
or registrant does not submit the required fee or specify the class(es) 
being appealed from either a final refusal of an application or from an 
expungement or reexamination proceeding within the set time period, the 
TTAB will apply the fee(s) to the class(es) in ascending order, 
beginning with the lowest-numbered class.
    The USPTO amends Sec.  2.142 to revise paragraph (a) to replace the 
six-month deadline with a reference to the deadline for appeal from the 
final refusal of an application in paragraph (a)(1) and the deadline 
for appeal from an expungement or reexamination proceeding in paragraph 
(a)(2); adds wording in current paragraph (a) to new paragraph (a)(3); 
revises paragraph (b)(3) to include a reference to proceedings 
involving registrations; and revises paragraph (d) for clarity and adds 
paragraphs (d)(1) and (2) to address appeals from a refusal to register 
and appeals from an expungement or reexamination proceeding, 
respectively.
    The USPTO amends Sec.  2.145 to revise paragraph (a)(1) to include 
a reference to ex parte expungement or reexamination proceedings, to 
delete the heading from paragraph (a)(3) and add introductory text, and 
to revise paragraph (c)(1) to add an exception for ex parte expungement 
or reexamination proceedings.
    The USPTO amends Sec.  2.146 to include expungement and 
reexamination in paragraph (b); revises paragraph (c) to indicate that 
a petition requesting reinstatement of a registration cancelled in 
whole or in part for failure to timely respond to an Office action 
issued in an expungement and/or reexamination proceeding must include a 
response to the Office action, signed in accordance with Sec.  2.193; 
and adds paragraph (d)(2)(iv) to specify the filing deadline for a 
petition in connection with an expungement or reexamination proceeding.
    The USPTO amends Sec.  2.149 to revise paragraph (a) to replace the 
word ``entry'' with ``inclusion'' and amends paragraph (i) for clarity 
and to replace the words ``not petitionable'' with ``final and non-
reviewable, and a determination to include or not include evidence in 
the application record shall not prejudice any party's right to raise 
any issue and rely on any evidence in any other proceeding.''
    The USPTO amends Sec.  2.163 to revise paragraph (b) to specify a 
response deadline of three months; revise paragraph (c) to provide for 
extensions of time to respond; add paragraph (d) to address 
substantially complete responses; and add paragraph (e) to set forth 
the wording formerly in paragraph (c) with conforming revisions.
    The USPTO amends Sec.  2.165 to revise paragraph (a) to revise the 
internal citation to Sec.  2.163(b)-(c); revise paragraph (b) to 
include a citation to the response deadlines in Sec.  2.163(b)-(c); add 
new paragraph (c) to specify that a registration will be cancelled if a 
petition is not timely filed; and renumber previous paragraph (c) as 
paragraph (d).
    The USPTO amends Sec.  2.176 to revise the title to ``Consideration 
of above matters in Sec. Sec.  2.171 through 2.175'' and to specify a 
response deadline of three months and to provide for an extension of 
time to respond.
    The USPTO adds the undesignated center heading ``COURT ORDERS UNDER 
SECTION 37'' before Sec.  2.177.
    The USPTO adds Sec.  2.177 to address procedures concerning action 
on court orders cancelling or affecting a registration under section 37 
of the Act.
    The USPTO amends Sec.  2.184 to revise paragraph (b)(1) to specify 
a response deadline of three months; revise paragraph (b)(2) to provide 
for extensions of time to respond; add paragraph (b)(3) to address 
substantially complete responses; add paragraph (b)(4) to set forth 
wording formerly in paragraph (b)(1); and add paragraph (b)(5) to set 
forth wording formerly in paragraph (b)(2).
    The USPTO amends Sec.  2.186 to revise paragraph (b) to include a 
citation to the response deadlines in Sec.  2.184(b); add new paragraph 
(c) to specify that a registration will expire if a petition is not 
timely filed; and renumber previous paragraph (c) as paragraph (d).
    The USPTO amends Sec.  2.193(e)(5) to include a reference to 
petitions for expungement or reexamination.
    The USPTO amends Sec.  7.6 to add paragraph (a)(9)(i) to establish 
a fee of $225 for a request for an extension of time for filing a 
response to an Office action under Sec.  7.39(b) or Sec.  7.40(c) on 
paper and to add paragraph (a)(9)(ii) to establish a fee of $125 for a 
request for an extension of time for filing a response to an Office 
action under Sec.  7.39(b) or Sec.  7.40(c) via TEAS.
    The USPTO amends Sec.  7.39 to revise paragraph (a) to specify a 
response deadline of three months; revise paragraph (b) to provide for 
extensions of time to respond; revise paragraph (c) to address 
substantially complete responses; revise paragraph (d) to set forth 
wording formerly in paragraph (b); add paragraph (e) to set forth 
wording formerly in paragraph (c); and add paragraph (f) to set forth 
wording formerly in paragraph (d).
    The USPTO amends Sec.  7.40 to revise paragraph (a) to revise the 
internal citation to Sec.  7.39(a)-(c); revise paragraph (b) to include 
a citation to the response deadlines in Sec.  7.39(a)-(c); add new 
paragraph (c) to specify that a registration will be cancelled if a

[[Page 64321]]

petition is not timely filed; and renumber previous paragraph (c) as 
paragraph (d).
Rulemaking Requirements
    A. Administrative Procedure Act: The changes in this rulemaking 
involve rules of agency practice and procedure, and/or interpretive 
rules. See Bachow Commc'ns Inc. v. FCC, 237 F.3d 683, 690 (D.C. Cir. 
2001) (rules governing an application process are procedural under the 
Administrative Procedure Act); Inova Alexandria Hosp. v. Shalala, 244 
F.3d 342, 350 (4th Cir. 2001) (rules for handling appeals are 
procedural where they do not change the substantive standard for 
reviewing claims); Nat'l Org. of Veterans' Advocates v. Sec'y of 
Veterans Affairs, 260 F.3d 1365, 1375 (Fed. Cir. 2001) (rule that 
clarifies interpretation of a statute is interpretive).
    Accordingly, prior notice and opportunity for public comment for 
this rulemaking are not required pursuant to 5 U.S.C. 553(b) or (c), or 
any other law. See Cooper Techs. Co. v. Dudas, 536 F.3d 1330, 1336-37 
(Fed. Cir. 2008) (stating that 5 U.S.C. 553, and thus 35 U.S.C. 
2(b)(2)(B), do not require notice and comment rulemaking for 
``interpretative rules, general statements of policy, or rules of 
agency organization, procedure, or practice'' (quoting 5 U.S.C. 
553(b)(A))). However, the USPTO chose to seek public comment before 
implementing the rule to benefit from the public's input.
    B. Regulatory Flexibility Act: The USPTO publishes this Final 
Regulatory Flexibility Analysis (FRFA), as required by the Regulatory 
Flexibility Act (RFA) (5 U.S.C. 601 et seq.), to examine the impact of 
the Office's changes to trademark fees on small entities. Under the 
RFA, whenever an agency is required by 5 U.S.C. 553 (or any other law) 
to publish an NPRM, the agency must prepare and make available for 
public comment an Initial Regulatory Flexibility Analysis (IRFA), 
unless the agency certifies under 5 U.S.C. 605(b) that the rule, if 
implemented, will not have a significant economic impact on a 
substantial number of small entities. 5 U.S.C. 603, 605. The USPTO 
published an IRFA, along with the NPRM, on May 18, 2021 (86 FR 26862). 
The USPTO received no comments from the public directly applicable to 
the IRFA, as stated below in Item 2.
    Items 1-6 below discuss the six criteria specified in 5 U.S.C. 
604(a)(1)-(6) to be addressed in a FRFA. Item 6 discusses alternatives 
considered by the Office.
    1. Succinct statement of the need for, and objectives of, the rule:
    The USPTO amends the rules of practice in trademark cases to 
implement provisions of the (TMA), Public Law 116-260, Div. Q, Tit. II, 
Subtit. B, section 228 (Dec. 27, 2020). The TMA sets a deadline of 
December 27, 2021, for the USPTO to promulgate rules governing letter-
of-protest procedures and implementing ex parte expungement and 
reexamination proceedings for cancellation of a registration when the 
required use in commerce of the registered mark has not been made. In 
addition, the TMA authorizes the USPTO to promulgate rules to provide 
for flexible Office action response periods. The USPTO also sets fees 
for petitions requesting the institution of ex parte expungement and 
reexamination proceedings and for requests to extend Office action 
response deadlines, as required or authorized by the TMA, and to amend 
the rules concerning the suspension of USPTO proceedings and the rules 
governing attorney recognition in trademark matters.
    As required or authorized by the TMA, the objective of the rule is 
to implement the provisions of the TMA by: (1) Establishing ex parte 
expungement and reexamination proceedings for cancellation of a 
registration when the required use in commerce of the registered mark 
has not been made, to ensure an accurate trademark register that 
supports and promotes commerce; (2) amending the rules governing the 
USPTO's letter-of-protest procedures, which allow third parties to 
submit evidence to the USPTO regarding a trademark's registrability 
during the initial examination of the trademark application, to provide 
that the decision whether to include such evidence in the application 
record is final and non-reviewable and that such a determination shall 
not prejudice any party's right to raise any issue and rely on any 
evidence in any other proceeding; and (3) implementing flexible 
response periods, along with optional extensions of time, to promote 
efficiency in examination by shortening the prosecution timeline for 
applications with issues that are relatively simple to address, while 
providing sufficient time for response to Office actions with more 
complex issues. In addition, this rule also formalizes existing 
practice regarding the suspension of proceedings before the Office and 
the TTAB; specifies when recognition of a practitioner shall be 
ineffective; and adds a new rule to address procedures regarding court 
orders cancelling or affecting registrations. Finally, the rule 
establishes fees for the ex parte expungement and reexamination 
proceedings and for extensions of time to respond to an Office action.
    2. A statement of the significant issues raised by the public 
comments in response to the initial regulatory flexibility analysis, a 
statement of the assessment of the agency of such issues, and a 
statement of any changes made in the proposed rule as a result of such 
comments:
    The USPTO did not receive any public comments in response to the 
IRFA. However, the Office received comments about particular fees, and 
their impact on small entities, that are further discussed in the 
preamble.
    3. The response of the agency to any comments filed by the Chief 
Counsel for Advocacy of the Small Business Administration in response 
to the proposed rule, and a detailed statement of any change made to 
the proposed rule in the final rule as a result of the comments:
    The USPTO did not receive any comments filed by the Chief Counsel 
for Advocacy of the Small Business Administration in response to the 
proposed rule.
    4. Description of and an estimate of the number of small entities 
to which the rule will apply or an explanation of why no such estimate 
is available:
    The USPTO does not collect or maintain statistics in trademark 
cases on small- versus large-entity applicants, and this information 
would be required in order to determine the number of small entities 
that would be affected by the rule. The rule would apply to all persons 
who are filing a response to an Office action, are represented by an 
attorney, are seeking to submit a petition requesting institution of an 
expungement or reexamination proceeding, or are providing a response in 
such a proceeding. However, as noted above, based on information 
already collected, many of the applications and registrations in which 
nonuse may be an issue are owned by individuals or small-volume filers. 
Therefore, the USPTO anticipates that a significant portion of the 
expungement and reexamination proceedings instituted will be brought 
against registrants who are considered small enterprises. If so, this 
fact alone would not indicate that the process was unfairly impacting 
this group. However, the USPTO will carefully review the data to be 
collected for the above-referenced report, along with the data to be 
collected by the STF, which should provide additional insight to allow 
the USPTO to assess the impact of these

