Bifolck v. Philip Morris, Inc.
Filing
177
ORDER granting in part and denying in part 169 Motion to Certify Questions to the Connecticut Supreme Court. Signed by Judge Stefan R. Underhill on 02/14/2014. (Freuden, S.)
UNITED STATES DISTRICT COURT
DISTRICT OF CONNECTICUT
Vincent J. Bifolck, Individually and as
Executor of the Estate of Jeanette D.
Bifolck,
Plaintiff,
CIVIL ACTION NO.
3:06cv1768 (SRU)
v.
Philip Morris, Inc.,
Defendant.
ORDER CERTIFYING QUESTIONS TO THE
CONNECTICUT SUPREME COURT
This is a diversity action asserting Connecticut state law claims pursuant to the
Connecticut Product Liability Act (“CPLA”), Conn. Gen. Stat. § 52-572m et seq. The plaintiff,
Vincent J. Bifolck, individually and as Executor of the Estate of his deceased wife, Jeanette D.
Bifolck, brings CPLA claims for wrongful death and loss of consortium, alleging that the
Marlboro and Marlboro Lights cigarettes produced and sold by defendant Philip Morris and
smoked by his late wife were defectively designed and manufactured. He seeks compensatory
damages and statutory punitive damages, pursuant to section 54-240b of the CPLA.
Bifolck initiated this lawsuit in 2006; five and a half years after Jeanette Bifolck
succumbed to lung cancer at the age of 42. Jeanette Bifolck smoked Marlboro or Marlboro
Lights (collectively, the “cigarettes”) for nearly thirty years. Bifolck alleges that toxic
ingredients in the cigarettes were responsible for his wife’s lung cancer and ultimate death.
Bifolck’s CPLA claims are grounded in strict liability, for defective design of the cigarettes, and
negligence, for negligent design and manufacture of the cigarettes.
With respect to strict liability, Bifolck asserts that the cigarettes were defective and
unreasonably dangerous in that they (1) contained added ingredients (including carcinogenic
additives) that altered the natural form of the tobacco in the cigarettes, and (2) utilized
manufacturing processes affecting the composition of the tobacco in the cigarettes, the amount,
form, and potency of the nicotine in the tobacco, and the manner in which cigarette smoke was
transmitted to the smokers. Bifolck contends that these design and manufacturing processes
rendered the cigarettes unnecessarily addictive and unnecessarily carcinogenic. See Proposed
Am. Compl. ¶¶ 19-32 (doc. # 167-1).1
With respect to negligence, Bifolck contends that Philip Morris failed to comply with the
standards of care applicable to the design and manufacture of cigarette products by a prudent
cigarette manufacturer by: (1) designing the cigarettes knowing of their addictive and toxic,
cancer-causing properties; (2) knowingly designing and manufacturing the cigarettes in a way
that enhanced their addictive and cancer-causing nature; (3) failing and refusing to implement
changes to the design of the cigarettes that would have reduced their addictive nature; and (4)
failing and refusing to implement changes in the design of the cigarettes that would have reduced
the levels of toxic and cancer-causing ingredients in them. Id. ¶¶ 33-47.
In a case involving similar claims that was also on my docket, Izzarelli v. R.J. Reynolds
Tobacco Co., No. 3:99-cv-02338-SRU, the Second Circuit Court of Appeals recently certified
the question whether Comment i to section 402A of the Restatement (Second) of Torts precludes
a strict products liability suit against a cigarette manufacturer where there is evidence that the
defendant purposefully manufactured cigarettes to increase daily consumption without regard to
the resultant increase in exposure to carcinogens, but no evidence of adulteration or
1
I granted Bifolck’s Motion to Amend/Correct (doc. #167) on December 27, 2013. Doc. # 176. Although an
amended complaint has not yet been filed, I treat the Proposed Amended Complaint (doc. # 167-1) rather than the
original Complaint (doc. #1) as the operative pleading in this suit.
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contamination. Izzarelli v. R.J. Reynolds Tobacco Co., 731 F.3d 164, 169 (2d Cir. 2013). The
resolution of that issue will likely determine whether Bifolck’s strict liability claims are viable in
this case.
Philip Morris has repeatedly asserted that under Connecticut law, section 402A and
Comment i apply to CPLA claims grounded in negligence as well. See Def.’s Mem. Supp.
