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2026.04.13
IP Perspective Vol.4 by Lee & Ko IP & TECHNOLOGY Group
Lee & Ko’s IP Perspective is the Lee & Ko IP & Technology Group’s periodic report aimed at providing news and updates about notable decisions, major trends and key developments in Korea’s IP legal landscape. As a service to clients and friends, it is written and edited by the firm’s IP attorneys. Designed to not only provide more information, IP Perspective includes Lee & Ko’s in-depth analyses, opinions, and expert outlook on the latest IP and legal trends in Korea, Asia, and beyond. In this issue, we cover a broad range of IP litigation and strategy considerations, including : 1. Implementation of Korean attorney-client-privilege (ACP) and K-Discovery 2. An Introduction to the Doctrine of Equivalents in Korea  3. Recent Trends in Pharmaceutical Patent Disputes (Biosimilars)  4. Leading Korean Supreme Court Precedent on Luxury Bag Reform and Upcycling  Introduction of Attorney-Client Privilege and the Korean-Style Discovery System The amended Attorney Act, which primarily introduces the AttorneyClient Privilege(hereinafter ACP), is scheduled to take effect on February 20, 2027. This amendmentmarks the first statutory enactment of ACP in Korea, protecting communications andmaterials between attorneys and clients from disclosure during discovery or evidencegathering in Korean litigation. Furthermore, a KoreanStyle Discovery System is being introduced for the first timethrough amendments to the Act on Promotion of Cooperation between Large andSmall / Medium Enterprises (hereinafter the Cooperation Act). Key features include :(1) the introduction of an expert factfinding system, (2) the establishment of evidencepreservation orders, and (3) the implementation of a party examination system. Thesemeasures focus on substantially strengthening access to evidence in disputes involvingtechnology misappropriation. The KoreanStyle Discovery System under the CooperationAct applies when a commissioning enterprise improperly uses or provides a commissionedenterprise's technical data for its own benefit or that of a third party (an act definedas misappropriation of technical data). This system is scheduled to commence onFebruary 20, 2028.  
I. Introduction of ACP through the Amendment of the Attorney Act
1. Contents of the Korean ACP System     While many countries, including the United States, have long recognized ACP as a core right essential for legal assistance — protecting the confidentiality of documents, data, and information exchanged between a client and its attorney regarding case representation or legal consultation—Korea had not previously institutionally recognized ACP.     Under the existing Attorney Act, Article 26 only stipulated a broad duty of confidentiality, stating that “an attorney or former attorney shall not disclose secrets learned in the course of their duties,” without guaranteeing a right to maintain such confidentiality.     The amended Attorney Act now provides that:     1)An attorney and a client (or prospective client) may refuse to disclose confidential communications made for the purpose of providing or receiving legal assistance regarding a legal case or matter;     2)An attorney may refuse to disclose documents or materials prepared for litigation,investigation, or inquiry related to a case for which the attorney is retained;      3)However, disclosure is permitted in exceptional cases, such as: With the client'sconsent; where there is a significant public interest need (e.g., if the attorney is an accomplice to the client, if the client is involved in illegal activities, or if the client uses or intends to use the communications or materials for illegal purposes); or if necessary for the attorney to exercise or defend their own rights in a dispute with the client.         The amended law will take effect on February 20, 2027. Please refer to the details below:     2. ACP Prior to the Implementation of the Amended Attorney Act     Since the previous Attorney Act did not explicitly codify the ACP system, it was unclear whether confidential communications or legal consultation materials between an attorney and a client could be withheld from investigation or trial proceedings. Consequently, investigative authorities repeatedly seized documents and electronic information generated between attorneys and clients.      In this regard, in February 2024, Lee & Ko successfully argued in a case where prosecutors seized communication materials between its client (an asset management company) and Lee & Ko attorneys that such materials were protected by attorneyclient privilege, rendering the seizure illegal. This argument was partially accepted by the court (Seoul Southern District Court Decision No. 2023Bo4, rendered on February 23, 2024). Recently, the Supreme Court rejected the prosecutor's appeal, upholding Lee & Ko's position by ruling that ”the seizure of legal consultation documents, etc., generated between a suspect or defendant and their defense counsel (including prospective counsel) potentially infringes upon the constitutional right to receive legal assistance and, in principle, should not be permitted“ (Supreme Court Decision No. 2024Mo730, rendered on February 20, 2026).     Although the Supreme Court ruling confirmed that ACP could be recognized based on the Constitution even before the amended Attorney-Act's effective date of February 20, 2027, the specific requirements and scope of its application remained unclear. 3. Key Features of the Newly Introduced Korean ACP System     The key features of the newly introduced ACP system, examined by article, are as follows:     1) Article 26-2, Paragraph 1     This provision extends protection not only to current clients but also to prospective clients. It grants the right to refuse disclosure individually to the attorney, the client, and the prospective client. Specifically, it stipulates that the attorney is an independent holder of this right, rather than merely exercising the client's right on their behalf.     The right applies only to communications regarding legal cases or legal matters;thus, it cannot be invoked for non-legal business communications, even with an  attorney. Furthermore, since the right is defined as the ability to keep confidential communications undisclosed; therefore, if the content is disclosed to a third party, the right can no longer be exercised, even if the communication was initially confidential.     2) Article 26-2, Paragraph 2     This paragraph expands the scope to include documents or materials prepared for “inquiries” in addition to litigation and investigations. This provides a legal basis to refuse submission demands during administrative investigations or on-site inspections, beyond general civil and criminal proceedings.      While early drafts of the amendment sought to protect ”documents, materials, or objects submitted by the client to the attorney,“ this was limited in the final version to documents or materials created by the attorney related to the case. This limitation aims to prevent potential side effects, such as the intentional storage of items or evidence with an attorney to evade disclosure. Notably, the right under this paragraph belongs to both the attorney and the client; prospective clients cannot exercise this specific right.      3) Article 26-2, Paragraph 3     This paragraph stipulates four exceptions where the right to maintain confidentiality does not apply:     (1) Client consent;     (2) Significant public interest needs related to illegal acts;     (3) Necessity for the attorneys to exercise their defense rights;     (4) Special provisions under other laws.     While items 1, 3, and 4 are relatively clear, item 2 involves terms like ”other illegal acts“ and ”significant public interest needs,“ whose interpretation may be contentious. The scope of these exceptions is expected to become clearer through future court interpretations.     4) Supplementary Provisions     The amendment will take effect on February 20, 2027, one year after promulgation. It also applies retroactively to communications and documents created before the enforcement date. 4. Implications and Expected Future Issues     With this amendment, the attorney-client privilege is now explicitly recognized as a legal right, which is expected to substantially guarantee the right to legal assistance and strengthen the defense rights of suspects and defendants during investigations and trials. Since this right is recognized only when receiving assistance from an attorney under the Attorney Act, it is also expected to positively foster trust between clients and attorneys.      In Korean legal practice, where a discovery system from common law did not exist, discussions on attorney-client privilege have traditionally centered primarily around criminal cases (especially search and seizure by investigative agencies). However, as explained in Section II below, with the introduction of Korean-Style Discovery System through the amendment of the Cooperation Act and its expected adoption in other laws, ACP is anticipated to play a crucial role in civil disputes as well.     Meanwhile, it is expected that practical precedents will be established by court rulings on parts where there is room for dispute regarding the interpretation of the amended law. For instance, various issues are expected to arise, such as:     ■ Whether communications between in-house counsel and employees can be included in the scope of ACP protection;     ■  How to set the scope of ACP protection in relation to each employee when the client is a corporation;     ■  How to distinguish the scope of protection for communications or documents where legal affairs and non-legal business are mixed;     ■  And whether identical or similar rights should be guaranteed for those performing roles similar to attorneys (e.g., patent attorneys).  