[[Page 64322]]

proceedings on registrants and make adjustments if necessary.
    The rule includes provisions for flexible response periods to 
respond to Office actions. Under this rule, all filers would have an 
option to file a no-cost response if they do so within three months of 
the Office action's issue date. The changes would benefit all trademark 
owners by encouraging faster prosecution of applications and review of 
post-registration maintenance documents, and the USPTO believes this 
three-month response period is reasonable for all applicants and 
registrants, including small entities, given the efficiencies of 
current practices utilizing electronic filing and email notification of 
all documents.
    In addition, the provisions governing the ex parte expungement and 
reexamination proceedings created under the TMA will benefit all 
parties, including small entities, by helping to ensure the accuracy of 
the USPTO's trademark register by cancelling registrations, in whole or 
in part, for which the required use of the registered mark in commerce 
has not been made. Moreover, these proceedings will provide a more 
efficient and less costly alternative to contested inter partes 
proceedings before the TTAB or civil litigation in the courts. This 
should decrease or eliminate the potential costs that otherwise would 
have been incurred to litigate in proceedings to cancel a registration 
or resolve a dispute over a mark, or to change business plans to avoid 
the use of a chosen mark when the required use has not been made.
    5. Description of the reporting, recordkeeping, and other 
compliance requirements of the final rule, including an estimate of the 
classes of small entities which will be subject to the requirement and 
the type of professional skills necessary for preparation of the report 
or record:
    The final rule will require the creation of new online forms to 
submit a request to institute an expungement or reexamination 
proceeding, to respond to Office actions issued during such 
proceedings, and to request extensions of time to respond to Office 
actions, as further described in the preamble of this proposed rule.
    The USPTO does not anticipate the rule to have a disproportionate 
impact upon any particular class of small or large entities. Any entity 
that has a pending trademark application or a registered trademark 
could potentially be impacted by this rule.
    The professional skills necessary for completion of the online 
forms are not more burdensome than the skills necessary for completion 
of current USPTO reporting requirements and would not be 
disproportionately burdensome for small entities.
    6. Description of the steps the agency has taken to minimize the 
significant economic impact on small entities consistent with the 
stated objectives of applicable statutes, including a statement of the 
factual, policy, and legal reasons for selecting the alternative 
adopted in the final rule and why each one of the other significant 
alternatives to the rule considered by the agency which affect the 
impact on small entities was rejected:
    The TMA mandates the framework for many of the procedures in this 
rulemaking, particularly with respect to changes to the letter-of-
protest procedures and most of the procedures for the new ex parte 
expungement and reexamination proceedings, except for those indicated 
below. Thus, the USPTO has little to no discretion in the rulemaking 
required to implement those procedures. Accordingly, the discussion 
below addresses only those provisions for which alternatives were 
possible because the TMA provided the Director discretion to implement 
regulations. In those cases, the USPTO chose the option that best 
balanced the need to achieve the stated objectives with the need to 
create processes that are the least burdensome on all parties.
    Fees: As authorized by the TMA, the rule establishes fees for 
petitions requesting ex parte expungement or reexamination of a 
registration and for extensions of time to respond to an Office action. 
After the USPTO considered the comments received regarding the proposed 
fee of $600 per class for a petition requesting ex parte expungement or 
reexamination of a registration, and as discussed in the preamble, this 
rule sets a fee of $400 per class for such petitions, with the intent 
to balance the need for cost recovery with the objective of providing a 
lower-cost alternative for third parties to seek cancellation of 
registered marks for which the required use in commerce has not been 
made. The USPTO considered alternative fee proposals for these newly 
created ex parte proceedings. One option was to charge $250 per 
petition, which is the same amount as the current fee for 
electronically filed petitions to the Director under Sec.  2.146. 
However, that amount was determined to be insufficient for cost 
recovery because petitions for expungement or reexamination are 
different proceedings than other petitions to the Director, and 
reviewing these petitions and conducting any resulting proceeding will 
require more time and resources. Therefore, these petitions are likely 
to incur higher processing costs. In addition, the USPTO considered 
setting the fee at $1,000 per class of goods or services involved in 
the petition. However, this amount was deemed too high in view of the 
USPTO's objective to provide an inexpensive mechanism for cancellation 
of a registration when the required use in commerce of the registered 
mark has not been made.
    This rule sets a fee of $125 for electronically filed requests for 
extensions of time to respond to an Office action issued in connection 
with an application or a post-registration maintenance filing and a fee 
of $225 for such extensions that are filed on paper. The rule also sets 
a fee of $125 for requests for extensions of time to respond to a non-
final Office action issued in connection with an expungement or 
reexamination proceeding, which are required to be filed 
electronically. These fees are consistent with the current fees for 
requesting an extension of time to file a statement of use and are 
intended to recover associated costs while incentivizing applicants to 
respond to Office actions within the initial three-month deadline. The 
USPTO considered the alternative of not charging a fee for such 
extensions, but that option would not aid in cost recovery and would 
not provide an incentive to respond earlier, undermining the purpose of 
the flexible response periods.
    Limit on petitions requesting expungement or reexamination: This 
rule does not limit the number of petitions for expungement or 
reexamination that can be filed against a registration. However, the 
Office did consider such a limit of petition-initiated proceedings 
against a registration that had already been the subject of instituted 
proceedings in order to provide a definite end to challenges, leaving 
any further challenges to TTAB cancellation proceedings. Considering 
that there are already safeguards in place to prevent abuse, the Office 
was concerned that imposing artificial limitations might undermine the 
utility of the proceedings to clear the register of unused marks. In 
addition, the USPTO considered the alternatives of limiting the number 
of petitions a particular petitioner or real party in interest may 
file, but those options did not further the ultimate purpose of the 
expungement or reexamination proceeding, which is to cancel a 
registration in whole or in part when evidence shows that use of the 
mark in commerce has not been made.
    Reasonable investigation and evidence: Under the TMA and this rule, 
a petition for expungement or

[[Page 64323]]

reexamination must include a verified statement that sets forth the 
elements of the reasonable investigation the petitioner conducted to 
determine that the mark was never used in commerce (for expungement 
petitions) or not in use in commerce as of the relevant date (for 
reexamination petitions) on or in connection with the goods and/or 
services identified in the petition. The rule defines a ``reasonable 
investigation'' as one that is based on available information and must 
include searches calculated to return information about the underlying 
inquiry from reasonably accessible sources where evidence concerning 
use of the mark during the relevant time period on or in connection 
with the relevant goods and/or services would normally be found. The 
rule indicates that a sufficient, reasonable investigation will depend 
on the individual circumstances, but includes a non-exhaustive list of 
sources of evidence for a reasonable investigation. These include State 
and Federal trademark records, internet websites, records from State 
and Federal agencies, litigation records, knowledge of marketplace 
activities, and any other reasonably accessible source with information 
relevant to whether the mark at issue was used in commerce.
    The USPTO considered an alternative approach of providing a more 
exhaustive list of the types of evidence that would meet the burden for 
these newly created proceedings. However, the USPTO acknowledges that 
the types of evidence will vary by industry and the types of goods and/
or services being challenged. Therefore, it is not practical to create 
a complete list in the rule that would apply in all situations. 
Instead, the USPTO opted to identify a standard in line with the 
statute and legislative history, and to include a non-exhaustive list 
of efforts and evidence that may meet the standard. This alternative 
provides guidance to filers while not limiting them to specific types 
of evidence listed in the rule.
    Director-initiated proceedings: The TMA authorizes Director-
initiated expungement and reexamination proceedings. In addition to the 
requirements in the TMA, the rule provides that the Director may 
institute a proceeding that includes additional goods and/or services 
identified in the subject registration on the Director's own initiative 
and consolidate consideration of the new proceeding with the pending 
proceeding. The USPTO considered an alternative approach that involved 
not allowing the consolidation of proceedings in this circumstance, but 
this option would hinder proper and efficient management of multiple 
related proceedings.
    Response time periods in new ex parte proceedings: The rule sets a 
deadline of three months for responding to a non-final Office action 
and for requesting reconsideration of or appealing from a final Office 
action issued in a reexamination and/or expungement proceeding, making 
the periods the same as the response period the USPTO intends to 
implement for Office actions in the examination of applications and 
post-registration submissions. The rule also provides an option for a 
one-month extension of time to respond to a non-final Office action. 
The USPTO considered a number of alternatives to this response deadline 
framework. These alternatives included a two-month response period with 
an optional one-month extension, a three-month response period for the 
initial Office action and a three-month response period for the final 
Office action, and different response periods for the initial Office 
action and the final Office action.
    In weighing these options, the Office considered the fact that, 
once an Office action has been received by a registrant, the registrant 
will need time to review the content of the Office action, hire counsel 
if needed, and conduct fact-finding and evidence gathering in order to 
provide a response. The Office also considered the fact that a 
traditional six-month response period maximizes the time for the 
registrant to engage in these necessary activities but could 
potentially result in prolonged review, which is contrary to the 
objective to provide a faster and more efficient alternative to 
addressing claims of lack of proper use.
    The selected three-month response period with an option for a one-
month extension of the period for a non-final Office action balances 
the Office's objectives with the registrant's need for time to engage 
in the necessary activities to provide a response to the Office action. 
Furthermore, the USPTO plans to provide a courtesy notification to the 
registrant that a petition has been filed so as to facilitate early 
notice of a possible proceeding.
    Flexible response periods: The TMA authorizes the USPTO to 
establish flexible response periods to respond to Office actions. The 
rule sets a period of three months for responding to an Office action 
in applications under sections 1 and/or 44 of the Act, but provides an 
option for applicants to request a single three-month extension of this 
three-month deadline, for a total response time of up to six months. 
The same response deadline framework also applies to post-registration 
Office actions issued in connection with the examination of 
registration maintenance documents. This alternative was selected 
because it is supported by the USPTO's data analytics regarding average 
response times, is the option with the least burden and lowest costs 
for filers, and avoids uncertainty in filing deadlines by providing 
consistent deadlines for responses.
    The USPTO considered three alternatives to the proposals to 
implement flexible response periods. The first alternative was to 
maintain six-month response periods for any Office action that contains 
a substantive refusal and provide a shorter response period for any 
Office action that contained only formal requirements, because 
responses for these typically require less time. This alternative was 
rejected because it may require some discretion by examining attorneys 
to decide which response period applies if, for example, it is not 
clear whether the Office action contains a substantive refusal. 
Additionally, public feedback indicated that this approach results in 
the length of the response period being unknown until the Office action 
is received and would require the monitoring of multiple possible 
deadlines.
    A second alternative considered was to offer shorter response 
periods for all Office actions, but to offer an initial response period 
of two months, with one-month extensions with a corresponding fee, to 
reach the full six months. The fee for extension would be progressively 
higher, depending on when the response and extension request were 
filed. For example, responses filed in the third, fourth, fifth, or 
sixth month would, respectively, have an extension fee of $50, $75, 
$125, and $150. An application would be abandoned when a response is 
not received within the two-month period or such other extended 
deadline as requested and paid for by applicant, not to exceed six 
months from the Office action issue date. This alternative added more 
complexity to the trademark Office action response process than the 
other proposed options and was not adopted.
    Finally, the USPTO considered a two-phase examination system. Under 
this approach, a USPTO examiner could review application formalities 
and issue a formalities Office action with a shortened response period 
of two months, extendable in two-month increments to a full six months 
upon request and payment of a fee. Once the formalities were addressed, 
the application could enter the second phase of the examination, 
whereby an