Summ. J. 23 (doc. # 87); Def.’s Opp. Cert. 5-7 (doc. # 173). Bifolck disputes that contention,
and argues that a product need not be “unreasonably dangerous” in a claim for negligent design.
Until now, it has been unnecessary to confront this issue directly, because on summary judgment
I ruled that there were genuine issues of material fact for trial under both theories, based on my
interpretation of Comment i. That interpretation, however, is currently before the Connecticut
Supreme Court in the Izzarelli case. And if, as Philip Morris asserts, section 402A and Comment
i apply to a CPLA claim grounded in negligence, the results of the certification proceedings may
call into doubt the viability of Bifolck’s negligence claims as well.
In light of Philip Morris’ position and the certification proceedings in Izzarelli, Bifolck
moves to certify two questions addressing the standard for determining whether a product is
“defective” in a CPLA claim for negligence – specifically: (1) whether a plaintiff asserting a
CPLA claim grounded in negligence must identify a defect that renders a product “unreasonably
dangerous,” as provided in section 402A of the Restatement (Second) of Torts and Comment i to
that provision; and (2) if the answer is in the affirmative, whether Comment i precludes a CPLA
claim against a cigarette manufacturer for negligent design of a cigarette absent proof of
adulteration or contamination of the tobacco in the cigarette. Bifolck also seeks certification of a
third question: whether the CPLA subsumes or abrogates the Connecticut common-law rule for
calculating punitive damages. Although not central at the liability stage, the punitive damages
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issue arose in Izzarelli, and was an unsettled question of Connecticut law.
Philip Morris objects to certification of these questions, arguing that the relevant issues
are now settled and that certification would be inappropriate, because the Second Circuit
declined to certify the punitive damages question in Izzarelli or to amend its certification order to
encompass CPLA claims grounded in negligence.
I.
Discussion
Under Connecticut law, “[t]he Supreme Court may answer a question of law certified to
it by a court of the United States . . . if the answer may be determinative of an issue in pending
litigation in the certifying court and if there is no controlling appellate decision, constitutional
provision or statute of this state.” Conn. Gen. Stat. § 51-199b(d). When deciding whether to
certify a question to the Connecticut Supreme Court, a court should consider, among other
factors: “(1) the absence of authoritative state court decisions; (2) the importance of the issue to
the state; and (3) the capacity of certification to resolve the litigation.” O'Mara v. Town of
Wappinger, 485 F.3d 693, 698 (2d Cir. 2007). “Where a question of statutory interpretation
implicates the weighing of policy concerns, principles of comity and federalism strongly support
certification.” Parrot v. Guardian Life Ins. Co. of Am., 338 F.3d 140, 144 (2d Cir. 2003).
A. Whether Section 402A and Comment i Apply in a CPLA Negligence Claim
The CPLA was intended to merge the various common law theories of products liability
into a single cause of action in order to simplify pleadings and procedures. See Lynn v.
Haybuster Mfg., Inc., 226 Conn. 282, 292 (1993). Claims under the CPLA are “in lieu of all
other claims against product sellers, including actions of negligence, strict liability and warranty,
for harm caused by a product.” Conn. Gen. Stat. § 52-572n(a). “With the consolidation of all
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product liability claims into a single form of action, the CPLA became the ‘exclusive remedy for
claims falling within its scope.’” LaMontagne v. E.I. du Pont de Nemours & Co., Inc., 41 F.3d
846, 855-56 (2d Cir. 1994) (quoting Winslow v. Lewis-Shepard, Inc., 212 Conn. 462, 471
(1989)). Therefore, a plaintiff may not assert a cause of action against a product seller for harm
caused by the product except within the framework of the CPLA. See, e.g., Daily v. New Britain
Machine Co., 200 Conn. 562, 571-72 (1986). A plaintiff, however, retains the right “to allege
the traditional theories of recovery,” as long as he does so “under one unified count denominated
as a ‘product liability claim.’” Lamontagne v. E.I. du Pont de Nemours & Co., Inc., 834 F. Supp.
576, 587 (D. Conn. 1993) (internal citations omitted), aff’d , 41 F.3d 846 (2d Cir. 1994); see also
Lynn, 226 Conn. at 288-90 (noting that the Connecticut Legislature intended “to eliminate the
complex pleading provided at common law” rather than “creat[e] a wholly new right” or
eliminate common-law substantive rights).