II. Introduction of the Korean-Style Discovery System through the Amendment of the Cooperation Act
1. Contents of the Korean-Style Discovery System     The amended Cooperation Act, dated February 19, 2026, explicitly codifies the Korean-style Discovery System for the first time. Its main contents are as follows:     1)Introduction of the Expert Fact-Finding System (Article 40-6, etc.)         A new system allows the court to appoint an expert to conduct fact-finding in damages lawsuits arising from the misappropriation of technical data 1 under the Cooperation Act.          If the court finds that:         ① There is a substantial probability that the opposing party committed misappropriation of technical data;         ② The burden on the opposing party is not excessive; and         ③ It is difficult for the applicant to collect evidence by other means,         the court may, upon application, designate an expert in the relevant field. The designated expert may then enter the opposing party's offices, factories, or other managed locations to question the opposing party and its employees, inspect or copy materials, and operate, measure, or test devices as necessary (Article 40-6).         Thus, while unlimited investigation is not permitted, the court can actively initiate investigation procedures if the requirements are met upon application.         Additionally, reflecting the newly introduced ACP system, the Cooperation Act allows parties to apply to exclude communications or documents/materials under Article 26-2 of the Attorney Act (hereinafter communications, etc.) from the scope of such investigations. However, if deemed necessary to confirm the existence of such excluded communications, the court may order the submission of a list of such materials upon application by the opposing party (Article 40-7).      2)Introduction of the Evidence Preservation Order System (Article 40-11, etc.)         To ensure the effectiveness of the expert fact-finding system, an Evidence Preservation Order System has been introduced.         Under the amendment, the court may issue a preservation order upon application not only when a lawsuit for damages regarding misappropriation of technical data has already been filed but also when such a lawsuit is reasonably expected to be filed, provided that:         ① Sufficient facts exist to identify the materials subject to the order; and         ② Failure to issue the order would likely cause irreparable damage to the applicant.         This measure effectively prevents the destruction or concealment of caserelated evidence. Regarding the preservation period, the court may order the preservation of materials for a term not exceeding one year, which may be extended by up to one year upon the application of a party. (Article 40-11, Paragraph 1). Furthermore, if a third party holds the materials, the court may order preservation conditional upon the applicant paying the necessary costs for the preservation (Article 40-11, Paragraph 5).         If the person possessing, managing, or storing the materials fails to comply with the order, the court may deem the applicant's claims regarding the facts intended to be proven by the materials as true (Article 40-11, Paragraph 6). Additionally, anyone who intentionally destroys or renders materials unusable in violation of an evidence preservation order may face imprisonment for up to 7 years or a fine of up to 100 million KRW (Article 41, Paragraph 4).         To prevent abuse of the preservation order system, if the applicant of the preservation order fails to file the main lawsuit within 7 days after the order is issued, the court must order the applicant to prove the filing of the complaint within a period of at least 2 weeks. Failure to submit such proof allows the court to cancel the order ex officio or upon the opposing party's application and assign the costs to the applicant (Article 40-11, Paragraphs 9 and 10).     3)Introduction of the Party Examination System (Article 40-12, etc.)         Upon application by either party, the court may decide to conduct mutual examinations of necessary persons (including the parties themselves) to verify facts or materials related to proving misappropriation of technical data or calculating damages. Such applications by the parties can only be made when attorneys are retained.         In making this decision, the court must consider:         ① Whether the number of examinees, scope, method, and location of the examination impose an excessive burden on the opposing party; and         ② Whether it is necessary for verifying materials/facts asserted by the parties or for preserving evidence (Article 40-12, Paragraph 1).         If an examination is conducted, both parties must audio or video record the testimony (Article 40-12, Paragraph 3). Considering the ACP introduced in the Attorney Act, a party may request the deletion of any testimony concerning ”communications, etc.“ included in the recordings (Article 40-12, Paragraph 9). Furthermore, if a party obstructs the examination process without just cause (e.g., failing to appear, refusing to take an oath or testify), the court may impose sanctions, such as deeming the opposing party's claims regarding the facts intended to be proven by the testimony as true (Article 40-12, Paragraph 11).      4)Supplementary Provisions         The amended Cooperation Act will take effect on February 20, 2028, two years after its promulgation. The delayed effective date aims to facilitate the uniform introduction of the discovery system across other laws such as the Patent Act, Utility Model Act, Unfair Competition Prevention and Trade Secret Protection Act, Subcontracting Fairness Act, and Civil Procedure Act, as well as to allow time for building court information systems related to the discovery system. Consequently, with the enactment of this law, the discovery system is expected to expand beyond intellectual property fields, such as the Patent Act, to encompass civil litigation as a whole. 2. Implications     This amendment is hailed as a pivotal turning point, marking the first introduction of a Korean-Style Discovery System. As its application is expected to expand to other intellectual property laws and general civil litigation, it is projected to bring profound changes to legal practice alongside the Attorney-Client Privilege. While the Korean civil and commercial dispute framework has traditionally adhered to the principles of 'party submission of evidence' and the ‘plaintiff's exclusive burden of proof,’ the expansion of this discovery system is expected to weaken the principle of ’party submission of evidence’. Consequently, it will likely facilitate a shift toward a dispute resolution structure centered on substantive discovery and the rectification of information asymmetry. The Development and Current Status of the Doctrine of Equivalents in Korea  
I. The Doctrine of Equivalents in Korea
Since the Korean Supreme Court first recognized the doctrine of equivalents in 2000 (Supreme Court Decision No. 97Hu2200, rendered on July 28, 2000), it has progressively refined the doctrine through a series of subsequent decisions. This article surveys the development and current status of the doctrine of equivalents in Korea, focusing on the leading cases.  
II. The Five-Part Test for Equivalence
  Supreme Court Decision No. 97Hu2200, rendered on July 28, 2000, involved a process for manufacturing an antimicrobial agent. In that case, the patented process and the defendant’s process shared the same starting material and final product. They differed, however, in that the patented process obtained the target substance by reacting the starting material with substance A, whereas the defendant’s process obtained the same target substance by reacting the starting material with substance B and then decomposing the resulting intermediate.  In that decision, the Supreme Court articulated a five-part test for infringement under the doctrine of equivalents and found equivalence on the facts before it:  
1. The two inventions must share the identical or common technical idea or principle for solving the problem. 2. The substituted element in the accused invention must achieve substantially the same function and effect as the corresponding element in the patented invention. 3. The substitution must have been obvious, in the sense that a person having ordinary skill in the art could readily have conceived of it. 4. The accused invention must not have been publicly known at the time of the patent application, nor readily derivable by a person skilled in the art from prior art existing at that time. 5. There must be no special circumstance showing that the substituted element in the accused invention was intentionally excluded from the scope of the patent claims during patent prosecution.
  Each part of this test is discussed in turn below.  
