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Connecticut Court Ruling on Alex Jones Appeals

Appellate Court rules against Alex Jones' appeal of infamous CT Sandy Hook show trial.

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Adan Salazar
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0% found this document useful (0 votes)
16K views62 pages

Connecticut Court Ruling on Alex Jones Appeals

Appellate Court rules against Alex Jones' appeal of infamous CT Sandy Hook show trial.

Uploaded by

Adan Salazar
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as PDF, TXT or read online on Scribd
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************************************************

The “officially released” date that appears near the


beginning of an opinion is the date the opinion will be
published in the Connecticut Law Journal or the date it
is released as a slip opinion. The operative date for the
beginning of all time periods for the filing of postopin-
ion motions and petitions for certification is the “offi-
cially released” date appearing in the opinion.
All opinions are subject to modification and technical
correction prior to official publication in the Connecti-
cut Law Journal and subsequently in the Connecticut
Reports or Connecticut Appellate Reports. In the event
of discrepancies between the advance release version of
an opinion and the version appearing in the Connecti-
cut Law Journal and subsequently in the Connecticut
Reports or Connecticut Appellate Reports, the latest
version is to be considered authoritative.
The syllabus and procedural history accompanying
an opinion that appear in the Connecticut Law Jour-
nal and subsequently in the Connecticut Reports or
Connecticut Appellate Reports are copyrighted by the
Secretary of the State, State of Connecticut, and may
not be reproduced or distributed without the express
written permission of the Commission on Official Legal
Publications, Judicial Branch, State of Connecticut.
************************************************
Page 0 CONNECTICUT LAW JOURNAL 0, 0

2 ,0 0 Conn. App. 1
Lafferty v. Jones

ERICA LAFFERTY ET AL. v. ALEX


EMRIC JONES ET AL.
(AC 46131)
WILLIAM SHERLACH v.
ALEX JONES ET AL.
(AC 46132)
WILLIAM SHERLACH ET AL. v. ALEX
EMRIC JONES ET AL.
(AC 46133)
Moll, Clark and Eveleigh, Js.

Syllabus

The defendants, J and his company, F Co., appealed from the judgments of
the trial court rendered following jury verdicts for the plaintiffs in three
underlying consolidated actions that arose out of the 2012 mass shooting
at the Sandy Hook Elementary School in Newtown. The court had defaulted
the defendants as a sanction for their repeated, wilful failure to fully and
fairly comply with the plaintiffs’ discovery requests and for violating a
protective order. The cases then proceeded to a hearing in damages, after
which the plaintiffs were awarded compensatory damages, attorney’s fees
and costs and, pursuant to the Connecticut Unfair Trade Practices Act
(CUTPA), General Statutes § 42-110a et seq., punitive damages. On appeal,
the defendants claimed, inter alia, that the court incorrectly concluded that
the plaintiffs’ allegations were sufficient to support a legally viable CUTPA
claim. Held:

The trial court properly exercised its discretion in defaulting the defendants
as a sanction for their violations of its discovery orders and a protective
order.

The trial court’s default order was a sanction that was proportional to the
defendants’ wilful noncompliance and misconduct in repeatedly failing to
produce critical documents that the plaintiffs needed to prosecute their
case and in making highly confidential information about the plaintiffs avail-
able on the Internet.

The plaintiffs had no responsibility, as the defendants claimed, to prove the


cause of the harm they suffered, as the effect of the trial court’s default
order was to conclusively establish the defendants’ liability, thereby leaving
the plaintiffs with only the burden of establishing their damages.

The defendants’ inadequately briefed claim that the trial court improperly
limited the scope of J’s testimony was deemed abandoned.
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0 Conn. App. 1 ,0 3
Lafferty v. Jones
The trial court did not abuse its discretion in denying the defendants’ motion
for remittitur, as the evidence was sufficient to support the jury’s damages
award, which did not shock the sense of justice in light of testimony by all
of the plaintiffs about the mental anguish and emotional harm they suffered
as a result of death threats and harassment conveyed to them through social
media, by mail and in person that stemmed from the defendants’ lies that
the Sandy Hook massacre was a hoax.

The conduct forming the basis of the plaintiffs’ CUTPA claim, namely, the
defendants’ dissemination of lies about the school shooting, did not consti-
tute the conduct of any trade or commerce within the meaning of CUTPA,
as the underlying motivation of the defendants’ speech was to generate
profit through the sale of products to their audience, and the plaintiffs did
not allege that they were harmed by the defendants’ advertising, marketing
or sale of those products; accordingly, the judgments were reversed as to
the plaintiffs’ CUTPA claim.
Argued February 8—officially released December 10, 2024

Procedural History

Action, in the first case, to recover damages for, inter


alia, invasion of privacy, and for other relief, brought
to the Superior Court in the judicial district of Fairfield,
and action, in the second case, to recover damages
for, inter alia, invasion of privacy, and for other relief,
brought to the Superior Court in the judicial district
of Fairfield, and action, in the third case, to recover
damages for, inter alia, invasion of privacy, and for
other relief, brought to the Superior Court in the judicial
district of Fairfield, where the cases were consolidated
and transferred to the judicial district of Waterbury,
Complex Litigation Docket; thereafter, in the first case,
Jennifer Hensel, executrix of the estate of Jeremy Rich-
man, was substituted as a plaintiff and withdrew her
claims against the named defendant et al.; subsequently,
in the first case, Richard Coan, trustee of the bankruptcy
estate of Erica L. Garbatini, was substituted as a plain-
tiff; thereafter, the court, Bellis, J., defaulted the named
defendant et al. in each case for violations of certain
discovery orders and a protective order; subsequently,
the court denied the motions by the named defendant
et al. in each case to set aside the defaults; thereafter,
Page 2 CONNECTICUT LAW JOURNAL 0, 0

4 ,0 0 Conn. App. 1
Lafferty v. Jones

the issue of damages was tried to the jury before Bellis,


J.; subsequently, in each case, the named plaintiff et
al. filed an amended complaint; verdict in each case for
the named plaintiff et al.; thereafter, in each case, the
court denied the motions filed by the named defendant
et al. to set aside the verdict and for remittitur, and
rendered judgment in each case for the named plaintiff
et al., from which the named defendant et al. in each
case filed separate appeals with this court; subse-
quently, Erica L. Ash was substituted as a party plaintiff
for Richard M. Coan, trustee of the bankruptcy estate
of Erica L. Garbatini; thereafter, the appeals were con-
solidated. Reversed in part; judgment directed in part.
Norman A. Pattis, for the appellants in each case
(named defendant et al.).
Alinor C. Sterling, with whom, on the brief, were
Christopher M. Mattei and Joshua D. Koskoff, for the
appellees in each case (named plaintiff et al.).
Opinion