The CPLA does not lay out the elements of claims under the various theories it
consolidates. The Connecticut Supreme Court has adopted the “consumer expectations” test set
forth in section 402A and Comment i for CPLA claims grounded in strict liability. See, e.g.,
Wagner v. Clark Equip. Co., 243 Conn. 168, 189-90 (1997); Potter v. Chicago Pneumatic Tool
Co., 241 Conn. 199, 208-12 (1997). In order to recover under the doctrine of strict liability, a
plaintiff must prove: (1) the defendant was engaged in the business of selling the product; (2) the
product was in a defective condition unreasonably dangerous to the consumer or user; (3) the
defect caused the injury for which compensation was sought; (4) the defect existed at the time of
the sale; and (5) the product was expected to and did reach the consumer without substantial
change in condition. Giglio v. Connecticut Light & Power Co., 180 Conn. 230, 234 (1980)
(citing Restatement (Second) of Torts § 402A (1965), and Rossignol v. Danbury School of
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Aeronautics, Inc., 154 Conn. 549, 562 (1967)). As defined in Comment i, a product typically is
“unreasonably dangerous” if it is “dangerous to an extent beyond that which would be
contemplated by the ordinary consumer who purchases it, with the ordinary knowledge common
to the community as to its characteristics.” § 402A cmt. i.2
CPLA claims grounded in negligence, by contrast, are analyzed under Connecticut
common-law negligence principles, which require the existence of a duty to the consumer, a
breach of that duty, causation and damages. See, e.g., LaMontagne, 41 F.3d at 855-56; Coburn
v. Lenox Homes, Inc., 186 Conn. 370, 375 (1982). The questions presented by Bifolck relate to
the appropriate standard of care. Both parties acknowledge that the CPLA requires a plaintiff to
prove that the product in question is “defective,” regardless of whether his claim is grounded in
strict liability or negligence. See, e.g., Faux v. Thomas Indus., Inc., No. CV89-0233934S, 1992
WL 293230 (Conn. Super. Ct. Oct. 8, 1992) (“[D]efectiveness is an essential element of a
product liability action based on negligence as well as one based on strict tort liability.”). But,
they dispute whether a negligently designed product must also be “unreasonably dangerous” as
provided in section 402A and defined in Comment i.
Whether section 402A and Comment i apply in a negligence action is critical, because
Comment i provides that “[g]ood tobacco is not unreasonably dangerous merely because the
effects of smoking may be harmful; but tobacco containing something like marijuana may be
unreasonably dangerous.” The question certified in Izzarelli asks whether those statements
preclude a strict liability claim against a cigarette manufacturer that purposefully manufactured
2
In Potter, the Connecticut Supreme Court affirmed its adherence to section 402A’s “consumer expectations” test,
but adopted a modified version of the test for particularly complex products, whereby a jury must “consider the
product’s risks and utility and then inquire whether a reasonable consumer would consider the product unreasonably
dangerous.” 241 Conn. at 220-21. Either way, though, a product must be “unreasonably dangerous” before a
product seller can be held strictly liable for a product that causes harm. Id.
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cigarettes to increase daily consumption in the absence of contamination or adulteration of the
tobacco. If the Connecticut Supreme Court answers that question in the affirmative, then the
viability of Bifolck’s negligent design claim will be in jeopardy unless section 402A’s
“unreasonably dangerous” requirement does not apply.
Bifolck asserts that section 402A was not meant to apply in a negligence action, because
section 402A is a rule “of strict liability, making the seller subject to liability to the user or
consumer even though he has exercised all possible care in the preparation and sale of the
product.” § 402A cmt. a (emphasis added). Moreover, Comment a makes clear that section
402A “does not preclude liability based upon the alternative ground of negligence of the seller,
where such negligence can be proved.” Id. Bifolck contends that section 402A’s requirement
that a product must be “unreasonably dangerous” is a ratcheted up standard intended to temper
the exposure of product sellers in cases where the plaintiff is relieved of the obligation to prove
fault. In essence, the “unreasonably dangerous” standard was included to prevent “strict
liability” from becoming “absolute liability” for product sellers whose products cause injury to
consumers. Although a product must be “defective” in both strict liability and negligence cases,
in a negligence action a product may be defective without being unreasonably dangerous. See
Pl.’s Mem. Supp. Cert. 7-11 (doc. # 170).