III. The First Part of the Test: Identity of the Principle for Solving the Problem
  1. Meaning of the First Part     The first part of the five-part test asks whether the patented invention and the accused invention share the same technical idea, or more precisely, the same principle for solving the problem. Application of this part of the test necessarily raises the question of how the technical idea or problem-solving principle of the patented invention and that of the accused invention should be detemined. Some earlier decisions appeared to treat the “principle for solving the problem” as conceptually close to the invention’s technical objective and, at times, considered this part together with the second part of the test, namely substantial identity of function and effect.     In 2009, the Supreme Court explained that the first part of the test is satisfied where the substituted element in the accused invention pertains to a non-essential part of the patented invention, such that the accused invention retains the characteristic element of the patented invention (Supreme Court Decision No. 2007Hu3806, rendered on June 25, 2009).3 The Court further stated that, in identifying those characteristic features, a court should not merely extract claim elements in a formalistic manner, but should instead conduct a substantive inquiry, in light of the detailed description in the specification and the prior art existing at the time of filing, into the problem-solving principle underlying the distinctive solution adopted by the patented invention, as compared with the prior art. That decision was generally understood to mean that the first part of the five-part test turns on whether the accused invention contains the characteristic element of the patented invention.      In 2014, however, the Supreme Court reformulated the inquiry. It held that, in determining whether the first part of the test is satisfied, the court should not formally isolate certain claim elements, but should instead examine, in light of the detailed description and the prior art at the time of filing, what constitutes the “core of the technical idea” underlying the distinctive solution particular to the patented invention (Supreme Court Decision No.2013Da14361, rendered on July 24, 2014). This formulation suggests that the inquiry is not confined to whether the accused product or process incorporates the patented invention’s “characteristic element” as such, but rather whether it embodies the same core technical idea.     Because equivalence may therefore be found even where the accused invention does not include the patented invention’s characteristic elements, so long as it shares the same core technical idea, the 2014 decision is commonly understood as having broadened the scope of equivalence under Korean law. 2. Determining the Principle for Solving the Problem     Under the 2014 framework, a court must identify the core of the technical idea distinctive to the patented invention in order to apply the first part of the five-part test. The 2014 decision, however, offered only general guidance, requiring reference to the specification and prior art without prescribing a more concrete methodology.     The Supreme Court addressed this issue in its January 31, 2019 decision (Supreme Court Decision No. 2017Hu424, rendered on January 31, 2019. There, the Court held that the detailed description of the invention should serve as the principal basis for identifying the core of the technical idea and that courts should not redefine that core by resorting to alternative configurations not intended by the inventor. The Court explained that consideration of prior art is justified in order to assess objectively the substantive value of the patented invention and to determine how broadly or narrowly the problem-solving principle should be defined depending on the degree to which the invention contributed to technological progress.     At the same time, the Court cautioned that courts should not replace the core technical idea discernible from the detailed description with a different technical idea drawn from prior art not mentioned in the specification. The Court reasoned that such an approach could impose unforeseeable harm on third parties who relied on the specification and avoided using the technical idea actually disclosed there, only to be found later to have appropriated a judicially reconstructed “core” based on different prior art.     These decisions suggest that the Supreme Court seeks to anchor the first part of the five-part test in the technical idea disclosed in the detailed description, while preventing that core from shifting depending on the particular prior art references later introduced by the defendant.   
IV. The Second Part of the Test: Identity of Function and Effect
The second part of the five-part test asks whether the substituted element in the accused invention achieves substantially the same function and effect as the corresponding element in the patented invention. The function and effect of a patented invention are closely related to the core of its technical idea, because that core necessarily encompasses the means by which the invention solves a technical problem and produces a technical result.  Consistent with this understanding, the Supreme Court has held that the question  whether the accused product or process achieves substantially the same function and effect should be assessed primarily by asking whether it solves the same technical problem that had remained unresolved in the prior art and was solved by the patented invention (Supreme Court Decision No. 2018Da267252, rendered on January 31, 2019). The Court further stated that, if the core of the technical idea underlying the distinctive solution particular to the patented invention, as identified in light of the detailed description and the prior art existing at the time of filing, is implemented in the accused product or process, then the second part of the test is satisfied. Accordingly, where the first part of the five-part test is satisfied, the second part will often be satisfied as well. That said, under Decision No. 2017Hu424, the core of the technical idea is identified primarily through the detailed description, and it remains possible that what the inventor regarded as the core technical idea was, in fact, already disclosed in prior art not cited in the specification. Recognizing this possibility, the Supreme Court held in Decision No. 2018Da267252, issued the same day, that where the supposed core technical idea was already publicly known at the time of filing, or was effectively no more than whatwas already known, it cannot be considered distinctive to the patented invention, nor can the invention be said to have solved a technical problem left unresolved by the prior art. In such cases, the Court explained, the second part of the five-part test cannot be resolved simply by asking whether that technical idea is embodied in the accused  product or process. Rather, the analysis must proceed by comparing the specific  functions or roles of the individual elements whose equivalence is at issue.   
V. The Third Part of the Test: Ease of Substitution
The third part of the five-part test asks whether the substitution would have been readily conceivable to a person having ordinary skill in the art. A key question is how this inquiry relates to the standard for inventive step. If the threshold under the third part were materially different from the inventive-step standard, there could be a grey area in which a variation is not patentably distinct from the patented invention, yet still falls outside the scope of equivalence. In that event, the variation would be neither patentable nor covered by the patented claim.  The Supreme Court has not articulated a definitive position on this relationship, and Korean case law is generally understood not to treat the third part of the five-part test as fully coextensive with inventive-step analysis. A separate issue concerns the relevant time for evaluating ease of substitution. If the scope of patent protection is determined with reference to the prior art as of the filing date, then, in principle, the third part of the test might also be expected to proceed as of that date. The Supreme Court, however, has taken a different view. Emphasizing that the doctrine of equivalents exists because there are inherent linguistic limitations in claim drafting, and that tolerating minor modifications designed to evade infringement would deprive patent rights of effective protection, the Court held that materials that became publicly available after the filing date but before the time of infringement may also be considered in determining whether the substitution was readily conceivable (Supreme Court Decision No. 2022Hu10210, rendered on February 2, 2023).   
VI. The Fourth Part of the Test: Exclusion of Prior Art
Even before formally adopting the doctrine of equivalents, the Korean Supreme Court had already established the principle that where the accused invention consists solely of publicly known technology, there is no proper basis for comparing it with the patented invention for purposes of identity or similarity. Accordingly, such an invention falls outside the scope of the patent right regardless of the scope of the claims or the degree of similarity between the two (Supreme Court Decision No. 96Hu1750, rendered on November 11, 1997). This principle was later incorporated into the five-part test as its fourth part. Korean law further developed this part of the test so that equivalence is denied not only where the defendant’s technology is identical to prior art, but also where it could readily have been derived from prior art (Supreme Court Decision No. 97Hu2200, rendered on July 28, 2000). This principle applies not only under the doctrine of equivalents but also in cases involving literal infringement (Supreme Court Decision No. 2002Da60610, rendered on September 23, 2004).  
VII. The Fifth Part of the Test: Prosecution History Estoppel
The fifth and final part of the five-part test concerns prosecution history estoppel. Under Korean law, where a particular element was intentionally excluded from the claims during prosecution, that element is treated as excluded from the scope of the patent right.     ■ Scope of Prosecution History Relevant to Estoppel         The Supreme Court recently clarified that the determination whether a particular element was intentionally excluded should not be made solely by comparing the original and amended claim language. Rather, the inquiry must take into account the prosecution history as a whole, including the examiner’s comments, as well as the applicant’s amendments, written arguments, stated reasons for amendment, and discernible intent (Supreme Court Decision No. 2022Hu10210, rendered on February 2, 2023). The Court further explained that the mere fact that the claims were narrowed during prosecution does not by itself mean that all configurations lying between the pre-amendment and post-amendment claim language were intentionally excluded. Such exclusion may be found only where, considering the various circumstances revealed in the prosecution history, including the reason for amendment, it can be concluded that the applicant intended to disclaim a particular configuration — for example, where the applicant narrowed the claims in order to avoid prior art cited in an office action and thereby excluded a configuration appearing in that prior art.          Thus, even where claim amendments were made, the Supreme Court does not apply estoppel mechanically. Instead, it adopts a flexible approach that considers the circumstances surrounding the amendment and the applicant’s intent as revealed through the prosecution history. Pharmaceutical Patent Disputes in Korea’s Biosimilar Era: Key Issues and Emerging Trends  
I. Expiry of Compound Patents on Blockbuster Drugs and the Rise of Biosimilar Competition
  Korean media outlets have reported a number of compound patents on global blockbuster drugs which are set to expire in Korea between 2025 and 2026, heralding what is being called a ”patent cliff.“ Notably, many of these blockbuster drugs are biologics. Given the accelerating entry of biosimilars into the Korean pharmaceutical market, patent disputes in the pharmaceutical sector are expected to increase significantly in the coming years.  In Korea, Samsung Bioepis and Celltrion have long led the biosimilar market, establishing robust product portfolios through aggressive development strategies. Recently however, major domestic pharmaceutical companies traditionally focused on chemical drugs and generics — such as Daewoong Pharmaceutical and Dong-A ST— are also stepping up their efforts to enter and expand biosimilar businesses. This shift may be a strategic move to diversify their revenue streams and strengthen global market presence, aligning with the growing international biosimilar market. Considering the large number of blockbuster biologic drugs facing expiry of compound patents and the expanding involvement of Korean pharmaceutical and biotech firms in the biosimilar industry, pharmaceutical patent disputes in Korea are expected to become more frequent and complex.  Last year, in our last IP Perspective (2025 3ʳᵈ Edition), Lee & Ko examined the latest legal trends concerning the boundary between research activities for clinical trials and patent infringement, focusing on the Korean Supreme Court’s decision in the Prevnar case, the so-called ”Bolar exception.“  Building on that discussion, this article aims to explore key legal and practical issues in Korea’s pharmaceutical patent disputes against the backdrop of compound patents expiring for blockbuster drugs and the intensifying competition in the biosimilar market.  