[[Page 64324]]

examiner would issue an Office action containing any substantive 
refusals that identifies a response deadline of three months, 
extendable for another three months to a total of six months, upon 
request and payment of a fee. Due to the significant time and system 
changes it would take to implement a phased examination system, the 
USPTO decided against pursuing this alternative at this time.
    Suspension of proceedings: The rule amends the rules concerning the 
suspension of proceedings to align them with current practice and to 
clarify that the new ex parte expungement and reexamination proceedings 
are among the types of proceedings for which suspension of action by 
the Office or the TTAB is authorized.
    The alternative was to take no action in amending these rules, but 
that option would result in a continued misalignment of the rules and 
USPTO practice, and could hinder proper and efficient management of 
multiple related proceedings.
    Attorney recognition: The rule provides that when a practitioner 
has been mistakenly, falsely, or fraudulently designated as a 
representative for an applicant, registrant, or party to a proceeding 
without the practitioner's prior authorization or knowledge, 
recognition of that practitioner shall be ineffective.
    The USPTO considered not updating the current rules on attorney 
recognition. However, leaving the regulations as they are currently 
written would potentially hinder the USPTO's ability to combat 
misleading solicitations sent to trademark applicants and registrants 
as well as other improper activities.
    C. Executive Order 12866 (Regulatory Planning and Review): This 
rule has been determined to be Significant for purposes of Executive 
Order 12866 (Sept. 30, 1993).
    D. Executive Order 13563 (Improving Regulation and Regulatory 
Review): The USPTO has complied with Executive Order 13563 (Jan. 18, 
2011). Specifically, the USPTO has, to the extent feasible and 
applicable: (1) Made a reasoned determination that the benefits justify 
the costs of the rule; (2) tailored the rule to impose the least burden 
on society consistent with obtaining the regulatory objectives; (3) 
selected a regulatory approach that maximizes net benefits; (4) 
specified performance objectives; (5) identified and assessed available 
alternatives; (6) provided the public with a meaningful opportunity to 
participate in the regulatory process, including soliciting the views 
of those likely affected prior to issuing an NPRM, and provided online 
access to the rulemaking docket; (7) attempted to promote coordination, 
simplification, and harmonization across government agencies and 
identified goals designed to promote innovation; (8) considered 
approaches that reduce burdens and maintain flexibility and freedom of 
choice for the public; and (9) ensured the objectivity of scientific 
and technological information and processes, to the extent applicable.
    E. Executive Order 13132 (Federalism): This rulemaking does not 
contain policies with federalism implications sufficient to warrant 
preparation of a Federalism Assessment under Executive Order 13132 
(Aug. 4, 1999).
    F. Executive Order 13175 (Tribal Consultation): This rulemaking 
will not: (1) Have substantial direct effects on one or more Indian 
tribes, (2) impose substantial direct compliance costs on Indian tribal 
governments, or (3) preempt tribal law. Therefore, a tribal summary 
impact statement is not required under Executive Order 13175 (Nov. 6, 
2000).
    G. Executive Order 13211 (Energy Effects): This rulemaking is not a 
significant energy action under Executive Order 13211 because this 
rulemaking is not likely to have a significant adverse effect on the 
supply, distribution, or use of energy. Therefore, a Statement of 
Energy Effects is not required under Executive Order 13211 (May 18, 
2001).
    H. Executive Order 12988 (Civil Justice Reform): This rulemaking 
meets applicable standards to minimize litigation, eliminate ambiguity, 
and reduce burden as set forth in sections 3(a) and 3(b)(2) of 
Executive Order 12988 (Feb. 5, 1996).
    I. Executive Order 13045 (Protection of Children): This rulemaking 
does not concern an environmental risk to health or safety that may 
disproportionately affect children under Executive Order 13045 (Apr. 
21, 1997).
    J. Executive Order 12630 (Taking of Private Property): This 
rulemaking will not affect a taking of private property or otherwise 
have taking implications under Executive Order 12630 (Mar. 15, 1988).
    K. Congressional Review Act: Under the Congressional Review Act 
provisions of the Small Business Regulatory Enforcement Fairness Act of 
1996 (5 U.S.C. 801 et seq.), the USPTO will submit a report containing 
the final rule and other required information to the United States 
Senate, the United States House of Representatives, and the Comptroller 
General of the Government Accountability Office. The changes in this 
rule are not expected to result in an annual effect on the economy of 
$100 million or more, a major increase in costs or prices, or 
significant adverse effects on competition, employment, investment, 
productivity, innovation, or the ability of United States-based 
enterprises to compete with foreign-based enterprises in domestic and 
export markets. Therefore, this rule is not expected to result in a 
``major rule'' as defined in 5 U.S.C. 804(2).
    L. Unfunded Mandates Reform Act of 1995: The changes set forth in 
this rulemaking do not involve a Federal intergovernmental mandate that 
will result in the expenditure by State, local, and tribal governments, 
in the aggregate, of $100 million (as adjusted) or more in any one 
year, or a Federal private sector mandate that will result in the 
expenditure by the private sector of $100 million (as adjusted) or more 
in any one year, and will not significantly or uniquely affect small 
governments. Therefore, no actions are necessary under the provisions 
of the Unfunded Mandates Reform Act of 1995. See 2 U.S.C. 1501 et seq.
    M. National Environmental Policy Act of 1969: This rulemaking will 
not have any effect on the quality of the environment and is thus 
categorically excluded from review under the National Environmental 
Policy Act of 1969. See 42 U.S.C. 4321 et seq.
    N. National Technology Transfer and Advancement Act of 1995: The 
requirements of section 12(d) of the National Technology Transfer and 
Advancement Act of 1995 (15 U.S.C. 272 note) are not applicable because 
this rulemaking does not contain provisions that involve the use of 
technical standards.
    O. Paperwork Reduction Act of 1995: In accordance with section 
3507(d) of the Paperwork Reduction Act of 1995 (44 U.S.C. 3501 et 
seq.), some of the paperwork and other information collection burdens 
discussed in this rulemaking have been approved under Office of 
Management and Budget (OMB) Control Numbers 0651-0040 (Trademark Trial 
and Appeal Board (TTAB) Actions), 0651-0050 (Response to Office Action 
and Voluntary Amendment Forms), and 0651-0055 (Trademark Post 
Registration). This rulemaking does not impose additional costs or 
revisions to the burden estimates for the previously mentioned existing 
information collections.
    The new reporting requirements and fees associated with this 
rulemaking, which were filed under OMB Control Number 0651-0086 
(Changes To Implement Provisions of the Trademark Modernization Act of 
2020), have been

[[Page 64325]]

submitted to OMB for approval. For reference, the following is a 
summary of that information collection's data:
    Estimated Annual Number of Respondents: 14,931.
    Estimated Time per Response: The USPTO estimates that it takes the 
public approximately between .25 hours (15 minutes) and 4.5 hours, to 
complete the information in this information collection. This includes 
the time to gather the necessary information, prepare the appropriate 
documents, and submit the completed responses to the USPTO.
    Estimated Total Annual Burden Hours: 36,908.
    Estimated Total Annual Non-Hour Cost Burden: $2,421,403.
    Affected Public: Private sector; individuals or households.
    Frequency: On occasion.
    Respondent's Obligation: Required to obtain or retain benefits.
    Approved information collection requests may be viewed at 
www.reginfo.gov/public/do/PRAMain. If approval is denied, the USPTO 
will publish a document in the Federal Register providing notice of 
what action(s) the USPTO plans to take.
    Notwithstanding any other provision of law, no person is required 
to respond to, nor shall any person be subject to, a penalty for 
failure to comply with a collection of information subject to the 
requirements of the Paperwork Reduction Act unless that collection of 
information has a valid OMB control number.
    P. E-Government Act Compliance: The USPTO is committed to 
compliance with the E-Government Act to promote the use of the internet 
and other information technologies to provide increased opportunities 
for citizen access to Government information and services, and for 
other purposes. For information pertinent to E-Government Act 
compliance related to this rule, please contact Kimberly Hardy, USPTO 
Information Collection Officer, via email at 
[email protected] or via telephone at 571-270-0968.

List of Subjects

37 CFR Part 2

    Administrative practice and procedure, Courts, Lawyers, Trademarks.

37 CFR Part 7

    Administrative practice and procedure, Trademarks.

    For the reasons stated in the preamble and under the authority 
contained in 15 U.S.C. 1123 and 35 U.S.C. 2, as amended, the USPTO 
amends parts 2 and 7 of title 37 as follows:

PART 2--RULES OF PRACTICE IN TRADEMARK CASES

0
1. The authority citation for part 2 is revised to read as follows:

    Authority:  15 U.S.C. 1113, 1123; 35 U.S.C. 2; sec. 10, Pub. L. 
112-29, 125 Stat. 284; Pub. L. 116-260, 134 Stat. 1182, unless 
otherwise noted. Sec. 2.99 also issued under secs. 16, 17, 60 Stat. 
434; 15 U.S.C. 1066, 1067.


0
2. Amend Sec.  2.6 by adding paragraphs (a)(26) and (27) to read as 
follows:


Sec.  2.6  Trademark fees.

    (a) * * *
    (26) Petition for expungement or reexamination. For filing a 
petition for expungement or reexamination under Sec.  2.91, per class--
$400.00.
    (27) Extension of time for filing a response to a non-final Office 
action under Sec.  2.93(b)(1). For filing a request for extension of 
time for filing a response to a non-final Office action under Sec.  
2.93(b)(1) via TEAS--$125.00.
* * * * *

0
3. Effective December 1, 2022, amend Sec.  2.6 by adding paragraph 
(a)(28) to read as follows:
    (a) * * *
    (28) Extension of time for filing a response to an Office action 
under Sec.  2.62(a)(2), Sec.  2.163(c), Sec.  2.165(c), Sec.  2.176, 
Sec.  2.184(b)(2), or Sec.  2.186(c). (i) For filing a request for 
extension of time for filing a response to an Office action under Sec.  
2.62(a)(2), Sec.  2.163(c), Sec.  2.165(c), Sec.  2.176, Sec.  
2.184(b)(2), or Sec.  2.186(c) on paper--$225.00.
    (ii) For filing a request for extension of time for filing a 
response to an Office action under Sec.  2.62(a)(2), Sec.  2.163(c), 
Sec.  2.165(c), Sec.  2.176, Sec.  2.184(b)(2), or Sec.  2.186(c) via 
TEAS--$125.00.
* * * * *

0
4. Amend Sec.  2.11 by revising paragraphs (d) and (f) to read as 
follows:


Sec.  2.11  Requirement for representation.