MOLL, J. In these consolidated appeals, the defen-


dants Alex Emric Jones and Free Speech Systems, LLC,1
appeal from the judgments of the trial court rendered
following jury verdicts returned in favor of the plaintiffs2
1
Several additional defendants were named in the underlying consolidated
actions, namely, Infowars, LLC, Infowars Health, LLC, Prison Planet TV,
LLC, Wolfgang Halbig, Cory T. Sklanka, Genesis Communications Network,
Inc., and Midas Resources, Inc. Jones and Free Speech Systems, LLC, how-
ever, were the only remaining defendants at the time of the judgments
rendered following the jury verdicts returned in the underlying consolidated
actions. We refer in this opinion to (1) Jones and Free Speech Systems,
LLC, collectively, as the defendants, and (2) Jones, Free Speech Systems,
LLC, Infowars, LLC, Infowars Health, LLC, and Prison Planet TV, LLC, collec-
tively, as the Jones defendants.
2
‘‘There are three underlying actions. In the first action, the plaintiffs are
Erica Lafferty, David Wheeler, Francine Wheeler, Jacqueline Barden, Mark
Barden, Nicole Hockley, Ian Hockley, Jennifer Hensel, Jeremy Richman,
Donna Soto, Carlee Soto-Parisi, Carlos Soto, Jillian Soto, and William Alden-
berg. On November 29, 2018, the plaintiffs moved to consolidate the second
and third cases . . . with their action pursuant to Practice Book § 9-5.
William Sherlach is a plaintiff in the second and third cases and Robert
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Lafferty v. Jones

in the underlying consolidated tort actions3 arising out


of the 2012 mass shooting at Sandy Hook Elementary
School in Newtown. On appeal, the defendants claim
that the court improperly (1) defaulted them as a sanc-
tion for violating certain discovery orders and a protec-
tive order, (2) construed the effect of the default to
relieve the plaintiffs of the burden to prove the extent
of their damages, (3) restricted the scope of Jones’
testimony at the hearing in damages, (4) denied their
motion for a remittitur, and (5) concluded that the plain-
tiffs’ claim asserting a violation of the Connecticut
Unfair Trade Practices Act (CUTPA), General Statutes
§ 42-110a et seq., was legally sufficient. For the reasons
that follow, we disagree with the defendants’ first, sec-
ond, and fourth claims, and deem the defendants’ third
claim to be abandoned as inadequately briefed. We
agree, however, with the defendants’ fifth claim.
Accordingly, we reverse in part the judgments of the
trial court.
Parker is a plaintiff in the third case. On December 17, 2018, the court
granted the motion to consolidate the cases. Jeremy Richman died while
this action was pending, and, on June 7, 2021, the court granted the plaintiffs’
motion to substitute Jennifer Hensel, executrix of the estate of Jeremy
Richman, as a plaintiff in his place; however, on June 8, 2021, Jennifer Hensel,
in her capacity as executrix of the estate of Jeremy Richman, withdrew her
claims against the defendants. On October 20, 2021, the court granted Erica
Lafferty’s motion to substitute Richard Coan, trustee of the bankruptcy
estate of Erica L. Garbatini [also known as Erica Lafferty], in her place as
a plaintiff in this case.’’ (Citations omitted.) Lafferty v. Jones, 222 Conn.
App. 855, 858 n.1, 307 A.3d 923 (2023). On December 14, 2023, the court
granted a motion to substitute Erica L. Ash, also known as Erica Lafferty,
as a plaintiff in place of Richard Coan, trustee of the bankruptcy estate of
Erica L. Garbatini. All references in this opinion to the plaintiffs are to the
remaining plaintiffs and do not include Jeremy Richman, Jennifer Hensel,
as executrix of the estate of Jeremy Richman, or Richard Coan, trustee of
the bankruptcy estate of Erica L. Garbatini.
3
The motions and pleadings filed in each of the underlying consolidated
actions were largely identical, and the jury verdict returned in each action
was the same. In the interest of simplicity, unless otherwise deemed neces-
sary, we refer to the motions, pleadings, and other documents filed in the
controlling action. See Lafferty v. Jones, Superior Court, judicial district of
Waterbury, Complex Litigation Docket, Docket No. CV-18-6046436-S.
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6 ,0 0 Conn. App. 1
Lafferty v. Jones

The following facts and procedural history, as set


forth previously by this court or as were undisputed in
the record, are relevant to our resolution of these
appeals. ‘‘On December 14, 2012, Adam Lanza entered
Sandy Hook Elementary School (Sandy Hook), and
thereafter shot and killed twenty first-grade children
and six adults, in addition to wounding two other vic-
tims who survived the attack. In the underlying consoli-
dated actions, the plaintiffs, consisting of a first
responder, who was not a victim of the Sandy Hook
shooting but was depicted in the media following the
shooting, and the immediate family members of five of
the children, one educator, the principal of Sandy Hook,
and a school psychologist who were killed in the shoot-
ing, brought these separate actions . . . .
‘‘In the complaints, the plaintiffs alleged that [Jones]
hosts a nationally syndicated radio program and owns
and operates multiple Internet websites that hold them-
selves out as news and journalism platforms. The plain-
tiffs further alleged that [Jones] began publishing con-
tent related to the Sandy Hook shooting on his radio
and Internet platforms and circulated videos on his
YouTube channel. Specifically, the plaintiffs alleged
that, between December 19, 2012, and June 26, 2017,
[Jones] used his Internet and radio platforms to spread
the message that the Sandy Hook shooting was a staged
event to the millions of his weekly listeners and sub-
scribers. The complaints each consisted of five counts,
including causes of action sounding in invasion of pri-
vacy by false light, defamation and defamation per se,
intentional infliction of emotional distress, negligent
infliction of emotional distress, and a violation of
[CUTPA].’’ (Citation omitted.) Lafferty v. Jones, 222
Conn. App. 855, 859–60, 307 A.3d 923 (2023).
On November 15, 2021, the trial court, Bellis, J.,
defaulted the defendants as a sanction for violating (1)
certain discovery orders and (2) a protective order.
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Lafferty v. Jones

Thereafter, the issue of damages was tried to a jury. In


the midst of the hearing in damages, with the defen-
dants’ consent, the plaintiffs filed an amended com-
plaint asserting four counts, each of which was accom-
panied by a claim of civil conspiracy: (1) invasion of
privacy by false light; (2) defamation and defamation
per se; (3) intentional infliction of emotional distress;
and (4) a violation of CUTPA.4 On October 12, 2022,
the jury returned a verdict in favor of the plaintiffs,
awarding them a total of $965,000,000 in compensatory
damages. The jury further awarded the plaintiffs reason-
able attorney’s fees and costs, with the amounts to be
determined by the court at a later date. On November
10, 2022, the court awarded the plaintiffs a total of (1)
$321,650,000 in common-law punitive damages in the
form of attorney’s fees, (2) $1,489,555.94 in costs, and
(3) $150,000,000 in statutory punitive damages pursuant
to CUTPA. The defendants filed motions to set aside
the verdict and for a remittitur, which the court denied
on December 22, 2022. These consolidated appeals fol-
lowed. Additional facts and procedural history will be
set forth as necessary.
Before turning to the defendants’ claims, we note that
the plaintiffs argue that ‘‘[a]lmost all of [the defendants’]
claims of error are so general or so inadequately briefed
that they are waived.’’ We iterate that we deem claims
on appeal to be abandoned if they are inadequately
briefed. See, e.g., Lafferty v. Jones, 336 Conn. 332, 375
n.30, 246 A.3d 429 (2020) (‘‘We repeatedly have stated
that [w]e are not required to review issues that have
been improperly presented to this court through an
inadequate brief. . . . Analysis, rather than mere
4
In an accompanying request for leave to amend their complaint, the
plaintiffs represented that the amended complaint (1) removed the negligent
infliction of emotional distress count previously alleged, (2) removed former
defendants, and (3) ‘‘simplifie[d] the pleadings by providing a single, uniform
complaint for the hearing in damages of the [underlying] consolidated
cases . . . .’’
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8 ,0 0 Conn. App. 1
Lafferty v. Jones