II. The Growing Significance of Medicinal Use and Dosage-Regimen Patents in Korea: Observation of How Infringement Standards Are Evolving
  Originators typically protect their pioneering pharmaceutical products by a layered portfolio of patents, including not only compound patents but also those covering medicinal uses, dosage regimens, formulations, and manufacturing methods. In therapeutic areas such as oncology and immunosuppression — where biologics are frequently used — drugs are often first approved for an initial indication, followed by the progressive development of additional indications, new dosage regimens, or combination therapies with other drugs, which collectively align with clinical trial pipelines.  In Korea, inventions relating to dosage and administration methods are treated as a form of medicinal use invention. Moreover, elements concerning dosage and administration are recognized as components of a pharmaceutical composition, meaning that inventions directed to the dosage and administration of a drug are formally categorized not as method inventions but as product inventions (Supreme Court Decision No. 2014Hu768, rendered on May 21, 2015; hereinafter, the 2015 Supreme Court Decision). Prior to the 2015 Supreme Court Decision, dosage-regimen elements such as administration schedule or dosing amount were not independently recognized as essential components of an invention. However, the 2015 Supreme Court Decision marked a turning point by holding that administration schedule and dosage can be considered integral elements of a patented invention. The Supreme Court reasoned that when administration methods (e.g., frequency) and dosage are specified in conjunction with a disease indication or therapeutic effect in a pharmaceutical invention, such administration and dosage parameters confer a new functional meaning to the pharmaceutical product. In substance, the Court viewed these features as essentially equivalent to a medicinal use indication.  However, medicinal use inventions are conceptually based on translating methodtype technical ideas into product claims. As such, the “use” component typically lacks physical embodiment. Moreover, since the time of use is often temporally distant from the time of manufacture, it is generally difficult to determine the specific intended use of a product — including administration method and dosage — at the time of its production, export, or other acts of commercial exploitation. For this reason, assessing patent infringement for medicinal use inventions based on the timing of product manufacturing can present significant challenges.   Furthermore, generic and biosimilar manufacturers often adopt “skinny label” strategy to circumvent later-issued use or dosage-regimen patents by excluding such patented indication or dosage regimen from their product label. Infringement determination becomes even more complex when generic and biosimilar manufacturers employ the skinny label strategy. In Korea, there are only a very limited number of lower-court rulings addressing infringement of medicinal use inventions, and they fall far short of forming a wellestablished legal framework. To date, there is no definitive Supreme Court precedent establishing a clear standard for infringement of use or dosageregimen patents. Given the anticipated increase in relevant disputes, case law development in this regard warrants close attention.  Going forward, in disputes involving use and dosage-regimen patents, all stakeholders will need to develop novel legal arguments and conduct in-depth assessments of fact-specific circumstances favorable to their positions. Formulating comprehensive and forward-thinking strategy in this regard – well before actual litigation – is especially critical for originator companies, for example when planning defense strategies in anticipation of biosimilar entry or even at the stage of designing patent portfolios.   
III. Establishing Strategic Timelines and Scenarios for Biosimilar Patent Disputes
  Not only the types of patents subject to dispute but also the timing of when a dispute will arise and who will trigger the initiation of such dispute are of utmost importance when formulating response strategy. These factors influence not only when each party begins preparing for patent litigation but also may significantly shape the overall strategic direction. In Korea, since the implementation of the patent linkage system, the timeline for relevant event triggers and corresponding types of disputes have become somewhat standardized. Generic companies generally aim to enter the market as soon as it becomes legally possible because the generic company which obtains the first generic market approval can enjoy 9-month generic exclusivity. For this reason, they would proactively file negative scope confirmation actions or invalidation trials approximately one to one and a half years before submitting market approval application, which can be submitted immediately after the expiration of the original drug's data exclusivity period (previously called the post-market surveillance period). In this scenario, generic pharmaceutical companies would often utilize the negative scope confirmation action as a major pathway for resolving pharmaceutical patent disputes concerning patents with design-around strategies. Generic companies have favored this negative scope confirmation action strategy because its unique jurisprudence allowed the companies to seek the IPTAB’s confirmation of non-infringement for a product which ‘may be practiced in the future’, even if such product did not precisely match the product actually practiced by them.  However, we have observed in recent trial filing trends in Korea that in the case of biopharmaceuticals, negative scope confirmation actions are not utilized as actively as in the field of generic chemical drugs, most likely because the practical benefit of obtaining the first-approval marketing authorization under the patent linkage system is relatively smaller for biosimilars compared to chemical generics.  This phenomenon may stem from the following factors. First, in the case of generic chemical drugs, the bioequivalence test and approval review periods are relatively short and predictable, with multiple products often receiving approval around similar times.In contrast, biosimilars require a long time from clinical trials to approval review, and their predictability is low. Second, considering that the approval review takes in average more than one year, the benefit conferred from the ’first-mover advantage‘ achievable through a negative scope confirmation action and the 9-month generic exclusivity granted under the patent linkage system becomes somewhat moot. Third, since the number of competing biosimilars is small, the competition to secure such generic exclusivity under the patent linkage system is less intense, thereby reducing the incentive to file negative scope confirmation actions.  Consequently, biosimilar pharmaceutical companies often do not proactively file trials regarding patents for which they have implemented design-around strategies. In such cases, patent disputes typically commence only when the originator takes active enforcement measures by filing infringement lawsuits or requesting positive scope confirmation actions.  In summary, whereas originators used to primarily focus on formulating defense-oriented strategies to respond to proactive trial filings by generic companies, now they must actively consider when and on what cause of action the originators can take proactive enforcement measures before the biosimilar product enters full-scale production and sales. Subsequently, originators now need to deliberate on methods and strategies for collecting evidence to initiate such active enforcement measures more thoroughly than in the past. Overall, this shift demands new strategic considerations for originators.   