Bifolck recognizes that the Connecticut appellate courts have not expressly adopted this
position. Instead, he argues that the issue is unsettled and, in light of Lynn, “there is
unquestionably a significant issue as to whether the requirements of § 402A were intended to be
added to the preexisting elements of a cause of action in Connecticut for negligent product
design or manufacture.” Id. at 11. Philip Morris disagrees, asserting that the Connecticut
Supreme Court’s decision in Wagner and several lower court cases make it clear that, whether
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grounded in strict liability or negligence, a CPLA claim must involve a defective product that is
“unreasonably dangerous,” pursuant to section 402A. Def.’s Opp. Cert. 6 (citing Wagner, 243
Conn. 168; White v. Mazda Motor of Am. Inc., 139 Conn. App. 39 (2012), cert. granted on other
grounds, 307 Conn. 949 (2013); Bergeron v. Pacific Food, Inc., No. CV075001992S, 2011
WL1017872, at *3 (Conn. Super. Ct. Feb. 14, 2011); Martone v. C. Raimondo & Sons Constr.,
No. CV00070497S, 2002 WL 31234758, at *2 (Conn. Super. Ct. Aug. 28, 2002); Faux, 1992
WL 293230, at *3).
Only two of the cases cited by Philip Morris can be read to take an affirmative stance on
this issue, and both were decided at the Superior Court level. See Bergeron, 2011 WL1017872,
at *3 (“Since the CPLA was not meant to eliminate common-law substantive rights courts should
assess the plaintiff’s theories of recovery in light of the Connecticut common-law
requirements. . . . Nevertheless, in any products liability action, the plaintiff must plead and
prove that the product was defective. . . . A product is defective when it is unreasonably
dangerous to the consumer or user.” (internal citations and quotation marks omitted)); Faux,
1992 WL 293230, at *3 (finding verdict inconsistent where jury found defendant not liable on
strict liability claim, because product was not “unreasonably dangerous and defective,” but liable
on negligent design claim). Raimondo does not appear to have involved a CPLA negligence
claim at all; the plaintiff brought a claim against a general contractor for negligent maintenance
of a job site and a separate CPLA strict liability claim against the product seller for design
defect. 2002 WL 31234758, at * 1. The discussion of section 402A applied only to the strict
liability claim and related only to whether expert testimony was necessary to prove that the
product was “unreasonably dangerous.” Id. at *2. Similarly, although Mazda involved both
CPLA strict liability and negligence claims, its discussion of 402A singled out strict liability and
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related to the necessity of expert testimony to establish that a product was “unreasonably
dangerous.” 139 Conn. App. at 48-50.
In Wagner, the Connecticut Supreme Court considered, among other things, whether the
jury should have been instructed on a forklift’s compliance with an OSHA regulation in a CPLA
action. 243 Conn. at 186-91. The OSHA regulation had been admitted into evidence on the
plaintiff's theories of strict liability and negligence, and the Court held that the trial court should
have instructed the jury that it could consider the evidence of compliance “in determining
whether the forklift was defectively designed and whether the defendants acted with due care in
their design and distribution of the forklift.” Id. at 186-87.
In the course of its discussion of the jury-instruction issue, the Court stated that section
402A provides the standard for determining whether a product is defectively designed. Id. at
189. It is not clear, however, whether the Court was addressing the negligence claim in that part
of its analysis, or whether it was simply explaining the probative value of an OSHA regulation in
a strict liability claim. See id. (Stating that section 402A provides “the standard to be used in a
product liability action for determining whether a product is defectively designed” but also
noting that section 402A’s “‘consumer expectation’ standard is now well established in
Connecticut strict products liability decisions.” (emphasis added)).