abstract assertion, is required in order to avoid aban-


doning an issue by failure to brief the issue properly.
. . . [F]or this court judiciously and efficiently to con-
sider claims of error raised on appeal . . . the parties
must clearly and fully set forth their arguments in their
briefs. . . . The parties may not merely cite a legal
principle without analyzing the relationship between
the facts of the case and the law cited.’’ (Internal quota-
tion marks omitted.)), cert. denied, U.S. , 141
S. Ct. 2467, 209 L. Ed. 2d 529 (2021). As we explain
throughout this opinion, we decline to review any
claims that the defendants have abandoned as a result
of inadequate briefing.
I
The defendants first claim that the trial court improp-
erly defaulted them as a sanction for violating certain
discovery orders, as well as a discovery related protec-
tive order. We disagree.
The following additional facts and procedural history
are relevant to our resolution of this claim. Shortly after
the underlying consolidated actions had been com-
menced, the Jones defendants filed special motions to
dismiss the actions pursuant to Connecticut’s anti-
SLAPP5 statute. See General Statutes § 52-196a (b).6 The
plaintiffs moved for limited discovery vis-à-vis the spe-
cial motions to dismiss; see General Statutes § 52-196a
(d); which the court granted on December 17, 2018.
On January 10, 2019, the court overruled objections
raised by the Jones defendants to the plaintiffs’ requests
for production seeking, inter alia, marketing data, sales
analytics, and web analytics that the Jones defendants
5
‘‘SLAPP is an acronym for ‘strategic lawsuit against public participation’
. . . .’’ Lafferty v. Jones, supra, 336 Conn. 337 n.4.
6
Section 52-196a was amended by No. 19-64, § 17, of the 2019 Public Acts,
which made changes to the statute that are not relevant to these appeals.
Accordingly, we refer to the current revision of the statute.
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Lafferty v. Jones

‘‘own[ed] and/or control[led].’’ On May 7, 2019, in an


objection addressing various discovery issues, the
Jones defendants represented that they had ‘‘provided
all of the analytics, business and marketing plans that
they have.’’ On May 29, 2019, the plaintiffs moved to
compel compliance with the court’s discovery orders,
asserting in part that the Jones defendants had failed
to produce responsive marketing and analytics informa-
tion. The plaintiffs referred, in particular, to marketing
data generated by Google Analytics7 in the custody and
control of the Jones defendants, and argued that a
thirty-five page Google Analytics document provided
by the Jones defendants was inadequate.
On June 10, 2019, the court issued an order stating
that (1) testimony elicited during certain depositions
confirmed that a ‘‘Google Analytics account is accessed
and utilized by some employees of the [Jones] defen-
dants,’’ (2) the Google Analytics document that the
Jones defendants had produced did not constitute full
and fair compliance with the court’s discovery orders,
and (3) the plaintiffs were ‘‘entitled to the [Google Ana-
lytics] data pursuant to the court’s discovery orders.’’
The court further ordered that it would ‘‘consider appro-
priate sanctions for the [Jones] defendants’ failure to
fully and fairly comply should they not produce the data
within one week.’’ Subsequently, the Jones defendants
represented that, on June 17, 2019, Google Analytics
data purportedly had been emailed to the plaintiffs’
counsel; however, the plaintiffs’ counsel represented
that the email was never received.
On June 17, 2019, the plaintiffs moved for the court
to review a June 14, 2019 broadcast of Jones’ radio
7
In their principal appellate brief, the defendants represent that ‘‘Google
Analytics is proprietary data made available to subscribers on a server
maintained by Google. It is described thus on Google’s webpage: ‘Google
Analytics is a web analytics service offered by Google that tracks and reports
website traffic and also the mobile app traffic [and] events, currently inside
a platform inside the Google Marketing Platform brand.’ ’’
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10 ,0 0 Conn. App. 1
Lafferty v. Jones

program, during which Jones made threatening com-


ments with respect to one of the plaintiffs’ counsel. See
Lafferty v. Jones, supra, 336 Conn. 342–46, 370. On June
18, 2019, after finding that (1) the Jones defendants
were noncompliant with the court’s discovery orders
concerning, inter alia, the Google Analytics data, and
(2) Jones had harassed, intimidated, and threatened
one of the plaintiffs’ counsel during the June 14, 2019
broadcast, the court sanctioned the Jones defendants
by depriving them of the opportunity to pursue their
special motions to dismiss. Id., 346–47, 374. At the outset
of its decision, the court also stated: ‘‘[T]he discovery
in this case has been marked with obfuscation and delay
on the part of the [Jones] defendants, who, despite
several court-ordered deadlines . . . [have] contin-
ue[d] . . . to object to having to, what they call affirma-
tively gather and produce documents which might help
the plaintiffs make their case. Despite over approxi-
mately a dozen discovery status conferences and sev-
eral court-ordered discovery deadlines, the Jones defen-
dants have still not fully and fairly complied with their
discovery obligations. . . . The [court has] entered dis-
covery deadlines, extended discovery deadlines, and
discovery deadlines have been disregarded by the Jones
defendants, who continue to object to their discovery
and [have] failed to produce that which is within their
knowledge, possession, or power to obtain.’’ Later, the
court further stated: ‘‘At this point, I decline to default
the . . . Jones defendants, but I will—I don’t know
how clearly I can say this. . . . As the discovery in this
case progresses, if there is continued obfuscation and
delay and tactics like I’ve seen up to this point, I will
not hesitate after a hearing and an opportunity to be
heard to default the . . . Jones defendants if they, from
this point forward, continue with their behavior with
respect to discovery.’’ On July 10, 2020, following Chief
Justice Richard A. Robinson’s grant of the Jones defen-
dants’ petition for an expedited public interest appeal
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0 Conn. App. 1 ,0 11
Lafferty v. Jones