IV. Border Enforcement of Patents in Korea: KTC Investigation and KCS Border Measures
Traditionally, main action (civil action) and preliminary injunctions have been the primary enforcement measures for patentees in Korea. However, the increasing number of cases before the courts has sometimes slowed down the enforcement progress, necessitating patentees to seek other more swift enforcement measures. Accordingly, patentees have been more attentive to two such measures: Korea Trade Commission (KTC) investigation and border enforcement through registration with the Korea Customs Service (KCS). KTC is a quasi‑judicial body that investigates unfair trade practices and determines whether an import or export at issue is causing injury to Korean industry. Similar to the ITC practice in the United States, a patentee may request KTC to investigate whether a certain import or export amounts to unfair trade practice. KTC investigation measure confers several meaningful benefits for patentees. Namely, once KTC commences investigation, it has authority to proactively conduct investigations on allegedly unfair practices, such as by inspecting alleged infringer’s premise. This may elicit evidence that may not otherwise be found in traditional enforcement measures. Furthermore, KTC investigation is fast paced. KTC is required by rule to make decision within 10 months at the latest. If KTC investigation finds that an import/export at issue amounts to unfair trade practice, KTC has authority to impose administrative fines, suspend import/export activities, and confiscate the infringing goods.  While KTC investigation is closely connected with KCS, a patentee may also independently register its patent with KCS for border enforcement purposes. By registering a patent with the KCS, a patentee can request customs authorities to monitor the import and export of goods suspected of infringing the registered patent. Once a patent is registered, if customs officials identify potentially infringing goods during the clearance process, they are required to notify the patent registrant. The registrant may then, upon posting a bond, request suspension of customs clearance for the suspected goods.  Patent registration with KCS serves as a proactive measure, allowing patentees to prevent potentially infringing products from entering the Korean market before they reach domestic distribution channels. On the other hand, KTC investigation may provide an early result useful for a patentee to enforce its patents and protect its proprietary interest.  Given the increasing movement of biopharmaceutical and biosimilar products through global supply chains, KTC investigation and patent registration with the KCS are now meaningful supplementary enforcement options for patentees. This border control mechanism deserves attention as part of a comprehensive IP enforcement strategy in Korea.  Recent Supreme Court Ruling on Reforming Luxury Bags The Supreme Court recently issued its first ruling on whether the act of ”reforming“ (remodeling) famous branded products by disassembling them to create new products constitutes trademark infringement (Supreme Court Decision No. 2024Da 311181, rendered on February 26, 2026). While both the first and second instance courts ruled that such “reforming” acts constituted trademark infringement (Seoul Central District Court Decision No. 2022Gahap513476, rendered on October 12, 2023 6; IP High Court Decision No. 2023Na11283, rendered on October 28, 2024), the Supreme Court diverged from this view, holding that the act of reforming for personal use does not, in principle, constitute trademark infringement.   
I. Overview of the Case
  The defendant, a reforming business operator, from 2017 to 2021, reformed genuine bags provided by owners of Louis Vuitton (hereinafter Plaintiff) bags into different forms of bags or wallets and returned these reformed products to the original owners. Consequently, the Plaintiff filed a lawsuit in 2022 against the defendant, seeking an injunction against trademark infringement and damages. The main issues in this judgment were:  ➀ Whether the defendant's reforming acts constituted ”use of a trademark“ under the Trademark Act; and ➁ Whether the Plaintiff's trademark rights had been exhausted.
II. Court's Decision
1. Whether it Constitutes “Use of a Trademark” under the Trademark Act     Under the Trademark Act, “use of a trademark” refers to the act of using a trademark as an indication of source on goods, i.e., items offered in commerce (Article 2, Paragraph 1, Subparagraph 11 of the Trademark Act).     The courts of first and second instance held that the reformed products constitute ’goods‘ insofar as they possess exchange value, even if they were not actually distributed in the market. The courts ruled that trademark use was established because the defendant used fabric bearing the plaintiff's registered trademark, thereby creating the appearance that the plaintiff was the source of the reformed products. Specifically, the act of manufacturing reformed products using such fabric and returning them to the owners was deemed to constitute both the ’act of displaying a trademark on goods‘ under Article 2(1)11(a) of the Trademark Act and the ‘delivering goods’ under subparagraph (b) of the same Article.      In contrast, the Supreme Court held that displaying a trademark on an item used strictly for personal purposes and not offered for commercial transactions does not constitute ‘use of a trademark’ under the Trademark Act. Consequently, trademark infringement — which presupposes the actual use of a trademark — cannot be established in such circumstances.     Accordingly, the Court ruled that when an owner of a registered trademark product engages in reforming, displaying the trademark on the reformed product does not constitute ”use of a trademark“ as long as the product is not distributed in the marketplace and is used solely for personal purposes.      In this regard, the Court held that since the owner's act of reforming a product for personal use is permitted, there is no need to restrict such permission only to cases where the owner performs the reformation personally. The court found no legal basis to distinguish between an owner's self-reformation and the entrustment of such an act to a third party.     Therefore, even if a professional reformer's activities constitute a business operation, such acts are performed at the owner's request as an exercise of their ownership rights, and the resulting product is intended solely for the owner's private use. Consequently, the Court ruled that, in principle, a reformer's act of displaying a trademark on a reformed product does not constitute ’use of a trademark‘.      However, even if a reformer ostensibly provides services for an owner’s personal use, such acts may constitute ’use of a trademark‘ and thus amount to trademark infringement if ’special circumstances’ exist — specifically, where the reformer effectively controls and leads the entire process to produce and sell reformed goods as their own products within the stream of commerce. The Court held that the existence of such special circumstances must be determined by comprehensively considering various factors, including the background and details of the request, the primary decision-maker regarding the product’s purpose and form, the nature of the compensation received, the source and proportion of materials used, and the ownership of the final product. The burden of proof for these special circumstances rests with the trademark owner asserting the infringement.      Furthermore, the Court ruled that a reformer may bear joint legal liability for infringement if it provided services despite knowing, or having reason to know, that the owner requested the reformation for commercial distribution rather than personal use. 2. Whether the Plaintiff's Trademark Rights Were Exhausted     The doctrine of trademark exhaustion refers to the principle that once a product bearing a registered trademark has been lawfully sold, the trademark owner can no longer assert their rights regarding its subsequent distribution. Accordingly, under this principle, the purchaser — the owner of the goods — is free to use, profit from, or dispose of the product, and such exercise of ownership rights generally includes the act of reforming the product.      However, according to established judicial precedents, the doctrine of exhaustion does not apply if the degree of reformation is so significant that it impairs the identity of the original product, effectively amounting to the production of a new product. In such cases, trademark infringement may still be an issue (Supreme Court Decision No. 2002Do3445, rendered on April 11, 20037). Following this logic, the courts of first and second instance in the present case found that the defendant's reformation went beyond mere repair and impaired the product’s original identity, meaning the plaintiff’s trademark rights were not exhausted.       Nevertheless, the Supreme Court held that even when the act could be evaluated as producing a substantially new product, as long as the reformed product is used solely for personal purposes and is not offered for commercial transactions in the marketplace, the act of displaying the trademark during the reformation process does not constitute ‘use of a trademark’ under the Trademark Act. Therefore, the Court concluded that trademark infringement could not be established.   
III. Significance and Implications of the Ruling
This case is the first case that established the legal doctrine regarding whether a reformer’s activities constitute trademark infringement. The Supreme Court’s decision is highly meaningful because it declares for the first time that, in principle, a reformer’s acts performed for an owner’s personal use do not constitute trademark infringement, while simultaneously providing for an exception where infringement may be established under special circumstances. Furthermore, the Court has set forth specific criteria for determining the existence of such special circumstances, offering clear guidance for future cases.   