* * * * *
    (d) Failure to respond to requirements issued pursuant to 
paragraphs (a) through (c) of this section is governed by Sec. Sec.  
2.65, 2.93, and 2.163 and Sec.  7.39 of this chapter, as appropriate.
* * * * *
    (f) Notwithstanding Sec. Sec.  2.63(b)(2)(ii) and 2.93(c)(1), if an 
Office action maintains only requirements under paragraphs (a), (b), 
and/or (c) of this section, or only requirements under paragraphs (a), 
(b), and/or (c) of this section and the requirement for a processing 
fee under Sec.  2.22(c), the requirements may be reviewed only by 
filing a petition to the Director under Sec.  2.146.

0
5. Amend Sec.  2.17 by adding paragraph (b)(4) to read as follows:


Sec.  2.17  Recognition for representation.

* * * * *
    (b) * * *
    (4) False, fraudulent, or mistaken designation. Regardless of 
paragraph (b)(1) of this section, where a practitioner has been 
falsely, fraudulently, or mistakenly designated as a representative for 
an applicant, registrant, or party to a proceeding without the 
practitioner's prior authorization or knowledge, such a designation 
shall have no effect, and the practitioner is not recognized.
* * * * *

0
6. Amend Sec.  2.18 by revising paragraphs (a)(1) and (2) to read as 
follows:


Sec.  2.18  Correspondence, with whom held.

    (a) * * *
    (1) If an attorney is not recognized as a representative pursuant 
to Sec.  2.17(b)(1), the Office will send correspondence to the 
applicant, registrant, or party to the proceeding.
    (2) If an attorney is recognized as a representative pursuant to 
Sec.  2.17(b)(1), the Office will correspond only with that attorney, 
except as set forth in paragraphs (a)(2)(i) through (iv) of this 
section. A request to change the correspondence address does not revoke 
a power of attorney. The Office will not correspond with another 
attorney from a different firm and, except for service of a 
cancellation petition and notices of institution of expungement or 
reexamination proceedings, will not correspond directly with the 
applicant, registrant, or a party to a proceeding, unless:
    (i) The applicant or registrant files a revocation of the power of 
attorney under Sec.  2.19(a) and/or a new power of attorney that meets 
the requirements of Sec.  2.17(c);
    (ii) The attorney has been suspended or excluded from practicing in 
trademark matters before the USPTO;
    (iii) Recognition of the attorney has ended pursuant to Sec.  
2.17(g); or
    (iv) The attorney has been falsely, fraudulently, or mistakenly 
designated under Sec.  2.17(b)(4).
* * * * *

0
7. Amend Sec.  2.19 by adding paragraph (c) to read as follows:


Sec.  2.19  Revocation or withdrawal of attorney.

* * * * *
    (c) Recognition ineffective. If recognition is not effective under 
Sec.  2.17(b)(4), then revocation under paragraph (a) of this section 
or

[[Page 64326]]

withdrawal under paragraph (b) of this section is not required.

0
8. Amend Sec.  2.23 by revising paragraphs (c) and (d) to read as 
follows:


Sec.  2.23  Requirement to correspond electronically with the Office 
and duty to monitor status.

* * * * *
    (c) Except for submissions under Sec. Sec.  2.91, 2.93, and 2.149, 
if the applicant or registrant is a national of a country that has 
acceded to the Trademark Law Treaty, but not to the Singapore Treaty on 
the Law of Trademarks, the requirements of paragraphs (a) and (b) of 
this section do not apply.
    (d) Notices issued or actions taken by the USPTO are displayed in 
the USPTO's publicly available electronic systems. Applicants and 
registrants are responsible for monitoring the status of their 
applications and registrations in the USPTO's electronic systems during 
the following time periods:
    (1) At least every six months between the filing date of the 
application and issuance of a registration;
    (2) After filing an affidavit of use or excusable nonuse under 
section 8 or section 71 of the Act, or a renewal application under 
section 9 of the Act, at least every six months until the registrant 
receives notice that the affidavit or renewal application has been 
accepted; and
    (3) After notice of the institution of an expungement or 
reexamination proceeding under Sec.  2.92, at least every three months 
until the registrant receives a notice of termination under Sec.  2.94.


Sec.  2.61  [Amended]

0
9. Amend Sec.  2.61 by removing paragraph (c).

0
10. Effective December 1, 2022, amend Sec.  2.62 by revising paragraphs 
(a) and (c) to read as follows:


Sec.  2.62  Procedure for submitting response.

    (a) Deadline. Each Office action shall set forth the deadline for 
response.
    (1) Response periods. Unless the applicant is notified otherwise in 
an Office action, the response periods for an Office action are as 
follows:
    (i) Three months from the issue date, for an Office action in an 
application under section 1 and/or section 44 of the Act; and
    (ii) Six months from the issue date, for an Office action in an 
application under section 66(a) of the Act.
    (2) Extensions of time. Unless the applicant is notified otherwise 
in an Office action, the time for response designated in paragraph 
(a)(1)(i) of this section may be extended by three months up to a 
maximum of six months from the Office action issue date, upon timely 
request and payment of the fee set forth in Sec.  2.6(a)(28). To be 
considered timely, a request for extension of time must be received by 
the Office on or before the deadline for response set forth in the 
Office action.
* * * * *
    (c) Form. Responses and requests for extensions of time to respond 
must be submitted through TEAS pursuant to Sec.  2.23(a). Responses and 
requests for extensions of time to respond sent via email or facsimile 
will not be accorded a date of receipt.

0
11. Effective December 1, 2022, amend Sec.  2.63 by revising paragraphs 
(b) introductory text, (b)(1) and (2), (c), and (d) to read as follows:


Sec.  2.63  Action after response.

* * * * *
    (b) Final refusal or requirement. Upon review of a response, the 
examining attorney may state that any refusal to register or 
requirement is final.
    (1) If the examining attorney issues a final action that maintains 
any substantive refusal to register, the applicant may respond by 
timely filing:
    (i) A request for reconsideration under paragraph (b)(3) of this 
section that seeks to overcome any substantive refusal to register, and 
comply with any outstanding requirement, maintained in the final 
action;
    (ii) An appeal to the Trademark Trial and Appeal Board under 
Sec. Sec.  2.141 and 2.142; or
    (iii) A request for extension of time to respond or appeal under 
Sec.  2.62(a)(2).
    (2) If the examining attorney issues a final action that contains 
no substantive refusals to register, but maintains any requirement, the 
applicant may respond by timely filing:
    (i) A request for reconsideration under paragraph (b)(3) of this 
section that seeks to comply with any outstanding requirement 
maintained in the final action;
    (ii) An appeal of any requirement to the Trademark Trial and Appeal 
Board under Sec. Sec.  2.141 and 2.142;
    (iii) A petition to the Director under Sec.  2.146 to review any 
requirement, if the subject matter of the requirement is procedural, 
and therefore appropriate for petition; or
    (iv) A request for extension of time to respond or appeal under 
Sec.  2.62(a)(2).
* * * * *
    (c) Denial of petition. A requirement that is the subject of a 
petition decided by the Director may not subsequently be the subject of 
an appeal to the Trademark Trial and Appeal Board. If a petition to the 
Director under Sec.  2.146 is denied, the applicant will have the later 
of the following periods to comply with the requirement:
    (1) The time remaining in the period for response to the Office 
action that repeated the requirement or made it final;
    (2) The time remaining after the filing of a timely request for 
extension of time to respond or appeal under Sec.  2.62(a)(2); or
    (3) Thirty days from the date of the decision on the petition.
    (d) Amendment to allege use. If an applicant in an application 
under section 1(b) of the Act files an amendment to allege use under 
Sec.  2.76 during the response period after issuance of a final action, 
the examining attorney will examine the amendment. The filing of such 
an amendment does not stay or extend the time for filing an appeal or 
petition.

0
12. Effective December 1, 2022, amend Sec.  2.65 by revising paragraph 
(a) to read as follows:


Sec.  2.65  Abandonment.

    (a) An application will be abandoned if an applicant fails to 
respond to an Office action, or to respond completely, within the 
relevant time period for response under Sec.  2.62(a)(1), including any 
granted extension of time to respond under Sec.  2.62(a)(2). A timely 
petition to the Director pursuant to Sec. Sec.  2.63(a) and (b) and 
2.146 or notice of appeal to the Trademark Trial and Appeal Board 
pursuant to Sec.  2.142, if appropriate, is a response that avoids 
abandonment (see Sec.  2.63(b)(4)).
    (1) If all refusals and/or requirements are expressly limited to 
certain goods and/or services, the application will be abandoned only 
as to those goods and/or services.
    (2) When a timely response by the applicant is a bona fide attempt 
to advance the examination of the application and is a substantially 
complete response to the examining attorney's action, but consideration 
of some matter or compliance with a requirement has been omitted, the 
examining attorney may grant the applicant 30 days, or to the end of 
the time period for response to the action to which the substantially 
complete response was submitted, whichever is longer, to explain and 
supply the omission before the examining attorney considers the 
question of abandonment.
* * * * *

0
13. Effective December 1, 2022, amend Sec.  2.66 by revising paragraph 
(b) to read as follows:

[[Page 64327]]

Sec.  2.66  Revival of applications abandoned in full or in part due to 
unintentional delay.

* * * * *
    (b) Petition to revive application abandoned in full or in part for 
failure to respond to an Office action. A petition to revive an 
application abandoned in full or in part because the applicant did not 
timely respond to an Office action must include:
    (1) The petition fee required by Sec.  2.6(a)(15);
    (2) A statement, signed by someone with firsthand knowledge of the 
facts, that the delay in filing the response on or before the due date 
was unintentional; and
    (3) A response to the Office action, signed pursuant to Sec.  
2.193(e)(2), or a statement that the applicant did not receive the 
Office action or the notification that an Office action issued. If the 
applicant asserts that the unintentional delay is based on non-receipt 
of an Office action or notification, the applicant may not assert non-
receipt of the same Office action or notification in a subsequent 
petition.
    (4) If the Office action was subject to a three-month response 
period under Sec.  2.62(a)(1), and the applicant does not assert non-
receipt of the Office action or notification, the petition must also 
include the fee under Sec.  2.6(a)(28) for a request for extension of 
time to respond under Sec.  2.62(a)(2).
    (5) If the abandonment was after a final Office action, the 
response is treated as a request for reconsideration under Sec.  
2.63(b)(3), and the applicant must also file:
    (i) A notice of appeal to the Trademark Trial and Appeal Board 
under Sec.  2.141 or a petition to the Director under Sec.  2.146, if 
permitted by Sec.  2.63(b)(2)(iii); or
    (ii) A statement that no appeal or petition is being filed from any 
final refusal or requirement.
* * * * *

0
14. Revise Sec.  2.67 to read as follows:


Sec.  2.67  Suspension of action by the Patent and Trademark Office.