pursuant to General Statutes § 52-265a, our Supreme


Court affirmed the trial court’s sanction orders. Lafferty
v. Jones, supra, 336 n.3, 385.
On November 12, 2020, the plaintiffs moved to again
compel compliance with court-ordered discovery.8 On
May 5, 2021, the Jones defendants filed an objection,
arguing in part that the plaintiffs’ prior discovery
requests had been rendered moot as a result of the
court’s June 18, 2019 sanction orders precluding the
Jones defendants from pursuing their special motions
to dismiss.9 On May 14, 2021, the court issued an order
stating that ‘‘the obligation of the [Jones] defendants
to fully and fairly comply with the discovery requests
at issue was not extinguished by the fact that the [Jones]
defendants have been precluded from pursuing special
motions to dismiss.’’
On June 1, 2021, the Jones defendants filed an emer-
gency motion for a protective order requesting that the
court (1) extend an upcoming discovery production
deadline by forty-five days and (2) narrow the scope
of discovery regarding, inter alia, the Google Analytics
data, which, they represented, required them to review
nearly 300,000 emails for privileged information. On
June 2, 2021, the court issued an order stating: ‘‘The
court previously entered numerous orders with respect
to this discovery request and the Jones defendants’
objections thereto. The court declines the Jones defen-
dants’ invitation to address, again, the scope of appro-
priate discovery. With respect to the timeframe for com-
pliance, the outstanding discovery responses were due
8
The proceedings in the underlying consolidated actions were stayed
pending our Supreme Court’s resolution of the public interest appeal, and,
on October 27, 2020, the trial court denied a request by the Jones defendants
to stay discovery further.
9
On November 18, 2020, the Jones defendants filed a notice that the
underlying consolidated actions had been removed to the United States
District Court for the District of Connecticut. The actions were remanded
from the District Court on March 5, 2021.
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12 ,0 0 Conn. App. 1
Lafferty v. Jones

over two years ago. At no point in time following the


decision [in Lafferty v. Jones, supra, 336 Conn. 332]
did the Jones defendants seek clarification from the
court as to their discovery obligations. According to
emails produced by the plaintiffs . . . the Jones defen-
dants, in February and March of 2020, while their case
was pending before [our] Supreme Court and a court-
ordered stay of discovery was in effect, asked the plain-
tiffs’ counsel for a complete set of discovery requests to
date and continued to discuss the outstanding discovery
that was owed by the Jones defendants. Nowhere in
the email chain did counsel for the Jones defendants
indicate that they were compiling their discovery only
if they prevailed on their appeal. The plaintiffs filed a
motion with the court seeking the overdue compliance
on November 12, 2020, and the Jones defendants did
not even file an objection until May 5, 2021. The court’s
ruling of May 14, 2021, confirmed that the outstanding
discovery from the Jones defendants was overdue. At
this point, the [Jones] defendants are not in compliance
with their obligation to produce that discovery which
is in their knowledge, possession, or power. To the
extent that [the Jones defendants’] motion seeks, at this
late date, a further extension of time to produce the
already overdue supplemental compliance, it is granted
as follows: complete, final supplemental compliance
must be made by June 28, 2021, with compliance to
begin immediately on a rolling basis. Failure to comply
with this order may result in sanctions including but
not limited to a default.’’
On June 28, 2021, the Jones defendants filed a notice
of compliance indicating that (1) the defendants had
provided ‘‘complete, final supplemental compliance,’’
and (2) Infowars, LLC, Infowars Health, LLC, and Prison
Planet TV, LLC, previously had satisfied their discovery
obligations. With regard to the Google Analytics data,
the Jones defendants represented that (1) only Free
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0 Conn. App. 1 ,0 13
Lafferty v. Jones

Speech Systems, LLC, used Google Analytics, (2) Free


Speech Systems, LLC, did not possess, control, or have
custody of Google Analytics data in a manner allowing
the data to be exported,10 and (3) the only reasonable
method of sharing the Google Analytics data would
be to permit the plaintiffs’ counsel to access it via a
‘‘ ‘sandbox.’ ’’11

On July 1, 2021, Free Speech Systems, LLC, Infowars


Health, LLC, and Prison Planet TV, LLC, through one
of their counsel, Attorney Norman A. Pattis of Pattis &
Smith, LLC,12 filed a motion for a commission to take
an out-of-state deposition of Hillary Clinton (motion to
depose Clinton).13 These defendants asserted in rele-
vant part that, (1) during one of the plaintiffs’ deposi-
tions, (a) on the advice of counsel, the deponent refused
to answer how the plaintiffs ‘‘all ended up represented
by the same [law] firm’’ in the underlying consolidated
actions and (b) claimed to be unaware of how her
legal fees were being paid, (2) the lead plaintiff in the
underlying consolidated actions was invited to speak
at the Democratic National Convention in 2016, and
thereafter was ‘‘praised’’ by Clinton, and (3) they
‘‘believe[d] that [the underlying consolidated actions
10
The Jones defendants further represented that, to export the Google
Analytics data, Free Speech Systems, LLC, would be required to purchase
an upgraded membership account at a cost of $150,000.
11
The Jones defendants defined ‘‘ ‘[s]andboxing’ ’’ as ‘‘ ‘a computer secu-
rity term referring to when a program is set aside from other programs in
a separate environment so that if errors or security issues occur, those
issues will not spread to other areas on the computer. Programs are enabled
in their own sequestered area, where they can be worked on without posing
any threat to other programs.’ ’’
12
On July 1, 2021, all of the Jones defendants, except for Jones, were
represented by both Attorney Jay Marshall Wolman and Pattis & Smith,
LLC. At that time, Jones was represented by Wolman only.
13
Jones did not join the motion to depose Clinton, and Infowars, LLC,
was not listed as one of the movants. In subsequent filings, including an
August 3, 2021 reply brief vis-à-vis the motion to depose Clinton, Infowars,
LLC, was treated as an additional movant.
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14 ,0 0 Conn. App. 1
Lafferty v. Jones