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2026.03.18
韩国修订《著作权法》:加强网络著作权侵权治理
韩国国会于2026年1月29日表决通过《著作权法》部分修订案,并于同年2月10日正式公布。此次修订旨在建立一套从源头遏制网络侵权内容传播的制度框架。 近年来,随着韩国文化产业(K-Content)在全球范围内的快速发展,数字环境下作品传播与利用的规模显著扩大。在此背景下,各类网络著作权侵权模式持续引发监管关注,主要呈现为以下形式:利用海外服务器运营非法网站,通过提供域名或链接等方式实施侵权行为,以及在非法网站被封禁后快速生成替代站点的所谓“镜像网站”。 本次修订聚焦于网络著作权侵权行为的治理难点,对现行制度进行了多项针对性调整,重点包括以下三个方面: ① 将以营利为目的,运营侵权复制品链接网站或发布侵权内容链接的行为,明确视为著作权侵权行为; ② 针对服务器设在境外的非法网站,新设“紧急阻断制度”; ③ 引入惩罚性损害赔偿制度,并进一步加强刑事处罚。 本次修订案将于公布之日起满六个月后,即自2026年8月11日起正式施行。但考虑到网络侵权治理的紧迫性,其中关于侵权复制品访问阻断及紧急阻断制度的相关条款,将提前至公布后三个月,即2026年5月11日起正式施行。此外,关于惩罚性损害赔偿的条款仅适用于新法施行后发生的侵权行为。 本次修订案的主要内容如下: 1. 新增条款:将“非法经营链接网站或非法发布链接的行为”认定为著作权侵权行为(修订案第124条第1款第4项及第5项规定)     在本次修订前,对于“以营利为目的持续发布侵权复制品链接的行为”,韩国司法实践通常依据韩国大法院全员合议庭于2021年9月9日作出的判决(案件编号:2017DO19025),将其认定为著作权侵权的帮助行为。     本次修订从法律层面作出明确规定,将以下两类行为直接纳入《著作权法》“视为侵犯著作权行为”的范畴:     ① 运营以提供侵权复制品访问链接为主要目的的互联网网站;     ② 明知属于侵权复制品,仍发布可访问该等内容的链接。     通过此次修订,经营以提供侵权复制品链接为目的的“链接网站”或“中介型非法平台”的行为本身即构成著作权侵权,这一规定进一步明确了法律定性,从而使监管机构能够对网络环境中的非法传播内容实施更为有效的治理。 2. 新设“紧急阻断制度”:针对侵权复制品采取访问阻断措施(修订案第133条之2,第33条之3,第133条之4等)     根据本次修订案,对于通过信息通信网络传播的侵权复制品,文化体育观光部(MCST)及韩国著作权保护院(KCOPA)可依法采取访问阻断措施。     具体而言,当仅通过现有的警告,删除或停止传播,封锁账号等措施不足以有效制止侵权行为时,文化体育观光部长官或韩国著作权保护院经审议委员会审查后,可要求在线服务提供者对侵权复制品采取访问阻断措施。     此外,在符合特定条件的情况下,文化体育观光部长官还可无需经审议委员会程序,直接命令采取访问阻断措施。适用条件包括:通过信息通信网络传播侵权复制品的行为,其侵权事实明显,为防止发生难以恢复的损害确有紧急必要,且除访问阻断外无其他适当措施。     尤其值得注意的是,本次修订扩大了相关行政执法机关的权限。此前,针对服务器设在境外的非法网站的访问阻断措施仅能由韩国广播通信审议委员会实施。而经本次修订后,文化体育观光部亦可依法采取该等措施。这意味着,一经发现相关非法网站,各主管机关均可及时采取阻断措施,从而提升对非法网站的执法效率。 3. 引入惩罚性损害赔偿制度(最高五倍赔偿)并加强刑事处罚(修订案第125条及第136条)     本次修订案引入惩罚性损害赔偿制度。根据本次修订案,对于故意侵犯著作财产权财产的行为,法院可在损失金额的五倍以内(最高为损失金额的五倍)确定损害赔偿金额。具体的赔偿金额将综合考虑侵权行为的故意程度,损害规模,侵权行为人所获得的经济利益,侵权行为持续时间及其次数等因素。     惩罚性损害赔偿制度的引入,旨在通过提高侵权成本,加强对故意,反复实施的著作权侵权行为的法律约束。考虑到在数字环境下权利人的实际损失往往难以充分举证,该惩罚性赔偿机制也有助于提升民事救济的实际效果。值得注意的是,本次修订与韩国近年来在《专利法》,《防止不正当竞争法》及《商标法》中逐步上调惩罚性损害赔偿上限的立法趋势保持一致。随着惩罚性损害赔偿制度的引入,权利人在通过民事诉讼程序追究著作权侵权责任时,将拥有更为有效的维权手段,从而提升损害赔偿请求的实现空间。     与此同时,本次修订案亦提高了著作权侵权行为的刑事处罚标准,由原先的“五年以下有期徒刑或五千万韩元以下罚金”上调至“七年以下有期徒刑或一亿韩元以下罚金”。     总体而言,本次修订通过扩大对网络著作权侵权行为的治理范围,加大处罚力度,并强化权利人可采取的损害救济机制,对现行制度作出重要调整。对于从事文化产业的企业而言,本次修订有望进一步提升著作权保护水平;而对于在线平台及在线服务提供者而言,则意味着需要在侵权风险防控及合规管理方面投入更多关注。     韩国广场律师事务所(Lee&Ko)知识产权与技术业务部门在著作权及各类知识产权,技术相关领域的法律咨询与争议解决方面拥有丰富的经验,能够为企业提供专业的法律支持与解决方案。如企业在著作权合规,侵权争议解决及相关法律问题方面需要协助,欢迎随时与韩国广场律师事务所(Lee&Ko)知识产权与技术业务部门取得联系。
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2026.02.23
Recent IP Developments in Korea
Statistical Analysis of Domestic Intellectual Property in 2025 This report analyzes the 2025 statistics on intellectual property applications and Intellectual Property Trial and Appeal Board (IPTAB) cases based on the data published by the Ministry of Intellectual Property (MOIP) in January 2026. While the number of intellectual property applications filed with MOIP in 2025 increased compared to 2024, there was a slight decrease in the number of cases handled by IPTAB. 1. Overall Intellectual Property Application Trends     The total number of IP applications, including applications for patents, utility models, designs, and trademarks, in 2025 reached 582,005 – an increase compared to 2024 (560,629) – and represents an increase of 3.8%. Specifically, the number of applications for patents, utility models, designs, and trademarks increased by 5.9%, 7.9%, 1.3%, and 2.3%, respectively.
[ IP Application Trends in Korea by Year ]
Domestic IP applications can be categorized into those by Korean applicants (Koreans’ applications) and those by foreign applicants (foreigners’ applications). In 2025, Koreans’ applications increased from 475,471 in 2024 to 492,728, and foreigners’ applications also increased from 85,158 in 2024 to 89,277. In 2025, the share of foreigners’ applications was 19.7% for patents, 16.7% for utility models, 11.0% for designs, and 11.9% for trademarks, as depicted in the chart below.  
[ Domestic Applications by Korean and Foreign Applicants in 2025 ]
When analyzing foreigners’ domestic applications by nationality, American applicants (24.7%), Chinese applicants (22.1%), and Japanese applicants (20.6%) rank at the top. In 2025, there were significant increases in the numbers of applications from Chinese applicants (19.4%↑) and Australian applicants (16.5%↑) compared to the previous year, while applications from other nationalities showed only minor fluctuations.  
[ Domestic Applications by Foreign Applicants’ Nationality in 2025 ]
2. Patent Application Trends by Industry     Based on the cumulative number of patent applications filed from January to October 2025, patent filing activity was analyzed by industry. The “computer programming, systems integration, and management services sector” recorded the highest number of applications, with 21,105 filings. This was followed bySemiconductor manufacturing (13,007), Manufacture of measuring, testing, navigation, control, andother precision instruments (10,699), Primary and secondary battery manufacturing (10,624), Basicpharmaceutical substances and biological products (8,490) and Computer manufacturing (5,928).      Patent applications in information and communications technology (ICT)–related industries*, including artificial intelligence and quantum technologies, totaled 27,033 cases, representing a 21.1% increase year-on-year. Meanwhile, primary and secondary battery manufacturing recorded the second-highest growth rate, with patent filings rising by 14.4% compared to the same period in 2024. * The information and communications technology (ICT)–related industries refer collectively to the computer programming, systems integration and management services, and computer manufacturing sectors. Based on the cumulative number of patent applications filed from January to October 2025, major applicants in the domestic secondary battery–related field were analyzed. In line with their strong performance in 2024, the three leading companies in secondary battery — LG Energy Solution, Samsung SDI, and SK On — maintained their positions at the top with 2,569, 2,067, and 625 applications filed, respectively. Hyundai Motor Company filed 370 applications, moving up one place from the same period in 2024 to rank fourth, while LG Chem filed 251 applications, dropping two places year-on-year to rank sixth. Among foreign applicants, Toyota Motor filed 355 applications, ranking fifth and recording an approximately 230% increase compared to the 155 applications during the same period in 2024. CATL filed 326 applications, ranking seventh, down one place from the previous year. 3. Trends in IPTAB cases     In 2025, the total caseload of the IPTAB declined by 5.0% compared to the previous year. Notably, patent invalidation actions dropped by 24%, from 365 cases in 2024 to 277. The approval rates for appeals against rejections of patent·utility model, trademark, and design applications were 31.6%, 57.7%, and 13.9%, respectively. In scope confirmation actions, the approval rate for patents·utility models was 52.2%, an increase from 45.8% in 2024. The approval rates for trademarks and designs in scope confirmation actions were 48.0%, and 48.4%, respectively. In invalidation actions, the approval rate for patents·utility models was 55.0%, a slightly increase from 52.5% in 2024. On the other hand, the approval rate for trademarks was 39.8%, a decrease from 44.4% in 2024. The approval rate for designs was 54.0%. The approval rate for requests for cancellation for patents·utility models was 28.1%, an increase from 23.2% in 2024, which is lower than that of invalidation actions.   