    Action by the Office may be suspended for a reasonable time for 
good and sufficient cause. The fact that a proceeding is pending before 
the Office or a court that is relevant to the issue of initial or 
continued registrability of a mark and that proceeding has not been 
finally determined, or the fact that the basis for registration is, 
under the provisions of section 44(e) of the Act, registration of the 
mark in a foreign country and the foreign application is still pending, 
will be considered prima facie good and sufficient cause. An Office or 
court proceeding is not considered finally determined until an order or 
ruling that ends the proceeding or litigation has been rendered and 
noticed, and the time for any appeal or other further review has 
expired with no further review sought. An applicant's request for a 
suspension of action under this section, filed within the response 
period set forth in Sec.  2.62(a), may be considered responsive to the 
previous Office action. The Office may require the applicant, 
registrant, or party to a proceeding to provide status updates and 
information relevant to the ground(s) for suspension, upon request.

0
15. Revise the undesignated center heading preceding Sec.  2.91 to read 
as follows:

EX PARTE EXPUNGEMENT AND REEXAMINATION

0
16. Add Sec.  2.91 to read as follows:


Sec.  2.91  Petition for expungement or reexamination.

    (a) Petition basis. Any person may file a petition requesting 
institution of an ex parte proceeding to cancel a registration of a 
mark, in whole or in part, on one of the following bases:
    (1) Expungement, if the mark is registered under sections 1, 44, or 
66 of the Act and has never been used in commerce on or in connection 
with some or all of the goods and/or services recited in the 
registration; or
    (2) Reexamination, if the mark is registered under section 1 of the 
Act and was not in use in commerce on or in connection with some or all 
of the goods and/or services recited in the registration on or before 
the relevant date, which for any particular goods and/or services is 
determined as follows:
    (i) In an application for registration of a mark with an initial 
filing basis of section 1(a) of the Act for the goods and/or services 
listed in the petition, and not amended at any point to be filed 
pursuant to section 1(b) of the Act, the relevant date is the filing 
date of the application; or
    (ii) In an application for registration of a mark with an initial 
filing basis or amended basis of section 1(b) of the Act for the goods 
and/or services listed in the petition, the relevant date is the later 
of the filing date of an amendment to allege use identifying the goods 
and/or services listed in the petition, pursuant to section 1(c) of the 
Act, or the expiration of the deadline for filing a statement of use 
for the goods and/or services listed in the petition, pursuant to 
section 1(d), including all approved extensions thereof.
    (b) Time for filing. The petition must be filed while the 
registration is in force and:
    (1) Where the petition requests institution of an expungement 
proceeding under paragraph (a)(1) of this section, at any time 
following the expiration of 3 years after the date of registration and, 
for petitions made after December 27, 2023, before the expiration of 10 
years following the date of registration; or
    (2) Where the petition requests institution of a reexamination 
proceeding under paragraph (a)(2) of this section, at any time not 
later than 5 years after the date of registration.
    (c) Requirements for complete submission. Petitions under this 
section must be timely filed through TEAS. Only complete petitions 
under this section will be considered by the Director under Sec.  2.92, 
and, once complete, may not be amended by the petitioner. A complete 
petition must be made in writing and must include the following:
    (1) The fee required by Sec.  2.6(a)(26);
    (2) The U.S. trademark registration number of the registration 
subject to the petition;
    (3) The basis for petition under paragraph (a) of this section;
    (4) The name, domicile address, and email address of the 
petitioner;
    (5) If the domicile of the petitioner is not located within the 
United States or its territories, a designation of an attorney, as 
defined in Sec.  11.1 of this chapter, who is qualified to practice 
under Sec.  11.14 of this chapter;
    (6) If the petitioner is, or must be, represented by an attorney, 
as defined in Sec.  11.1 of this chapter, who is qualified to practice 
under Sec.  11.14 of this chapter, the attorney's name, postal address, 
email address, and bar information under Sec.  2.17(b)(3);
    (7) Identification of each good and/or service recited in the 
registration for which the petitioner requests that the proceeding be 
instituted on the basis identified in the petition;
    (8) A verified statement signed by someone with firsthand knowledge 
of the facts to be proved that sets forth in numbered paragraphs:
    (i) The elements of the reasonable investigation of nonuse 
conducted, as defined under paragraph (d) of this section, where for 
each source of information relied upon, the statement includes a 
description of how and when the searches were conducted and what the 
searches disclosed; and
    (ii) A concise factual statement of the relevant basis for the 
petition, including any additional facts that support the allegation of 
nonuse of the mark in

[[Page 64328]]

commerce on or in connection with the goods and services as specified 
in paragraph (a) of this section; and
    (9) A clear and legible copy of all documentary evidence supporting 
a prima facie case of nonuse of the mark in commerce and an itemized 
index of such evidence. Evidence that supports a prima facie case of 
nonuse may include, but is not limited to:
    (i) Verified statements;
    (ii) Excerpts from USPTO electronic records in applications or 
registrations;
    (iii) Screenshots from relevant web pages, including the uniform 
resource locator (URL) and access or print date;
    (iv) Excerpts from press releases, news articles, journals, 
magazines, or other publications, identifying the publication name and 
date of publication; and
    (v) Evidence suggesting that the verification accompanying a 
relevant allegation of use was improperly signed.
    (d) Reasonable investigation of nonuse. A petitioner must make a 
bona fide attempt to determine if the registered mark was not in use in 
commerce or never in use in commerce on or in connection with the goods 
and/or services specified in paragraph (c)(7) of this section by 
conducting a reasonable investigation.
    (1) A reasonable investigation is an appropriately comprehensive 
search, which may vary depending on the circumstances but is calculated 
to return information about the underlying inquiry from reasonably 
accessible sources where evidence concerning use of the mark during the 
relevant time period on or in connection with the relevant goods and/or 
services would normally be found.
    (2) Sources for a reasonable investigation may include, but are not 
limited to:
    (i) State and Federal trademark records;
    (ii) internet websites and other media likely to or believed to be 
owned or controlled by the registrant;
    (iii) internet websites, other online media, and publications where 
the relevant goods and/or services likely would be advertised or 
offered for sale;
    (iv) Print sources and web pages likely to contain reviews or 
discussion of the relevant goods and/or services;
    (v) Records of filings made with or of actions taken by any State 
or Federal business registration or regulatory agency;
    (vi) The registrant's marketplace activities, including, for 
example, any attempts to contact the registrant or purchase the 
relevant goods and/or services;
    (vii) Records of litigation or administrative proceedings 
reasonably likely to contain evidence bearing on the registrant's use 
or nonuse of the registered mark; and
    (viii) Any other reasonably accessible source with information 
establishing nonuse of the mark as specified in paragraph (a) of this 
section.
    (3) A petitioner need not check all possible appropriate sources 
for its investigation to be considered reasonable.
    (e) Director's authority. The authority to act on petitions made 
under this section is reserved to the Director, and may be delegated.
    (f) Oral hearings. An oral hearing will not be held on a petition 
except when considered necessary by the Director.
    (g) No stay. The mere filing of a petition for expungement or 
reexamination by itself will not act as a stay in any appeal or inter 
partes proceeding that is pending before the Trademark Trial and Appeal 
Board, nor will it stay the period for replying to an Office action in 
any pending application or registration.
    (h) Real party in interest. The Director may require that the real 
party or parties in interest be identified in connection with any 
petition filed under this section.

0
17. Add Sec.  2.92 to read as follows:


Sec.  2.92  Institution of ex parte expungement and reexamination 
proceedings.

    Notwithstanding section 7(b) of the Act, the Director may institute 
a proceeding for expungement or reexamination of a registration of a 
mark, either upon petition or upon the Director's initiative, upon 
determining that information and evidence supports a prima facie case 
of nonuse of the mark for some or all of the goods or services 
identified in the registration. The electronic record of the 
registration for which a proceeding has been instituted forms part of 
the record of the proceeding without any action by the Office, a 
petitioner, or a registrant.
    (a) Institution upon petition. For each good and/or service 
identified in a complete petition under Sec.  2.91, the Director will 
determine if the petition sets forth a prima facie case of nonuse to 
support the petition basis and, if so, will institute an ex parte 
expungement or reexamination proceeding.
    (b) Institution upon the Director's initiative. The Director may 
institute an ex parte expungement or reexamination proceeding on the 
Director's own initiative, within the time periods set forth in Sec.  
2.91(b), and for the reasons set forth in Sec.  2.91(a), based on 
information that supports a prima facie case for expungement or 
reexamination of a registration for some or all of the goods or 
services identified in the registration.
    (c) Director's authority. (1) Any determination by the Director 
whether to institute an expungement or reexamination proceeding shall 
be final and non-reviewable.
    (2) The Director may institute an expungement and/or reexamination 
proceeding for fewer than all of the goods and/or services identified 
in a petition under Sec.  2.91. The identification of particular goods 
and/or services in a petition does not limit the Director from 
instituting a proceeding that includes additional goods and/or services 
identified in the subject registration on the Director's own 
initiative, under paragraph (b) of this section.
    (d) Estoppel. (1) Upon termination of an expungement proceeding 
under Sec.  2.93(c)(3), including after any appeal, where it has been 
determined that the registered mark was used in commerce on or in 
connection with any of the goods and/or services at issue in the 
proceedings prior to the date a petition to expunge was filed under 
Sec.  2.91 or the Director-initiated proceedings under this section, no 
further expungement proceedings may be instituted as to those 
particular goods and/or services.
    (2) Upon termination of a reexamination proceeding under Sec.  
2.93(c)(3), including after any appeal, where it is has been determined 
that the registered mark was used in commerce on or in connection with 
any of the goods and/or services at issue, on or before the relevant 
date established in the proceedings, no further expungement or 
reexamination proceedings may be instituted as to those particular 
goods and/or services.
    (3) With respect to a particular registration, once an expungement 
proceeding has been instituted and is pending, no later expungement 
proceeding may be instituted with respect to the same goods and/or 
services at issue in the pending proceeding.
    (4) With respect to a particular registration, while a 
reexamination proceeding is pending, no later expungement or 
reexamination proceeding may be instituted with respect to the same 
goods and/or services at issue in the pending proceeding.
    (e) Consolidated proceedings. (1) The Director may consolidate 
expungement and reexamination proceedings involving the same 
registration. Consolidated proceedings will be considered related 
parallel proceedings.
    (2) If two or more petitions under Sec.  2.91 are directed to the 
same registration and are pending

[[Page 64329]]

concurrently, or the Director wishes to institute an ex parte 
expungement or reexamination proceeding on the Director's own 
initiative under paragraph (b) of this section concerning a 
registration for which one or more petitions under Sec.  2.91 are 
pending, the Director may elect to institute a single proceeding.
    (3) Unless barred under paragraph (d) of this section, if any 
expungement or reexamination proceeding is instituted while a prior 
expungement or reexamination proceeding directed to the same 
registration is pending, the Director may consolidate the proceedings.
    (f) Notice of Director's determination whether to institute 
proceedings. (1) In a determination based on a petition under Sec.  
2.91, if the Director determines that no prima facie case of nonuse has 
been made and thus no proceeding will be instituted, notice of this 
determination will be provided to the registrant and petitioner, 
including information to access the petition and supporting documents 
and evidence.
    (2) If the Director determines that a proceeding should be 
instituted based on a prima facie case of nonuse of a registered mark 
as to any goods and/or services recited in the registration, or 
consolidates proceedings under paragraph (e) of this section, the 
Director's determination and notice of the institution of the 
proceeding will be set forth in an Office action under Sec.  2.93(a). 
If a proceeding is instituted based in whole or in part on a petition 
under Sec.  2.91, the Office action will include information to access 
any petition and the supporting documents and evidence that formed the 
basis for the Director's determination to institute. Notice of the 
Director's determination will also be provided to the petitioner.
    (g) Other mark types. (1) Registrations subject to expungement and 
reexamination proceedings include collective trademarks, collective 
service marks, and certification marks.
    (2) The use that is the subject of the inquiry in expungement and 
reexamination proceedings for these mark types is defined in Sec.  
2.2(k)(2) for collective trademarks and collective service marks, and 
Sec.  2.2(k)(4) for certification marks.