were] filed six years after the shootings at Sandy Hook


as part of a vendetta inspired, orchestrated and directed
in whole or in part by . . . Clinton as part of a vendetta
to silence . . . Jones after . . . Clinton lost the presi-
dential race to Donald J. Trump.’’
On July 6, 2021, the plaintiffs filed a motion to sanc-
tion the Jones defendants for violating a protective
order entered on February 22, 2019, as amended on
June 16, 2021 (protective order),14 which originally had
been proposed by the Jones defendants and which, inter
alia, protected confidential information produced by
the plaintiffs during discovery.15 The plaintiffs main-
tained that the motion to depose Clinton, filed by the
Jones defendants16 in the middle of a deposition, (1)
was frivolous and (2) improperly published information
obtained from the deponent’s testimony that was desig-
nated as ‘‘Highly Confidential-Attorneys Eyes Only’’ in
violation of the protective order. On July 19, 2021, Free
Speech Systems, LLC, Infowars, LLC, Infowars Health,
LLC, and Prison Planet TV, LLC, filed an objection, and
the plaintiffs filed a reply brief the next day.
14
The protective order was twice amended further in 2022.
15
The protective order limited access to materials designated as ‘‘Confi-
dential Information’’ or ‘‘Highly Confidential-Attorneys Eyes Only’’ to certain
categories of persons. The protective order further provided in relevant part:
‘‘Depositions involving Confidential Information shall be treated, as follows:
‘‘a. Portions of a deposition or depositions in their entirety may be desig-
nated Confidential Information or HIGHLY CONFIDENTIAL ATTORNEYS
EYES ONLY by counsel for the deponent or the Designating Party [as defined
in the protective order], with respect to documents or information that it
has produced, by requesting such treatment on the record at the deposition
or in writing no later than thirty (30) days after the date of the deposition.
‘‘b. This Protective Order shall permit temporary designation of an entire
transcript as Confidential Information or HIGHLY CONFIDENTIAL ATTOR-
NEYS EYES ONLY where less than all of the testimony in that transcript
would fall into those categories, subject to [a procedure detailed in the
protective order]. . . . The designations shall remain effective until and
unless an objection is made and finally resolved.’’
16
The plaintiffs contended that the motion to depose Clinton should be
treated as having been filed by all of the Jones defendants. See footnote 13
of this opinion.
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On August 5, 2021, the court issued an order stating


in relevant part: ‘‘In the midst of taking the first deposi-
tion of a plaintiff . . . Free Speech Systems, LLC,
Infowars, LLC, Infowars Health, LLC, and Prison Planet
TV, LLC (Infowars), filed a motion to depose . . . Clin-
ton, using deposition testimony that had just been desig-
nated as ‘[Highly] Confidential-Attorneys Eyes Only,’
and completely disregarding the court-ordered proce-
dures. At no point prior to filing the Clinton motion did
Infowars profess ignorance of the procedures they had
proposed and which were court-ordered to be followed,
nor have they since taken any steps to correct their
improper filing. If Infowars was of the opinion that the
plaintiffs’ designation was unreasonable and not made
in good faith, the solution was to follow the court-
ordered procedure to challenge the designation, not to
blatantly disregard it and make the confidential infor-
mation available on the Internet by filing it in the court
file. The court rejects Infowars’ baseless argument that
there was no good cause to issue the protective [order]
. . . . Infowars . . . now takes the absurd position
that the court-ordered protective order circumvents the
good cause requirements of Practice Book § 13-5, did
not need to be complied with, and should not be
enforced by the court. This argument is frightening.
Given the cavalier actions and wilful misconduct of
Infowars in filing protected deposition information dur-
ing the actual deposition, this court has grave concerns
that their actions, in the future, will have a chilling
effect on the testimony of witnesses who would be
rightfully concerned that their confidential information,
including their psychiatric and medical histories, would
be made available to the public. The court will address
sanctions at a future hearing.’’17
On July 6, 2021, the plaintiffs filed a motion to sanc-
tion the Jones defendants for failing to produce certain
17
On August 4, 2021, the court denied the motion to depose Clinton. That
ruling is not at issue in these consolidated appeals.
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Lafferty v. Jones

accounting documents. The plaintiffs asserted in rele-


vant part that, (1) in connection with a noticed deposi-
tion of Melinda Flores, Free Speech System, LLC’s
accounting manager, Flores was directed to produce
documents, including (a) Free Speech System, LLC’s
trial balances from 2012 to 2019, and (b) ‘‘ ‘[a]ny and
all subsidiary ledgers for each account listed in the
[t]rial balances produced,’ ’’18 (2) the court ordered the
requested records to be produced by the close of busi-
ness on May 14, 2021,19 (3) on May 14, 2021, the Jones
defendants produced documents that they described to
be trial balances ‘‘incorporating the [s]ubsidiary [l]ed-
gers,’’ (4) notwithstanding the Jones defendants’ repre-
sentation, they failed to produce any subsidiary ledgers,
and (5) Flores testified during her deposition that (a)
she assisted in assembling the documents produced on
May 14, 2021, (b) Free Speech Systems, LLC, maintained
subsidiary ledger information that was accessible, and
(c) the documents produced did not contain subsidiary
18
Attached as an exhibit to the July 6, 2021 motion was an affidavit
of Brian W. Merrill, a certified fraud examiner and a certified analytics
professional, who averred in relevant part that ‘‘[a] trial balance is a standard
accounting report listing a company’s general ledger accounts. A debit or
credit balance is presented for each general ledger account. The purpose
of a trial balance is to prove that the value of all debit balances equals the
value of all credit balances. Subsidiary ledgers (‘[s]ubledgers’) contain the
transactional detail that support the trial balance details for all general
ledger accounts in an accounting system. Subledgers allow for the interpreta-
tion and analysis of the financial activity that is recorded in the books and
records that ultimately represent the financial statement of the organization.’’
On November 6, 2020, the Jones defendants objected to the production
request seeking the trial balances and subsidiary ledgers on the grounds
that the request was, inter alia, overbroad, irrelevant, and unduly burden-
some. The court overruled the objection.
19
On May 5, 2021, the Jones defendants filed an emergency motion for a
protective order requesting in part that Flores’ deposition, scheduled for
May 7, 2021, be rescheduled for medical reasons. On May 6, 2021, the court
ordered Flores’ deposition to be rescheduled but further directed that ‘‘[t]he
records requested in the request to produce are ordered to be produced by
the close of business on [May 14, 2021]. Failure to comply with this order
may result in sanctions.’’
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ledgers. (Emphasis omitted.) On July 27, 2021, the Jones


defendants filed an objection, arguing in relevant part
that Free Speech Systems, LLC, did not possess or main-
tain subsidiary ledgers. In support of their objection,
the Jones defendants submitted a personal affidavit of
Robert Roe (Roe affidavit), a certified public accoun-
tant and a certified forensic accountant, who averred
that Free Speech Systems, LLC, did not maintain or
utilize subsidiary ledgers. On August 3, 2021, the plain-
tiffs filed a reply brief.

On August 6, 2021, the court issued an order stating


in relevant part: ‘‘The subsidiary ledger information
. . . was easily accessible to Flores . . . . Despite the
court orders, and although the information exists, is
maintained by [Free Speech Systems, LLC], and could
have been produced by Flores as was required by the
court orders, the documents were not produced. The
court rejects [Roe’s] statement . . . that [Free Speech
Systems, LLC] does not ‘maintain or utilize’ subsidiary
ledgers as not credible in light of the circumstances.
There is no excuse for the [Jones] defendants’ disregard
of not only their discovery obligations, but the . . .
court orders. The court finds that the failure to comply
with the production request has prejudiced the plaintiffs
[in] their ability to both prosecute their claims and
conduct further depositions in a meaningful manner.’’
The court further ordered (1) Flores’ deposition to
resume, with Flores directed to produce the subsidiary
ledger information, and (2) that sanctions would be
addressed at a future hearing. During subsequent hear-
ings before the court, the plaintiffs’ counsel represented
that, on August 24, 2021, the Jones defendants produced
alleged subsidiary ledgers; however, the plaintiffs’ coun-
sel further represented that ‘‘it is not clear whether [the
documents produced were], in fact, subsidiary led-
gers . . . .’’
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Lafferty v. Jones