The Wagner Court was not focused on the differences, if any, between the standards for
strict liability and negligence in a CPLA action, because “[t]he jury was not asked, and did not
indicate, whether its verdict was based on negligence, strict liability, or both” and, for the most
part the parties “likewise [did] not differentiate[] their arguments between the two theories.” Id.
at 176 n.8. The plaintiff had alleged that the forklift was “unreasonably dangerous because it
lacked a standardized warning system sufficient to gain the attention of drivers and pedestrians
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when used in an industrial setting,” and “[t]his alleged design defect was the basis for the
plaintiff's negligence and strict liability claims.” Id. at 190. Clearly, it is possible for a
negligently designed product to be defective because it is unreasonably dangerous, but that does
not resolve whether it must be unreasonably dangerous to be defective. The Wagner Court saw
no need to inquire into issues with which it was not presented. Id. In this case, however,
whether section 402A’s “unreasonably dangerous” requirement applies in a CPLA claim of
negligent design is squarely before me, the resolution of that question is critical to the outcome
of the case, and no authoritative Connecticut precedent provides an answer.
Philip Morris argues in the alternative that, even if the law is not settled, I should not
certify this question because the Second Circuit declined to amend its certification order in
Izzarelli to encompass the applicability of section 402A to a negligence claim. The Second
Circuit, however, provided no indication why it declined to certify this issue. I am presented in
this case with what I view to be unsettled question of Connecticut law, which is substantially
related to an issue currently pending before the Connecticut Supreme Court. I believe that it is in
the interests of judicial economy to have both questions decided together, because clarification of
these issues will impact future tobacco litigation in this state, as well as product liability actions
more broadly. Therefore, I grant certification of Bifolck’s first question; whether section 402A’s
requirement that a product be “unreasonably dangerous” and Comment i’s definition of that term
apply in a CPLA claim grounded in negligence.
There is no need to certify Bifolck’s second question, however, because the Connecticut
Supreme Court will determine the correct interpretation of Comment i itself in Izzarelli. If the
Court determines that section 402A and Comment i apply to both strict liability and negligence
claims under the CPLA, then the Court’s interpretation of Comment i in Izzarelli will provide
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sufficient guidance to resolve the issue here. If section 402A and Comment i do not apply in a
negligence case, then the plaintiff’s proposed question is moot.
B. Whether Connecticut’s Common-Law Punitive Damages Rule Applies
The punitive damages provision of the CPLA limits such damages to “an amount equal to
twice the damages awarded to the plaintiff,” Conn. Gen. Stat. § 52-240b, but the statute does not
indicate how a judge should calculate those damages. Prior to the enactment of the CPLA,
punitive damages in product liability actions were calculated under the common-law rule, which
limits punitive damages to the expenses of litigation less taxable costs. Waterbury Petroleum
Products, Inc. v. Canaan Oil & Fuel Co., 193 Conn. 208, 235-38 (1984); Hanna v. Sweeney, 78
Conn. 492 (1906). Generally, where a statute authorizing punitive damages is silent about how
they should be calculated, a court should follow the common-law rule. See Arnone v. Enfield, 79
Conn. App. 501, 521-22 (Conn. App. 2003). In Izzarelli, however, the plaintiff argued that
differences between the common law and statutory product liability causes of action indicated
that the CPLA abrogated the common-law formulation of punitive damages. See Izzarelli, 767
F. Supp. 2d at 327.
The language of the CPLA and its legislative history provide no indication whether the
CPLA’s punitive damages provision incorporates or abrogates the traditional common-law
formulation. Id. At the time I took up the issue in Izzarelli, no Connecticut appellate court had
ever been called upon to answer this question and two Connecticut Superior Court decisions had
reached conflicting conclusions. Id. (comparing Roome v. Shop–Rite Supermarkets, Inc., No.
020281250, 2006 WL 2556572 (Conn. Super. Aug. 16, 2006), with Russo v. Conair Corp., No.
030483600, 2004 WL 1730136 (Conn. Super. June 30, 2004)). Because there was no binding
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authority from the Connecticut appellate courts, I predicted what the Connecticut Supreme Court
would decide if presented with the question. Id. Ordinarily, I would have sought to have the
Connecticut Supreme Court resolve the issue by seeking certification, but I was concerned about
further delay in a lawsuit that had been pending for over a decade. Id. at 333 n.10. (citing
Bensmiller v. E.I. du Pont de Nemours & Co., 47 F.3d 79, 82 (2d Cir. 1995).