[ Trends in IPTAB Proceedings in 2025 ]
Key Changes to Korea's Design Practice in 2026 Following the Ministry of Intellectual Property’s recent amendment to the Design Protection Act, fundamental changes are taking shape across the full spectrum of design patent filing and dispute resolution practices. This amendment, which took effect on November 28, 2025, is primarily aimed at addressing structural loopholes in the PartialSubstantive Examination System (PSES). In particular, it seeks to curb unauthorized registrations and abuses of rights, while expanding remedial mechanisms that enable legitimate rights holders to more effectively recover misappropriated designs.  At the same time, the amendment streamlines application procedures to reduce the administrative burden on applicants and enhance filing efficiency, while placing greater emphasis on pre-review in the context of partially examined design applications. 1. Improvement of Partial-Substantive Examination System (PSES)     The PSES has been operated to facilitate the rapid acquisition of design rights, particularly for product categories with short trend or market life cycles. However, as the number of cases has increased in which already well-known designs are registered under the PSES and subsequently used to monopolize sales or assert rights against distribution channels, concerns regarding abuse of the system have been consistently raised, underscoring the need for corrective measures.     Under the recent revision of the system, even applications filed under the PSES may now be refused registration where an examiner identifies clear grounds for rejection, such as a lack of novelty. As it is no longer appropriate to assume a high likelihood of registration merely because an application is subject to partialsubstantive examination, the importance of conducting thorough prior-design reviews and carefully structuring rights-acquisition strategies from the filing stage has increased significantly. 2. Extension of Opposition Filing Period     The opposition system has been refined to enhance its practical effectiveness. Under the previousframework, an opposition was required to be filed within three months from the date of publication  of the registration, a timeframe that was often viewed as unduly restrictive in practice.     Under the revised system, where an infringement notice has been received, an opposition may now be filed within three months from the date of such notice, provided that the filing occurs within one year from the registration publication date. As cases increasingly arise in which the timing of an infringement notice or a platform-imposed sanction at a distribution channel serves as a decisive turning point, there is a growing tendency to formulate opposition strategies in close coordination with the exercise of rights. 3. Expansion of Rights Recovery Options through Claims for Transfer of Design Rights     Under the previous framework, where a third party wrongfully registered a design belonging to another, the legitimate owner was required to initiate an invalidation proceeding to cancel the unlawful registration and subsequently file a new application in order to secure rightful ownership. This multi-step process was not only costly and time-consuming, but also left the legal status of the design right uncertain during the intervening period.     Under the revised system, a legitimate right holder may file a claim for transfer of the design right before the competent court and, upon a favorable ruling, be directly registered as the owner of the design. Depending on the circumstances of the case, rights holders may now choose between pursuing invalidation followed by reapplication or seeking a direct transfer of the design right, thereby enabling a more strategic assessment of the most efficient enforcement pathway at the outset of a dispute.     In corporate practice, comprehensive records relating to the creation of the design, documentation evidencing ownership, and well-drafted agreements with collaborators or thirdparty contractors (including outsourcing arrangements) can serve as decisive evidence in postdispute enforcement. In cases involving misappropriated design registrations, the availability of robust documentary evidence supporting legitimate ownership can significantly accelerate and streamline the rights recovery process. 4. Streamlining Design Application Formalities     To alleviate the administrative burden at the filing stage, the requirement to include a summary of the creation details in design registration applications has been abolished. Under the previous framework, this requirement frequently resulted in redundant descriptions of matters already apparent from the drawings and specifications, or led to amendments necessitated by minor inconsistencies in wording.     The removal of this requirement not only reduces the preparatory burden on applicants, but also reinforces the principle of drawing-oriented examination by placing greater emphasis on the visual disclosure of the design.      With respect to partial designs, the requirements for designating the subject matter of protection have been relaxed. Previously, applicants were required to designate the name of the entire product even where protection was sought only for a specific portion thereof.     Under the revised system, applicants may now designate either the overall product or the specific portion being claimed. This change enables a more intuitive and precise indication of the scope of protection, thereby enhancing clarity in rights interpretation and contributing to the prevention of future disputes.     A special judicial police officer is an administrative public official designated by the chief prosecutor of the competent district prosecutors’ office to conduct investigations within a specific scope of authority. To effectively crack down on industrial property rights infringement, industrial property special judicial police officers are designated, and the Ministry of Intellectual Property (MOIP) operates the Technology & Design Police Division and the Trademark Police Division. Separately, MOIP also operates the Unfair Competition Investigation Division. Introduction to the Special Judicial Police System of the Ministry of Intellectual Property (MOIP) A special judicial police officer is an administrative public official designated by the chief prosecutor of the competent district prosecutors' office to conduct investigations within a specific scope of authority. To effectively crack down on industrial property rights infringement, industrial property special judicial police officers are designated, and the Ministry of Intellectual Property (MOIP) operates the Technology & Design Police Division and the Trademark Police Division. Separately, MOIP also operates the Unfair Competition Investigation Division. 1. Personnel, Duties, and Legal Basis of the Special Judicial Police Divisions     Pursuant to “the Act on the Persons Performing the Duties of Judicial Police Officers and the Scope of Their Duties,” the Trademark Police Division was first established in 2010, followed by the establishment of the Technology & Design Police Division in 2019. In addition, the Unfair Competition Investigation Division was formed in 2017 and has been conducting investigations into violations of “the Unfair Competition Prevention and Trade Secret Protection Act.” To further strengthen intellectual property protections, amendments were made to the prosecution of patent, utility model, and design right infringements. Where previously a victim had to file a formal complaint for prosecution to commence, authorities can now pursue prosecution unless the victim objects, thereby enabling more strategic, intelligence-based investigations. As a result, the role of the special judicial police for intellectual property rights has been significantly expanded. The following table summarizes the personnel and scope of duties of each special judicial police division and the Unfair Competition Investigation Division. * Former special judicial police officer at MOIP Investigations by the Technology & Design police proceed in accordance with the workflow illustrated in the flowchart below. Specifically, when a complaint or accusation is filed, or when an investigator becomes aware of an infringement, the procedure advances through an examination of the complainant and an investigation of the suspect. If the suspicion is substantiated, the case is referred to the prosecution.