On August 24, 2021, the plaintiffs filed a motion to


sanction the Jones defendants for violating the court’s
discovery orders requiring them to produce, inter alia,
the Google Analytics data. The plaintiffs refuted the
Jones defendants’ contention in their June 28, 2021
notice of compliance that Free Speech Systems, LLC,
did not possess, control, or have custody of the Google
Analytics data in a manner that could be exported,
asserting that such ‘‘representations were inaccurate
and misleading.’’ On September 14, 2021, the Jones
defendants filed an objection, arguing, inter alia, that
(1) on June 17, 2019, via email, they had produced the
Google Analytics data requested by the plaintiffs, and
(2) the ‘‘sandbox mechanism’’ previously suggested by
them would allow the plaintiffs to access all of the ‘‘raw
data.’’ On September 23, 2021, the plaintiffs filed a reply
brief, and on September 25, 2021, with leave of the
court, the Jones defendants filed a surreply brief.
On September 30, 2021 the court issued an order
stating in relevant part: ‘‘There is no dispute here that
the Jones defendants failed to follow the rules [of prac-
tice] as they relate to discovery. . . . The purported
June 17, 2019 email transmission of zip files . . . con-
taining Google Analytics reports that the plaintiffs’
counsel indicates was never received was not sent to
[certain other defendants] nor did the purported trans-
mission otherwise comply with the rules of practice.
As such, it is not necessary for the court to resolve
the issue of whether the purported transmission was
actually sent, as it cannot be considered proper compli-
ance under our rules. In short, after protracted objec-
tions and arguments by the Jones defendants over
whether they had the ability to produce ANY Google
Analytics data, to date they have still failed to comply.
. . . In light of this continued failure to meet their dis-
covery obligations in violation of the court’s order, to
the prejudice of the plaintiffs, the court will address the
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Lafferty v. Jones

appropriate sanctions at the next status conference.’’


Subsequently, by way of a notice of compliance dated
October 8, 2021, the Jones defendants represented that
they had provided supplemental responses to the plain-
tiffs’ discovery requests.
On September 9, 2021, the plaintiffs moved to sanc-
tion the Jones defendants for producing ‘‘manufac-
tured’’ documents in discovery. The plaintiffs con-
tended that the trial balances that had been produced
were not the originals but, rather, constituted altered
trial balances that Roe had manipulated prior to produc-
tion. On October 7, 2021, the Jones defendants filed an
objection. On October 18, 2021, the plaintiffs filed a
reply brief, and on October 20, 2021, with leave of the
court, the Jones defendants filed a surreply brief.
On November 15, 2021, after hearing argument from
the parties over the course of three days between Octo-
ber 20 and November 15, 2021, the court issued an oral
decision defaulting the Jones defendants as a sanction
for violating (1) the protective order and (2) its discov-
ery orders.20 With regard to the protective order, the
court found in relevant part that (1) the Jones defen-
dants acknowledged that the motion to depose Clinton
contained information obtained from a deposition that
was designated as ‘‘Highly Confidential-Attorneys Eyes
Only’’ pursuant to the protective order, (2) the Jones
defendants argued that the protective order did not
preclude them from publishing such confidential infor-
mation so long as they did not identify the witness from
whom the information was obtained, which position
‘‘did nothing but reinforce the court’s August 5, 2021
order and findings that the [Jones defendants’] cavalier
actions constituted wilful misconduct and violated the
20
On October 7, 2021, the plaintiffs filed a memorandum of law in favor
of the court defaulting the Jones defendants for their misconduct. On Octo-
ber 20, 2021, the Jones defendants filed a memorandum of law in opposition
to a default order.
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Lafferty v. Jones

court’s clear and unambiguous protective order,’’21 and


(3) there was a ‘‘transparent attempt to cloud the issues’’
by counsel who had filed the motion to depose Clinton,
Pattis, as well as one of the Jones defendants’ former
counsel, Attorney Jay Marshall Wolman, stemming from
inconsistent representations as to whether Infowars,
LLC, was one of the movants of the motion to depose
Clinton.22
With respect to the subsidiary ledgers, the court sum-
marized its findings in its August 6, 2021 order regarding
the subsidiary ledgers and commented that ‘‘it is still
unclear as to what documents have been produced.’’
The court then determined that sanctions were ‘‘appro-
priate in light of the [Jones] defendants’ failure to fully
and fairly comply with the plaintiffs’ discovery request
and the court’s orders . . . .’’
Regarding the trial balances, the court determined
that the trial balances produced by the Jones defendants
did not comply with its discovery orders. The court
stated that (1) Flores testified at her deposition that
she had generated the trial balances, which she believed
had been produced to the plaintiffs, but (2) Roe later
altered those trial balances before they had been pro-
vided to the plaintiffs. The court rejected an argument
asserted by the Jones defendants that Flores had ‘‘pro-
vided flawed information to the [Jones] defendants that
21
The court further observed that the Jones defendants previously had
asserted a different argument, namely, that the inclusion of the ‘‘Highly
Confidential-Attorneys Eyes Only’’ information in the motion to depose
Clinton was justified because the plaintiffs lacked a good faith basis to
designate the deposition at issue as ‘‘Highly Confidential-Attorneys Eyes
Only’’ pursuant to the protective order. The court rejected that argument.
22
As the court explained, (1) the motion to depose Clinton, filed by Pattis,
listed Free Speech Systems, LLC, Infowars Health, LLC, and Prison Planet
TV, LLC, as the movants, (2) in the July 19, 2021 objection to the plaintiffs’
July 6, 2021 motion for sanctions, also filed by Pattis, Infowars, LLC, was
treated as an additional movant, and (3) during argument, Wolman repre-
sented that Infowars, LLC, had no involvement in the motion to depose
Clinton because its name was not listed in the motion.
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Lafferty v. Jones

the [Jones] defendants, through Roe, had to correct.’’


The court further stated: ‘‘The Jones defendants argue
that Roe combined some accounts that were not used
consistently and consolidated some general accounts
because various transactions all involved the same
account and those records created by [Roe] were the
records that were produced. But these records that
removed accounts and consolidated accounts altered
the information in the reports that [Flores] had pro-
duced, and they contain trial balances that did not bal-
ance. These sanitized, inaccurate records created by
Roe were simply not responsive to the plaintiffs’ request
or to the court’s order.’’