0
18. Add Sec.  2.93 to read as follows:


Sec.  2.93  Expungement and reexamination procedures.

    (a) Office action. An Office action issued to a registrant pursuant 
to Sec.  2.92(f)(2) will require the registrant to provide such 
evidence of use, information, exhibits, affidavits, or declarations as 
may be reasonably necessary to rebut the prima facie case of nonuse by 
establishing that the required use in commerce has been made on or in 
connection with the goods and/or services at issue as of the date 
relevant to the proceeding. The Office action may also include 
requirements under Sec. Sec.  2.11, 2.23, and 2.189, as appropriate.
    (b) Response--(1) Deadline. Unless the registrant is notified 
otherwise in an Office action, the registrant's response to an Office 
action must be received by the Office within three months from the 
issue date. The time for response to a non-final Office action may be 
extended by one month upon timely request and payment of the fee set 
forth in Sec.  2.6(a)(27). To be considered timely, a request for 
extension of time must be received by the Office on or before the 
deadline for response set forth in the non-final Office action. If the 
registrant fails to timely respond to a non-final Office action or 
timely submit a request for extension of time, the proceeding will 
terminate, and the registration will be cancelled as to the relevant 
goods and/or services.
    (2) Substantially complete response. When a timely response is a 
bona fide attempt to advance the proceeding and is a substantially 
complete response to the outstanding Office action, but consideration 
of some matter or compliance with a requirement has been omitted, the 
registrant may be granted 30 days, or to the end of the time period for 
response to the action to which the substantially complete response was 
submitted, whichever is longer, to explain and supply the omission.
    (3) Signature. The response must be signed by the registrant, 
someone with legal authority to bind the registrant (e.g., a corporate 
officer or general partner of a partnership), or a practitioner 
qualified to practice under Sec.  11.14 of this chapter, in accordance 
with the requirements of Sec.  2.193(e)(2).
    (4) Form. Responses and requests for extensions of time must be 
submitted through TEAS. Responses sent via email or facsimile will not 
be accorded a date of receipt.
    (5) Response in an expungement proceeding. In an expungement 
proceeding, an acceptable response consists of one or more of the 
following:
    (i) Evidence of use, in accordance with paragraph (b)(7) of this 
section, establishing that use of the mark in commerce occurred on or 
in connection with the goods and/or services at issue either before the 
filing date of the relevant petition to expunge under Sec.  2.91(a)(1) 
or before the date the Director-initiated proceeding was instituted by 
the Director under Sec.  2.92(b), as appropriate;
    (ii) Verified statements signed by someone with firsthand knowledge 
of the facts to be proved and supporting evidence to establish that any 
nonuse as to particular goods and/or services with a sole basis under 
section 44(e) or section 66(a) of the Act is due to special 
circumstances that excuse such nonuse; and/or
    (iii) Deletion of some or all of the goods and/or services at issue 
in the proceeding, if appropriate, subject to the provisions of 
paragraph (d) of this section.
    (6) Response in a reexamination proceeding. In a reexamination 
proceeding, an acceptable response consists of one or more of the 
following:
    (i) Evidence of use, in accordance with paragraph (b)(7) of this 
section, establishing that use of the mark in commerce occurred on or 
in connection with each particular good and/or service at issue, on or 
before the relevant date set forth in Sec.  2.91(a)(2); and/or
    (ii) Deletion of some or all of the goods and/or services at issue 
in the proceeding, if appropriate, subject to the provisions of 
paragraph (d) of this section.
    (7) Evidence of use. Evidence of use of the mark in commerce on or 
in connection with any particular good and/or service must be 
consistent with the definition of ``use in commerce'' set forth in 
section 45 of the Act and is not limited in form to that of specimens 
under Sec.  2.56. Any evidence of use must be accompanied by a verified 
statement signed by someone with firsthand knowledge of the facts to be 
proved, setting forth in numbered paragraphs factual information about 
the use of the mark in commerce, including a description of the 
supporting evidence and how the evidence demonstrates use of the mark 
in commerce as of any relevant date for the goods and/or services at 
issue. Evidence must be labeled, and an itemized index of the evidence 
must be provided such that the particular goods and/or services 
supported by each item submitted as evidence of use are clear.
    (c) Action after response. After response by the registrant, the 
Office will review the registrant's evidence of use or showing of 
applicable excusable nonuse, and/or arguments, and determine compliance 
with any requirement.
    (1) Final Office action. If the registrant's timely response fails 
to rebut the prima facie case of nonuse or fully comply with all 
outstanding requirements, a final Office action will issue that 
addresses the evidence,

[[Page 64330]]

includes the examiner's decision, and maintains any outstanding 
requirement. After issuance of a final Office action, the registrant 
may respond by filing within three months from the issue date of the 
final Office action:
    (i) A request for reconsideration of the final Office action that 
seeks to further address the issue of use of the mark in commerce and/
or comply with any outstanding requirement maintained in the final 
action; or
    (ii) An appeal to the Trademark Trial and Appeal Board under Sec.  
2.141.
    (2) Time for filing a request for reconsideration or petition to 
the Director. (i) A request for reconsideration must be filed prior to 
the expiration of time provided for an appeal in Sec.  2.142(a)(2). 
Filing a request for reconsideration does not stay or extend the time 
for filing an appeal or a petition under paragraph (c)(2)(ii) of this 
section.
    (ii) Prior to the expiration of time for filing an appeal to the 
Trademark Trial and Appeal Board under Sec.  2.142(a)(2), a registrant 
may file a petition to the Director under Sec.  2.146 for relief from 
any outstanding requirement under Sec. Sec.  2.11, 2.23, and 2.189 made 
final. If the petition is denied, the registrant will have 3 months 
from the date of issuance of the final action that contained the final 
requirement, or 30 days from the date of the decision on the petition, 
whichever date is later, to comply with the requirement. A requirement 
that is the subject of a petition decided by the Director may not 
subsequently be the subject of an appeal to the Trademark Trial and 
Appeal Board.
    (3) Termination of proceeding. (i) If, upon review of any timely 
response, the Office finds that the registrant has rebutted the prima 
facie case of nonuse and complied with all outstanding requirements, 
the proceeding will terminate and a notice of termination shall be 
issued under Sec.  2.94.
    (ii) If, after issuance of the final action, the registrant fails 
to timely comply with any outstanding requirement, or the Office finds 
that the registrant has failed to rebut the prima facie case of nonuse 
of the mark on or in connection with any of the goods and/or services 
at issue in the proceeding, the proceeding will terminate, and a notice 
of termination shall be issued under Sec.  2.94 after the time for 
appeal has expired or any appeal proceeding has terminated, pursuant to 
Sec. Sec.  2.142 through 2.145.
    (d) Deletion of goods and/or services. The registrant may respond 
to an Office action under this section by requesting that some or all 
of the goods and/or services at issue in the proceeding be deleted from 
the registration. No other amendment to the identification of goods or 
services in a registration will be permitted in a response.
    (1) An acceptable deletion requested in a response under this 
section shall be immediate in effect, and reinsertion of goods and/or 
services or further amendments that would add to or expand the scope of 
the goods and/or services shall not be permitted. Deletion of goods 
and/or services in an expungement or reexamination proceeding after the 
submission and prior to the acceptance of an affidavit or declaration 
under section 8 or 71 of the Act will result in a fee under Sec.  
2.161(c) or Sec.  7.37(c) of this chapter.
    (2) A submission other than one made under this section, including 
a request to surrender the subject registration for cancellation under 
Sec.  2.172 or a request to amend the registration under Sec.  2.173, 
filed after the issuance of an Office action under this section, does 
not constitute a sufficient response to an Office action under this 
section. The registrant must notify the Office of such submission in a 
timely response.
    (3) Deletion of goods and/or services at issue in a pending 
proceeding in a response, a surrender for cancellation under Sec.  
2.172, an amendment of the registration under Sec.  2.173, or any other 
accepted submission, shall render the proceeding moot as to those goods 
and/or services, and no further determination will be made regarding 
the registrant's use of the mark in commerce as to those goods and/or 
services.

0
19. Add Sec.  2.94 to read as follows:


Sec.  2.94  Action after expungement or reexamination.

    Upon termination of an expungement or reexamination proceeding, the 
Office shall issue a notice of termination that memorializes the final 
disposition of the proceeding as to each of the goods and/or services 
at issue in the proceeding. Where appropriate, the registration will be 
cancelled, in whole or in part.

0
20. Add an undesignated center heading preceding Sec.  2.99 to read as 
follows:

CONCURRENT USE PROCEEDINGS

0
21. Revise the undesignated center heading preceding Sec.  2.111 to 
read as follows:

Cancellation Proceedings Before the Trademark Trial and Appeal Board

0
22. Amend Sec.  2.111 by revising paragraph (b) to read as follows:


Sec.  2.111  Filing petition for cancellation.

* * * * *
    (b) Any person who believes that he, she, or it is or will be 
damaged by a registration may file a petition, addressed to the 
Trademark Trial and Appeal Board, for cancellation of the registration 
in whole or in part. The petition for cancellation need not be 
verified, but must be signed by the petitioner or the petitioner's 
attorney, as specified in Sec.  11.1 of this chapter, or other 
authorized representative, as specified in Sec.  11.14(b) of this 
chapter. Electronic signatures pursuant to Sec.  2.193(c) are required 
for petitions submitted electronically via ESTTA. The petition for 
cancellation may be filed at any time in the case of registrations on 
the Supplemental Register or under the Act of 1920, or registrations 
under the Act of 1881 or the Act of 1905, which have not been published 
under section 12(c) of the Act, on any ground specified in section 
14(3) or section 14(5) of the Act, or at any time after the three-year 
period following the date of registration on the ground specified in 
section 14(6) of the Act. In all other cases, including nonuse claims 
not specified in section 14(6), the petition for cancellation and the 
required fee must be filed within five years from the date of 
registration of the mark under the Act or from the date of publication 
under section 12(c) of the Act.
* * * * *

0
23. Amend Sec.  2.117 by revising paragraph (a) to read as follows:


Sec.  2.117  Suspension of proceedings.