[ Investigation Process of the Technology Police ]
2. Enforcement Status     The Special Judicial Police of the MOIP have received and investigated approximately 150 to 200 complaints of intellectual property infringement each year over the past five years (involving roughly 350 to 500 individuals under investigation). Of these, approximately 100 to 180 cases (involving 250 to 350 suspects) were determined to have sufficient grounds for charges and were referred to the prosecution. The consistency rate between prosecutorial dispositions and the referral opinions of the Special Judicial Police reaches approximately 92%, demonstrating the high level of expertise the Special Judicial Police possess in the field of intellectual property infringement. In 2025 alone, the retail value of counterfeit goods seized by the Trademark Special Judicial Police as a result of enforcement actions exceeded KRW 400 billion. 3. Recent Enforcement Trends     As methods of intellectual property infringement have become increasingly sophisticated, the importance of collecting and analyzing digital evidence has grown significantly. Accordingly, the Technology and Design Police have deployed digital forensic equipment and are actively collecting and analyzing digital evidence.       Intellectual property infringement through short-lived, fragmented sales networks on SNS, live commerce platforms, and members-only group purchasing schemes is difficult to detect using traditional complaint-based investigation techniques. To address these challenges, authorities are actively securing evidence of infringement through online monitoring and proxy purchases of counterfeit goods, and subsequently taking measures such as suspending online sales or linking these cases to planned investigations. As described, the Special Judicial Police system of the MOIP serves as a key criminal enforcement mechanism against intellectual property infringement. With their high level of expertise in this field, the Special Judicial Police are well-positioned to handle cases of intellectual property infringement in Korea. Accordingly, filing a criminal complaint with the Special Judicial Police may be a viable option for those seeking to address such violations.  Recent Developments in the Ministry of Intellectual Property(MOIP) 1. Official Launch and Enhanced Status of the ‘MOIP’     As of October 1, 2025, the Korean Intellectual Property Office (KIPO) has been elevated to the ‘Ministry of Intellectual Property (MOIP),’ an agency directly under the Prime Minister’s Office, and has officially commenced operations as the government’s central coordinating body for national intellectual property policy. More than a simple name change, the launch of the MOIP signifies strong momentum for the integrated, government-wide management of the creation, protection, and utilization of intellectual property. 2. Enhancing AI-Based Intelligent Examination Support Systems     The MOIP is implementing artificial intelligence technologies to enhance both the speed and accuracy of the examination process.     Since December 2025, an upgraded ‘AI-based design search system’ has been in full operation, improving the accuracy of image searches based on approximately 520,000 newly added training data items. Furthermore, from early 2026, a pilot service for an ‘AIdriven patent sentence search system’ has been launched that is capable of understanding context and meaning beyond conventional keyword-based searches.     This transition to AI-based systems is expected to facilitate comprehensive prior art reviews, thereby providing applicants with highly reliable examination outcomes.  3. Establishing Global Standards Through Pursuit of Accession to the Patent Law Treaty (PLT)     The MOIP has announced a roadmap to complete its accession to the Patent Law Treaty (PLT) by 2029, with the aim of enhancing convenience for applicants and lowering barriers to obtaining patents.     Once the PLT takes effect, language requirements for filing an application will be relaxed, allowing applicants to file in any language they use, rather than only Korean and English.     In addition, certain administrative procedures, such as the transfer of patent rights, will be possible based solely on a handwritten signature, dispensing with notarization procedures or authentication documents. Furthermore, exceptions that allow overseas applicants to pay fees or file an application directly without a local agent are expected to be expanded.     Above all, remedies for restoring rights will be strengthened even in cases where statutory deadlines are missed due to formal errors or mistakes, which is expected to reduce the risk of applicants losing valuable rights as a result of procedural deficiencies. 4. Updating the Examination Practice Guidelines for the AI Inventions Reflecting the Evolving Technology Landscape     The MOIP has recently revised the ‘Examination Practice Guidelines for the AI Invention’ by adding new examination cases to address the rapid advancements in generative AI and on-device AI technologies.     This revision adds five specific examination cases, ranging from logo design generation technologies using generative AI to AI application cases in the biotech field, such as compositions for the treatment of Alzheimer’s disease, thereby providing applicants with practical guidance.     The revised Guidelines clarify that for generative AI-related inventions, an inventive step may be recognized only where there are distinguishing features beyond the mere use of the technology (such as configurations for post-processing output data) and where the invention includes specific technical characteristics that surpass the predicted effects. In addition, in the chemical and biotech fields, it is specified that even if the effects can be predicted through AI, experimental data confirming the properties of the compounds and/or test examples evidencing pharmacological effects should be expressly described in the specification.      This revision aims to address potential uncertainties that may arise when filing complex inventions involving AI technologies in Korea, and to provide guidance for developing strategies to secure high-quality patent rights. 5. Enhancing IPTAB Proceedings for Faster Dispute Resolution     Under the revised regulations effective August 8, 2025, patent trial proceedings have been reorganized to reflect the practical needs in the field. In particular, for appeals against decisions of final rejection in advanced strategic industries, such as semiconductors, an accelerated trial may now be granted solely upon the applicant’s request.     In addition, for cases related to unfair trade practice investigations by the Korea Trade Commission, IPTAB’s administrative judges have been empowered to expedite trials ex officio. This measure is designed to prevent prolonged trade disputes related to intellectual property infringement and ensure the availability of effective remedies.     Further, by promoting a trial–mediation linkage system that encourages amicable settlement between the parties during IPTAB’s trial proceedings, a legal mechanism has been introduced to resolve disputes efficiently.
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2025.06.24
Landmark IP High Court Decision Expands Patent Protection for Online Cross-Border Commerce
In a significant win for patent holders operating in the digital marketplace, the IP Group at Lee & Ko has secured a pivotal ruling from Korea’s IP High Court. The Court recognized that posting and selling products covered by Korean patents on overseas e-commerce platforms can constitute an "offer for sale" in Korea and may infringe Korean patent rights. The case involved a Chinese company, referred to as “Company Y,” that had been advertising and selling products covered by a Korean-registered patent held by “Company L,” an Italian sock knitting machine manufacturer. Company Y listed the products on the Chinese e-commerce platform Alibaba and on its own website. Importantly, these listings included product information in Korean, prices were displayed in Korean won, and Company Y offered delivery options to Korea. Customer service and inquiries were also made available in Korean, indicating a clear intention to serve Korean consumers. At the heart of the dispute was a foundational issue in international patent law: whether actions taken outside Korea—specifically, posting a product on a foreign website or e-commerce platform—could legally be interpreted as a domestic "offer for sale" under the Korean Patent Act. The general principle of patent law holds that patent rights are territorially bound. Company L faced an initial setback when the Seoul Central District Court dismissed its patent infringement claim and held that the postings made on Alibaba’s e-commerce platform could not constitute domestic patent infringement. The district court reasoned that the key elements of the offer for sale—the seller, the product, and the price—were overseas. Upon appeal, however, Lee & Ko’s attorneys presented a compelling argument for a more nuanced and modern interpretation of the law on behalf of Company L. The firm emphasized the need to adapt patent protection to the realities of global e-commerce, where companies routinely market and sell products to international consumers without physical presence in the target country. On behalf of Company L, Lee & Ko pointed to international trends where courts are increasingly willing to look beyond strict territorial boundaries in cases involving digital commerce. Crucially, the appellate trial team highlighted several key factors: the deliberate use of Korean-language summaries on sales pages, pricing in Korean won, shipping availability to Korea, and the operation of a Korean-language customer service interface. By focusing on these targeted elements, the firm argued convincingly that Company Y’s offer for sale amounted to an act that fell within the protection of the Korean Patent Act. The IP High Court agreed with Lee & Ko’s practical application of the statutory framework. In a breakthrough judgment, the IP High Court held that Company Y’s online activities were a substantial and direct targeting of Korean consumers—making the activity indistinguishable, in practice, from an offer for sale in Korea, thereby infringing on Company L’s patent rights. The Court granted the injunction requested by Company L and marked the first time a Korean court has ruled that online postings made by a foreign company can qualify as domestic infringement if they effectively solicit business from consumers in Korea. This landmark patent case is expected to have far-reaching implications. It provides a precedent for Korean patent holders to enforce their patents against infringing products offered in Korea through international platforms even when the seller is based abroad. By relaxing the traditionally strict territorial interpretation of Korean patent rights, the IP High Court ruling strengthens the practical enforceability of Korean patents in a borderless digital economy. The ruling also sends a clear message to foreign businesses that if your online sales activity is directed at Korean consumers, you may fall under the purview of Korean patent law regardless of where your servers are located. As online commerce continues to expand globally, this decision sets an important benchmark for adapting Korean IP law to a rapidly-evolving digital landscape around the world.  
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