The court next addressed the Google Analytics data


requested by the plaintiffs, stating: ‘‘With respect to
analytics, including Google Analytics . . . the [Jones]
defendants on May 7, 2019, represented that they had
provided all the analytics that they had. They stated
with respect to Google Analytics that they had access
to Google Analytics reports but did not regularly use
them. . . . The [Jones] defendants also claim that, on
June 17, 2019, they informally emailed zip files con-
taining Google Analytics reports to the plaintiffs, but
not [to] the codefendants, an email the plaintiffs state
they did not receive and that the court found would
not have been in compliance with our rules of practice.
On June 28, 2021, the Jones defendants filed a notice
of compliance stating that complete, final supplemental
compliance was made by . . . [Jones] and Free Speech
Systems, LLC, and that Infowars, LLC, Infowars Health,
LLC, and Prison Planet [TV], LLC, quote: ‘Had previously
produced all documents required to be produced,’ . . .
representing that with respect to the Google Analytics
documents, Free Speech Systems, LLC, could not
export the dataset and that the only way they could
comply was through the sandbox approach. Then on
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Lafferty v. Jones

[October] 8, 2021,23 the Jones defendants for the first


time formally produced Excel spreadsheets limited to
Google Analytics apparently for [Infowars.com] and not
for any of the other websites such as Prison Planet TV
or Infowars Health.’’ (Footnote added.) The court also
found that (1) the Jones defendants had failed to pro-
duce analytics data for other platforms, such as Alexa
and Criteo, and (2) the Jones defendants’ production
of certain social media analytics data ‘‘has . . . been
insubstantial and . . . has fallen far short both proce-
durally and substantively . . . .’’24 As the court summa-
rized, ‘‘[t]he court finds that the Jones defendants have
withheld analytics and information that is critical to
the plaintiffs’ ability to conduct meaningful discovery
and to prosecute their claims. This callous disregard
of their obligations to fully and fairly comply with dis-
covery and court orders on its own merits a default
against the Jones defendants.’’
The court then stated: ‘‘Neither the court nor the
parties can expect perfection when it comes to the
discovery process. What is required, however, and what
all parties are entitled to, is fundamental fairness that
the other side produces that information which is within
[its] knowledge, possession and power, and that the
other side meet[s] its continuing duty to disclose addi-
tional or new material and amend prior compliance
when it is incorrect.
23
The court referred to August 8, 2021, as the date of the production
of the spreadsheets; however, (1) during argument preceding the court’s
sanctions order, the plaintiffs’ counsel represented that the spreadsheets
had been produced on October 8, 2021, and (2) the record reflects that the
Jones defendants filed a notice of compliance dated October 8, 2021.
24
The defendants make a passing reference to these other analytics in
their principal appellate brief. Insofar as the defendants attempt to raise a
claim of error specifically as to these other analytics, they have not ade-
quately briefed any such claim. See Lafferty v. Jones, supra, 336 Conn. 375
n.30. Thus, we do not set forth additional context vis-à-vis these other analyt-
ics.
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Lafferty v. Jones

‘‘Here, the Jones defendants were not just careless.


Their failure to produce critical documents, their disre-
gard for the discovery process and procedure and for
court orders is a pattern of obstructive conduct that
interferes with the ability of the plaintiffs to conduct
meaningful discovery and prevents the plaintiffs from
properly prosecuting their claims.
‘‘The court held off on scheduling this sanctions hear-
ing in the hopes that many of these problems would
be corrected and that the Jones defendants would ulti-
mately comply with their discovery obligations and
numerous court orders, and they have not.
‘‘In addressing the sanctions that should enter here,
the court is not punishing the [Jones] defendants. The
court also recognizes that a sanction of default is one of
last resort. This court previously sanctioned the [Jones]
defendants not by entering a default, but by a lesser
sanction, the preclusion of the [Jones] defendants’ spe-
cial motions to dismiss. At this point, entering other
lesser sanctions such as monetary sanctions, the preclu-
sion of evidence, or the establishment of facts is inade-
quate given the scope and extent of the discovery mate-
rial that the [Jones] defendants have failed to produce.
‘‘As pointed out by the plaintiffs, they are attempting
to conduct discovery on what the [Jones] defendants
publish and the [Jones] defendants’ revenue. And the
failure of the [Jones] defendants to produce the analyt-
ics impacts the ability of the plaintiffs to address what
is published, and the [Jones] defendants’ failure to pro-
duce the financial records such as subledgers and trial
balances affects the ability of the plaintiffs to address
the [Jones] defendants’ revenue. The prejudice suffered
by the plaintiffs, who had the right to conduct appro-
priate, meaningful discovery so they could prosecute
their claims, again was caused by the Jones defendants’
wilful noncompliance, that is, the Jones defendants’
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Lafferty v. Jones

failure to produce critical material information that the


plaintiff[s] needed to prove their claims.
‘‘For these reasons, the court is entering a default
against the [Jones] defendants . . . . The case will pro-
ceed as a hearing in damages as to the [Jones] defen-
dants. The court notes [that] . . . Jones is [the] sole
controlling authority of all the [Jones] defendants, and
that the [Jones] defendants filed motions and signed
off on their discovery issues jointly. And all the [Jones]
defendants have failed to fully and fairly comply with
their discovery obligations.’’
On appeal, the defendants assert that (1) the court
incorrectly (a) determined that they had violated the
protective order in filing the motion to depose Clinton
or, in the alternative, (b) attributed the violation of the
protective order to them rather than to their counsel,25
(2) the court incorrectly determined that their noncom-
pliance with its discovery orders was wilful, and (3)
the court’s sanction order defaulting them was dispro-
portionate.26 These contentions are unavailing.
25
As we explained in footnote 13 of this opinion, although Free Speech
Systems, LLC, was one of the movants of the motion to depose Clinton,
Jones did not join the motion. The defendants on appeal do not claim
that Jones was sanctioned improperly vis-à-vis the protective order; on the
contrary, both defendants—Jones and Free Speech Systems, LLC—claim
error as to the court’s ruling regarding the violation of the protective order
and assert that the court attributed the violation to them rather than to their
counsel. Accordingly, for purposes of our resolution of the defendants’
claims in part I of this opinion and notwithstanding the convoluted back-
ground concerning the identity of the movants of the motion to depose
Clinton, we do not differentiate between Jones and Free Speech Systems,
LLC, with regard to the motion to depose Clinton and the court’s rulings
concerning the protective order.
26
The defendants raise a number of additional claims, which we decline
to review. First, in their reply brief, the defendants contend for the first
time that, as a matter of law, ‘‘there should be an outer limit on a trial
court’s authority to enter a default in civil cases. Failure adequately or
substantially to comply with discovery should never result in a default.’’ We
decline to consider this discrete legal issue raised for the first time in the
defendants’ reply brief. See Anderson-Harris v. Harris, 221 Conn. App. 222,
253 n.24, 301 A.3d 1090 (2023) (‘‘[i]t [is] axiomatic that arguments cannot
be raised for the first time in a reply brief’’). Even if some semblance of
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Lafferty v. Jones