In predicting the outcome, I took guidance from the Connecticut Supreme Court’s
decision in Lynn, which emphasized: “[i]n determining whether or not a statute abrogates or
modifies a common law rule the construction must be strict.” 226 Conn. at 289-90 (quoting
Willoughby v. New Haven, 123 Conn. 446 (1937)). Lynn held that the CPLA did not bar claims
for loss of consortium, because the plain language of the statute did not prohibit such claims and
the legislature had not unambiguously expressed the intent to do so. Applying the same
principles of strict construction, I concluded that the CPLA’s punitive damages provision also
subsumed rather than abrogated the common law. Izzarelli, 767 F. Supp. 2d at 328.
If Bifolck prevails on one or more of his claims, and if the jury finds that he is entitled to
punitive damages, I will be required to determine the amount of punitive damages to award. In
calculating those damages, I will once again be faced with the question whether the CPLA
incorporates or abrogates Connecticut’s common law rule of punitive damages. As with the
negligence issue, Philip Morris objects to Bifolck’s motion for certification of the punitive
damages question on the grounds that the issue is settled and that the Second Circuit declined to
certify it in Izzarelli. The Second Circuit, however, expressly did not address the punitive
damages question, because it had certified the threshold legal issue in that case. Izzarelli, 731
F.3d at 167 n.2. And the issue is not settled. Although two judges have adopted my approach to
calculating punitive damages under the CPLA, see Fraser v. Wyeth, Inc., No. 3:04CV1373 JBA,
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2013 WL 4012764, at *2-3 (D. Conn. Aug. 5, 2013), and R.I. Pools, Inc. v. Paramount Concrete,
Inc., No. X05FSTCV095011707S, 2011 WL 6934779, at *8-9 (Conn. Super. Ct. Dec. 5, 2011),
no Connecticut appellate court has directly addressed whether the CPLA’s punitive damages
provision subsumes or abrogates the common-law rule.
Product liability actions are common; therefore, the correct interpretation of the CPLA’s
punitive damages provision is likely to recur in future cases. Moreover, the issue is important to
the State of Connecticut, because it involves balancing competing policy concerns – i.e.,
guaranteeing that a plaintiff is made whole while also ensuring that product manufacturers are
not unfairly punished, which could negatively impact business in Connecticut. See Waterbury
Petroleum, 193 Conn. at 237-38; Parrot, 338 F.3d at 144. Thus, after considering each of the
O’Mara factors, I believe that this question is appropriate for certification to the Connecticut
Supreme Court as well. Given that this action already has been put on hold pending resolution of
the relevant issues in Izzarelli and given that I am granting certification of the threshold legal
issue in this case, it seems wise to certify the punitive damages question now, rather than litigate
the issue again down the road.
II.
Questions for Certification
Because “the answer[s] may be determinative of an issue in pending litigation” in this
court and because “there [exists] no controlling appellate decision, constitutional provision or
statute” of Connecticut, see Conn. Gen. Stat. § 51-199b(d), the following questions are certified
to the Supreme Court of Connecticut:
1. Does section 402A of the Restatement (Second) of Torts (and Comment i to that
provision) apply to a product liability claim for negligence under the CPLA?
2. Does Connecticut’s common law rule of punitive damages, as articulated in
Waterbury Petroleum Products, Inc. v. Canaan Oil & Fuel Co., 193 Conn. 208 (1984),
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apply to an award of statutory punitive damages pursuant to Conn. Gen. Stat. § 52-240b,
the punitive damages provision of the CPLA?
The Connecticut Supreme Court may, of course, reformulate these questions as it sees fit.
Additionally, this court will make available to the Connecticut Supreme Court any part of the
record in this case that will assist that Court in its review of the issue.
III.
Counsel of Record
For Plaintiff:
For Defendants:
David S. Golub
Silver, Golub & Teitell
184 Atlantic St., Po Box 389
Stamford, CT 06904
203-325-4491
Fax: 203-325-3769
Email: dgolub@sgtlaw.com
John B. Daukus
Francis H. Morrison, III
Axinn, Veltrop & Harkrider LLP-HTFD
90 State House Square
9th Floor
Hartford, CT 06103-3702
860-275-8190
Fax: 860-275-8101
Email: dvz@avhlaw.com
Issued at Bridgeport, Connecticut, this 14th day of February 2014.
/s/ Stefan R. Underhill
Stefan R. Underhill
United States District Judge
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