    (a) Whenever it shall come to the attention of the Trademark Trial 
and Appeal Board that a civil action, another Board proceeding, or an 
expungement or reexamination proceeding may have a bearing on a pending 
case, proceedings before the Board may be suspended until termination 
of the civil action, the other Board proceeding, or the expungement or 
reexamination proceeding. A civil action or proceeding is not 
considered to have been terminated until an order or ruling that ends 
litigation has been rendered and noticed and the time for any appeal or 
other further review has expired with no further review sought.
* * * * *

0
24. Revise Sec.  2.141 to read as follows:


Sec.  2.141  Ex parte appeals.

    (a) Appeal from final refusal of application. After final refusal 
by the trademark examining attorney, an applicant may appeal to the 
Trademark Trial and Appeal Board, upon payment of the prescribed fee 
for each class in the application for which an appeal is

[[Page 64331]]

taken, within the time provided in Sec.  2.142(a)(1). A second refusal 
on the same grounds may be considered as final by the applicant for the 
purpose of appeal.
    (b) Appeal from expungement or reexamination proceeding. After 
issuance of a final Office action in an expungement or reexamination 
proceeding under Sec.  2.93, a registrant may appeal to the Trademark 
Trial and Appeal Board, upon payment of the prescribed fee for each 
class in the registration for which the appeal is taken, within the 
time provided in Sec.  2.142(a)(2).
    (c) Appeal fee required. The applicant or registrant must pay an 
appeal fee for each class for which the appeal is taken. If an appeal 
fee is not paid for at least one class of goods or services before the 
expiration of the time for appeal, when the appeal is from a final 
refusal of an application, the application will be abandoned or, when 
the appeal is from an expungement or reexamination proceeding, the 
Office will terminate the proceeding. When a multiple-class application 
or registration is involved, if an appeal fee is submitted for fewer 
than all classes, the applicant or registrant must specify the 
class(es) for which the appeal is taken. If the applicant or registrant 
timely submits a fee sufficient to pay for an appeal in at least one 
class, but insufficient to cover all the classes, and the applicant or 
registrant has not specified the class(es) to which the fee applies, 
the Board will issue a written notice setting a time limit in which the 
applicant or registrant may either pay the additional fees or specify 
the class(es) being appealed. If the applicant or registrant does not 
submit the required fee or specify the class(es) being appealed within 
the set time period, the Board will apply the fee(s) to the class(es) 
in ascending order, beginning with the lowest numbered class.

0
25. Amend Sec.  2.142 by revising paragraphs (a), (b)(3), and (d) to 
read as follows:


Sec.  2.142  Time and manner of ex parte appeals.

    (a)(1) An appeal filed under the provisions of Sec.  2.141(a) from 
the final refusal of an application must be filed within the time 
provided in Sec.  2.62(a).
    (2) An appeal filed under the provisions of Sec.  2.141(b) from an 
expungement or reexamination proceeding must be filed within three 
months from the issue date of the final Office action.
    (3) An appeal is taken by filing a notice of appeal, as prescribed 
in Sec.  2.126, and paying the appeal fee.
    (b) * * *
    (3) Citation to evidence in briefs should be to the documents in 
the electronic record for the subject application or registration by 
date, the name of the paper under which the evidence was submitted, and 
the page number in the electronic record.
* * * * *
    (d) The record should be complete prior to the filing of an appeal. 
Evidence should not be filed with the Board after the filing of a 
notice of appeal.
    (1) In an appeal from a refusal to register, if the appellant or 
the examining attorney desires to introduce additional evidence after 
an appeal is filed, the appellant or the examining attorney should 
submit a request to the Board to suspend the appeal and to remand the 
application for further examination.
    (2) In an appeal from an expungement or reexamination proceeding, 
no additional evidence may be included once an appeal is filed, and the 
Board may not remand for further examination.
* * * * *

0
26. Amend Sec.  2.145 by revising paragraphs (a)(1) and (3) and (c)(1) 
to read as follows:


Sec.  2.145  Appeal to court and civil action.

    (a) * * * (1) An applicant for registration, a registrant in an ex 
parte expungement or reexamination proceeding, any party to an 
interference, opposition, or cancellation, or any party to an 
application to register as a concurrent user, hereinafter referred to 
as inter partes proceedings, who is dissatisfied with the decision of 
the Trademark Trial and Appeal Board, and any registrant who has filed 
an affidavit or declaration under section 8 or section 71 of the Act, 
or filed an application for renewal under section 9 of the Act, and is 
dissatisfied with the decision of the Director (Sec. Sec.  2.165 and 
2.184 and Sec.  7.40 of this chapter), may appeal to the United States 
Court of Appeals for the Federal Circuit. It is unnecessary to request 
reconsideration before filing any such appeal; however, any request to 
reconsider the decision must be made before filing a notice of appeal.
* * * * *
    (3) The following requirements must also be satisfied:
    (i) The notice of appeal shall specify the party or parties taking 
the appeal and shall designate the decision or part thereof appealed 
from.
    (ii) In inter partes proceedings, the notice of appeal must be 
served as provided in Sec.  2.119.
* * * * *
    (c) * * * (1) Any person who may appeal to the United States Court 
of Appeals for the Federal Circuit (paragraph (a) of this section), 
except for a registrant subject to an ex parte expungement or 
reexamination proceeding, may have remedy by civil action under section 
21(b) of the Act. It is unnecessary to request reconsideration before 
filing any such civil action; however, any request to reconsider the 
decision must be made before filing a civil action.
* * * * *

0
27. Amend Sec.  2.146 by:
0
a. Revising paragraphs (b) and (c);
0
b. Removing the word ``or'' at the end of paragraph (d)(2)(ii);
0
c. Removing the citation ``Sec.  7.13'' and the period at the end of 
paragraph (d)(2)(iii) and adding ``Sec.  7.13 of this chapter'' and ``; 
or'', respectively, in their places; and
0
d. Adding paragraph (d)(2)(iv).
    The revision and addition read as follows:


Sec.  2.146  Petitions to the Director.

* * * * *
    (b) Questions of substance arising during the ex parte prosecution 
of applications, or expungement or reexamination of registrations, 
including, but not limited to, questions arising under sections 2, 3, 
4, 5, 6, 16A, 16B, and 23 of the Act of 1946, are not appropriate 
subject matter for petitions to the Director.
    (c)(1) Every petition to the Director shall include a statement of 
the facts relevant to the petition, the points to be reviewed, the 
action or relief requested, and the fee required by Sec.  2.6. Any 
brief in support of the petition shall be embodied in or accompany the 
petition. The petition must be signed by the petitioner, someone with 
legal authority to bind the petitioner (e.g., a corporate officer or 
general partner of a partnership), or a practitioner qualified to 
practice under Sec.  11.14 of this chapter, in accordance with the 
requirements of Sec.  2.193(e)(5). When facts are to be proved on 
petition, the petitioner must submit proof in the form of verified 
statements signed by someone with firsthand knowledge of the facts to 
be proved, and any exhibits.
    (2) A petition requesting reinstatement of a registration cancelled 
in whole or in part for failure to timely respond to an Office action 
issued in an expungement and/or reexamination proceeding must include a 
response to the Office action, signed in accordance with Sec.  2.193, 
or an appeal.
    (d) * * *
    (2) * * *

[[Page 64332]]

    (iv) Where an expungement or reexamination proceeding has been 
instituted under Sec.  2.92, two months after the date of actual 
knowledge of the cancellation of goods and/or services in a 
registration and not later than six months after the date the trademark 
electronic record system indicates that the goods and/or services are 
cancelled.
* * * * *

0
28. Amend Sec.  2.149 by revising paragraphs (a) and (i) to read as 
follows:


Sec.  2.149  Letters of protest against pending applications.

    (a) A third party may submit, for consideration and inclusion in 
the record of a trademark application, objective evidence relevant to 
the examination of the application for a ground for refusal of 
registration if the submission is made in accordance with this section.
* * * * *
    (i) Any determination whether to include evidence submitted under 
this section in the record of an application is final and non-
reviewable, and a determination to include or not include evidence in 
the application record shall not prejudice any party's right to raise 
any issue and rely on any evidence in any other proceeding.
* * * * *

0
29. Effective December 1, 2022, amend Sec.  2.163 by revising 
paragraphs (b) and (c) and adding paragraphs (d) and (e) to read as 
follows:


Sec.  2.163  Acknowledgment of receipt of affidavit or declaration.

* * * * *
    (b) A response to the refusal must be filed within three months of 
the date of issuance of the Office action, or before the end of the 
filing period set forth in section 8(a) of the Act, whichever is later. 
The response must be signed by the owner, someone with legal authority 
to bind the owner (e.g., a corporate officer or general partner of a 
partnership), or a practitioner qualified to practice under Sec.  11.14 
of this chapter, in accordance with the requirements of Sec.  
2.193(e)(2).
    (c) Unless notified otherwise in the Office action, the three-month 
response period designated in paragraph (b) of this section may be 
extended by three months up to a maximum of six months from the Office 
action issue date, upon timely request and payment of the fee set forth 
in Sec.  2.6(a)(28). To be considered timely, a request for extension 
of time must be received by the Office on or before the deadline for 
response set forth in the Office action.
    (d) When a timely response is a bona fide attempt to advance the 
examination of the affidavit or declaration and is a substantially 
complete response to the outstanding Office action, but consideration 
of some matter or compliance with a requirement has been omitted, the 
owner may be granted 30 days, or to the end of the time period for 
response to the action to which the substantially complete response was 
submitted, whichever is longer, to explain and supply the omission 
before the cancellation is considered.
    (e) If no response is filed within the time periods set forth in 
paragraphs (b) through (d) of this section, the registration will be 
cancelled, unless time remains in the grace period under section 
8(a)(3) of the Act. If time remains in the grace period, the owner may 
file a complete new affidavit.

0
30. Effective December 1, 2022, revise Sec.  2.165 to read as follows:


Sec.  2.165  Petition to Director to review refusal.

    (a) A response to the examiner's initial refusal to accept an 
affidavit or declaration is required before filing a petition to the 
Director, unless the examiner directs otherwise. See Sec.  2.163(b) and 
(c) for the deadline for responding to an examiner's Office action.
    (b) If the examiner maintains the refusal to accept the affidavit 
or declaration, the owner may file a petition to the Director to review 
the action within the time periods specified in Sec.  2.163(b) and (c).
    (c) If no petition is filed within the time periods set forth in 
paragraphs (a) and (b) of this section, the registration will be 
cancelled and a notice of cancellation will issue.
    (d) A decision by the Director is necessary before filing an appeal 
or commencing a civil action in any court.

0
31. Effective December 1, 2022, revise Sec.  2.176 to read as follows:


Sec.  2.176  Consideration of matters in Sec. Sec.  2.171 through 
2.175.

    The matters in Sec. Sec.  2.171 through 2.175 will be considered in 
the first instance by the Post Registration examiners, except for 
requests to amend registrations involved in inter partes proceedings 
before the Trademark Trial and Appeal Board, as specified in Sec.  
2.173(a), which shall be considered by the Board. If an action of the 
examiner is adverse, the owner of the registration may petition the 
Director to review the adverse Office action under Sec.  2.146. If the 
owner does not respond to an adverse Office action within three months 
of the issue date of the action, the matter will be considered 
abandoned. Unless notified otherwise in the adverse Office action, the 
three-month response period may be extended by three months up to a 
maximum of six months from the adverse Office action issue date, upon 
timely request and payment of the fee set forth in Sec.  2.6(a)(28). To 
be considered timely, a request for extension of time must be received 
by the Office on or before the deadline for response set forth in the 
adverse Office action.

0
32. Add an undesignated center heading and Sec.  2.177 to read as 
follows:

Court Orders Under Section 37


Sec.  2.177  Action on court order under section 37.

    (a) Requesting USPTO action on an order. If a Federal court has 
issued an order concerning a registration under section 37 of the Act, 
a party to the court action who is requesting that the USPTO take 
action on the order must make the request in writing and include the 
following:
    (1) Submit a certified copy of the order to the Director, addressed 
to the Office of the General Counsel, as provided in Sec.  104.2 of 
this chapter; and
    (2) If the party is aware of proceedings concerning the involved 
registration that are pending or suspended before the Trademark Trial 
and Appeal Board, file a copy of such order with the Trademark Trial 
and Appeal Board via ESTTA.
    (b) Time for submission. A submission under paragraph (a) of this 
section should not be made until after the court proceeding has been 
finally determined. A court proceeding is not considered finally 
determined until an order or ruling that ends the litigation has been 
rendered and noticed, and the time for any appeal or other further 
review has expired with no further review sought.
    (c) Action after submission. After the court proceeding has been 
finally determined, appropriate action on a court order submitted under 
this section will normally be taken by the Office without the necessity 
of any further submission by an interested party. In circumstances 
where the Director or the Trademark Trial and Appeal Board, if the 
order under section 37 involves a registration over which the Board has 
jurisdiction, determines that it would be helpful to aid in 
understanding the scope or effect of the court's order, a show cause or 
other order may issue directing the registrant, and if appropriate, the 
opposing parties to the action from which the order arose, to respond 
and provide information or arguments regarding the order. The Director 
may also request clarification of

[[Page 64333]]

the order from the court that issued the order.

0
33. Effective December 1, 2022, amend Sec.  2.184 by revising paragraph 
(b) to read as follows:


Sec.  2.184  Refusal of renewal.

* * * * *
    (b)(1) The registrant must file a response to the refusal of 
renewal within three months of the date of issuance of the Office 
action or before the expiration date of the registration, whichever is 
later.
    (2) Unless notified otherwise in the Office action, the three-month 
response period designated in paragraph (b)(1) of this section may be 
extended by three months up to a maximum of six months from the Office 
action issue date, upon timely request and payment of the fee set forth 
in Sec.  2.6(a)(28). To be considered timely, a request for extension 
of time must be received by the Office on or before the deadline for 
response set forth in the Office action.
    (3) When a timely response is a bona fide attempt to advance the 
examination of the renewal application and is a substantially complete 
response to the outstanding Office action, but consideration of some 
matter or compliance with a requirement has been omitted, the owner may 
be granted 30 days, or to the end of the time period for response to 
the action to which the substantially complete response was submitted, 
whichever is longer, to explain and supply the omission before the 
expiration is considered.
    (4) If no response is filed within the time periods set forth in 
paragraphs (b)(1) through (3) of this section, the registration will 
expire, unless time remains in the grace period under section 9(a) of 
the Act. If time remains in the grace period, the registrant may file a 
complete, new renewal application.
    (5) The response must be signed by the registrant, someone with 
legal authority to bind the registrant (e.g., a corporate officer or 
general partner of a partnership), or a practitioner who meets the 
requirements of Sec.  11.14 of this chapter, in accordance with the 
requirements of Sec.  2.193(e)(2).
* * * * *

0
34. Effective December 1, 2022, amend Sec.  2.186 by revising 
paragraphs (b) and (c) and adding paragraph (d) to read as follows:


Sec.  2.186  Petition to Director to review refusal of renewal.

* * * * *
    (b) If the examiner maintains the refusal of the renewal 
application, a petition to the Director to review the refusal may be 
filed. The petition must be filed within the time periods specified in 
Sec.  2.184(b).
    (c) If no petition is filed within the time periods set forth in 
paragraphs (a) and (b) of this section, the renewal application will be 
abandoned and the registration will expire.
    (d) A decision by the Director is necessary before filing an appeal 
or commencing a civil action in any court.

0
35. Amend Sec.  2.193 by revising paragraph (e)(5) introductory text to 
read as follows:


Sec.  2.193  Trademark correspondence and signature requirements.

* * * * *
    (e) * * *
    (5) Petitions to Director under Sec.  2.146 or Sec.  2.147 or for 
expungement or reexamination under Sec.  2.91. A petition to the 
Director under Sec.  2.146 or Sec.  2.147 or for expungement or 
reexamination under Sec.  2.91 must be signed by the petitioner, 
someone with legal authority to bind the petitioner (e.g., a corporate 
officer or general partner of a partnership), or a practitioner 
qualified to practice under Sec.  11.14 of this chapter, in accordance 
with the following guidelines:
* * * * *

PART 7--RULES OF PRACTICE IN FILINGS PURSUANT TO THE PROTOCOL 
RELATING TO THE MADRID AGREEMENT CONCERNING THE INTERNATIONAL 
REGISTRATION OF MARKS

0
36. The authority citation for part 7 is revised to read as follows:

    Authority:  15 U.S.C. 1123, 35 U.S.C. 2, Pub. L. 116-260, 134 
Stat. 1182, unless otherwise noted.


0
37. Effective December 1, 2022, amend Sec.  7.6 by adding paragraph 
(a)(9) to read as follows:


Sec.  7.6  Schedule of U.S. process fees.

    (a) * * *
    (9) Extension of time for filing a response to an Office action 
under Sec.  7.39(b) or Sec.  7.40(c). (i) For filing a request for 
extension of time for filing a response to an Office action under Sec.  
7.39(b) or Sec.  7.40(c) on paper--$225.00.
    (ii) For filing a request for extension of time for filing a 
response to an Office action under Sec.  7.39(b) or Sec.  7.40(c) via 
TEAS--$125.00.
* * * * *

0
38. Effective December 1, 2022, revise Sec.  7.39 to read as follows:


Sec.  7.39  Acknowledgment of receipt of and correcting deficiencies in 
affidavit or declaration of use in commerce or excusable nonuse.

    The Office will issue a notice as to whether an affidavit or 
declaration is acceptable, or the reasons for refusal.
    (a) A response to the refusal must be filed within three months of 
the date of issuance of the Office action, or before the end of the 
filing period set forth in section 71(a) of the Act, whichever is 
later. The response must be signed by the holder, someone with legal 
authority to bind the holder (e.g., a corporate officer or general 
partner of a partnership), or a practitioner qualified to practice 
under Sec.  11.14 of this chapter, in accordance with the requirements 
of Sec.  2.193(e)(2) of this chapter.
    (b) Unless notified otherwise in the Office action, the three-month 
response period designated in paragraph (a) of this section may be 
extended by three months up to a maximum of six months from the Office 
action issue date, upon timely request and payment of the fee set forth 
in Sec.  7.6(a)(9). To be considered timely, a request for extension of 
time must be received by the Office on or before the deadline for 
response set forth in the Office action.
    (c) When a timely response is a bona fide attempt to advance the 
examination of the affidavit or declaration and is a substantially 
complete response to the outstanding Office action, but consideration 
of some matter or compliance with a requirement has been omitted, the 
holder may be granted 30 days, or to the end of the time period for 
response to the action to which the substantially complete response was 
submitted, whichever is longer, to explain and supply the omission 
before the cancellation is considered.
    (d) If no response is filed within this time period, the extension 
of protection will be cancelled, unless time remains in the grace 
period under section 71(a)(3) of the Act. If time remains in the grace 
period, the holder may file a complete, new affidavit.
    (e) If the affidavit or declaration is filed within the time 
periods set forth in section 71 of the Act, deficiencies may be 
corrected after notification from the Office, as follows:
    (1) Correcting deficiencies in affidavits or declarations timely 
filed within the periods set forth in sections 71(a)(1) and 71(a)(2) of 
the Act. If the affidavit or declaration is timely filed within the 
relevant filing period set forth in section 71(a)(1) or section 
71(a)(2) of the Act, deficiencies may be corrected before the end of 
this filing period without paying a deficiency surcharge. Deficiencies 
may be

[[Page 64334]]

corrected after the end of this filing period with payment of the 
deficiency surcharge required by section 71(c) of the Act and Sec.  
7.6.
    (2) Correcting deficiencies in affidavits or declarations filed 
during the grace period. If the affidavit or declaration is filed 
during the six-month grace period provided by section 71(a)(3) of the 
Act, deficiencies may be corrected before the expiration of the grace 
period without paying a deficiency surcharge. Deficiencies may be 
corrected after the expiration of the grace period with payment of the 
deficiency surcharge required by section 71(c) of the Act and Sec.  
7.6.
    (f) If the affidavit or declaration is not filed within the time 
periods set forth in section 71 of the Act, the registration will be 
cancelled.

0
39. Effective December 1, 2022, revise Sec.  7.40 to read as follows:


Sec.  7.40  Petition to Director to review refusal.

    (a) A response to the examiner's initial refusal to accept an 
affidavit or declaration is required before filing a petition to the 
Director, unless the examiner directs otherwise. See Sec.  7.39(a) 
through (c) for the deadline for responding to an examiner's Office 
action.
    (b) If the examiner maintains the refusal of the affidavit or 
declaration, the holder may file a petition to the Director to review 
the examiner's action. The petition must be filed within the time 
periods specified in Sec.  7.39(b) and (c).
    (c) If no petition is filed within the time periods set forth in 
paragraphs (a) and (b) of this section, the registration will be 
cancelled.
    (d) A decision by the Director is necessary before filing an appeal 
or commencing a civil action in any court.

Andrew Hirshfeld,
Commissioner for Patents, Performing the Functions and Duties of the 
Under Secretary of Commerce for Intellectual Property and Director of 
the United States Patent and Trademark Office.
[FR Doc. 2021-24926 Filed 11-16-21; 8:45 am]
BILLING CODE 3510-16-P