‘‘A trial court’s power to sanction a litigant or counsel


stems from two different sources of authority, its inher-
ent powers and the rules of practice. . . . [T]his inher-
ent authority permits sanctions for dilatory, bad faith
and harassing litigation conduct . . . .’’ (Citations
omitted; internal quotation marks omitted.) Lafferty v.
Jones, supra, 336 Conn. 373.
‘‘Additionally, under Practice Book [Rev. to 2021]
this claim can be gleaned from the defendants’ principal appellate brief, we
conclude that the defendants have abandoned the claim as a result of their
failure to brief it adequately in their main brief and notwithstanding their
attempt to expound on it in their reply brief. See Robb v. Connecticut Board
of Veterinary Medicine, 204 Conn. App. 595, 613 n.23, 254 A.3d 915 (‘‘[T]he
plaintiff cannot use his reply brief to resurrect a claim that he has abandoned
by failing to adequately brief it in his principal appellate brief. See Hurley
v. Heart Physicians, P.C., 298 Conn. 371, 378 n.6, 3 A.3d 892 (2010) (declining
to consider claim when appellant raised ‘vague assertion’ of claim in principal
appellate brief and later ‘amplified her discussion of the issue considerably
in her reply brief’).’’), cert. denied, 338 Conn. 911, 259 A.3d 654 (2021).
Accordingly, insofar as the defendants claim that the default entered against
them was a disproportionate sanction, we limit our analysis to the parame-
ters of the claim adequately briefed by the defendants, namely, that the
sanction constituted an abuse of the court’s discretion on the basis of
the record.
Second, in their principal appellate brief, the defendants claim that ‘‘[a]
liability default is never appropriate in a case involving speech, given the
importance the Connecticut constitution places on speech.’’ The defendants
cite article first, § 6, of the Connecticut constitution, which, as they concede,
applies only to criminal prosecutions; see Gray v. Mossman, 91 Conn. 430,
442–43, 99 A. 1062 (1917); and which provides: ‘‘In all prosecutions or
indictments for libels, the truth may be given in evidence, and the jury shall
have the right to determine the law and the facts, under the direction of
the court.’’ Conn. Const., art. I, § 6. The defendants’ principal appellate brief
is bereft of any substantive legal analysis to support this claim, and, therefore,
we deem it to be abandoned. See Lafferty v. Jones, supra, 336 Conn. 375 n.30.
Third, in their principal appellate brief, the defendants assert that the
court, in its August 6, 2021 order addressing the subsidiary ledgers issue,
improperly discredited the Roe affidavit without an evidentiary hearing. The
defendants contend that ‘‘[t]he absence of a meaningful evidentiary record
to support this finding as to . . . Roe, a finding that bore such fatal conse-
quences for the defendants, constitutes an abuse of discretion . . . .’’ The
defendants have abandoned this claim by failing to provide any substantive
legal analysis to support it. See Lafferty v. Jones, supra, 336 Conn. 375 n.30.
Last, in their principal appellate brief, the defendants assert that ‘‘the trial
court never set forth just what it thought Google Analytics was. As such,
the order [regarding Google Analytics] was not so clear and unambiguous
as to warrant a default if, in fact, the order was violated at all.’’ We deem
this claim to be inadequately briefed and, therefore, the defendants have
abandoned it. See Lafferty v. Jones, supra, 336 Conn. 375 n.30.
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26 ,0 0 Conn. App. 1
Lafferty v. Jones

§ 13-14,27 a court may sanction a party for noncompli-


ance with the court’s discovery orders. Among the per-
missible sanctions is foreclosing judgment on the merits
for a party, such as by rendering a default judgment
against a defendant . . . .’’ (Footnote added.) Id.
We consider three factors in determining whether ‘‘a
trial court properly exercises its discretion in imposing
a sanction for a violation of a court order . . . .’’ Ridga-
way v. Mount Vernon Fire Ins. Co., 328 Conn. 60, 71,
176 A.3d 1167 (2018); see also Millbrook Owners Assn.,
Inc. v. Hamilton Standard, 257 Conn. 1, 17–18, 776
A.2d 1115 (2001). ‘‘First, the order to be complied with
must be reasonably clear. In this connection, however,
we also state that even an order that does not meet
this standard may form the basis of a sanction if the
record establishes that, notwithstanding the lack of
such clarity, the party sanctioned in fact understood
the trial court’s intended meaning. This requirement
poses a legal question that we will review de novo.
Second, the record must establish that the order was
in fact violated. This requirement poses a question of
fact that we will review using a clearly erroneous stan-
dard of review.28 Third, the sanction imposed must be
27
Practice Book (Rev. to 2021) § 13-14 provides in relevant part: ‘‘(a) If
any party has failed to answer interrogatories or to answer them fairly, or
has intentionally answered them falsely or in a manner calculated to mislead,
or has failed to respond to requests for production or for disclosure of the
existence and contents of an insurance policy or the limits thereof, or has
failed to submit to a physical or mental examination, or has failed to comply
with a discovery order made pursuant to Section 13-13, or has failed to
comply with the provisions of Section 13-15, or has failed to appear and
testify at a deposition duly noticed pursuant to this chapter, or has failed
otherwise substantially to comply with any other discovery order made
pursuant to Sections 13-6 through 13-11, the judicial authority may, on
motion, make such order as the ends of justice require.
‘‘(b) Such orders may include the following:
‘‘(1) The entry of a nonsuit or default against the party failing to com-
ply . . . .’’
28
‘‘A finding of fact is clearly erroneous when there is no evidence in the
record to support it . . . or when although there is evidence to support it,
the reviewing court on the entire evidence is left with the definite and firm
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0 Conn. App. 1 ,0 27
Lafferty v. Jones

proportional to the violation. This requirement poses a


question of the discretion of the trial court that we will
review for abuse of that discretion.’’ (Footnote added;
internal quotation marks omitted.) Lafferty v. Jones,
supra, 336 Conn. 373–74.
A
The defendants contend that the court improperly
(1) determined that they had violated the protective
order in filing the motion to depose Clinton or, in the
alternative, (2) attributed the violation of the protective
order to them, as opposed to their counsel. We are not
persuaded.
As to the court’s determination that the filing of the
motion to depose Clinton violated the protective order,
the defendants maintain that, in the motion, they ‘‘repre-
sented that at a deposition a witness was instructed by
counsel not to answer questions about choice of coun-
sel or who was financing the litigation. The name and
gender of the deponent were not mentioned; the deposi-
tion was characterized, not quoted. . . . The de mini-
mis recitation of facts in the motion . . . did not violate
a court order . . . .’’ (Citations omitted; footnote omit-
ted.) As the court correctly determined, however, the
clear and unambiguous language of the protective order
limited access to depositions, or portions thereof, desig-
nated as ‘‘Highly Confidential-Attorneys Eyes Only.’’
The defendants acknowledge that the motion to depose
Clinton contained information drawn from the tran-
script of one of the plaintiffs’ depositions, which, as the
court found, was designated as ‘‘Highly Confidential-
Attorneys Eyes Only’’ pursuant to the protective order.
Thus, in filing the motion to depose Clinton and making
the confidential information set forth therein available
conviction that a mistake has been committed.’’ (Internal quotation marks
omitted.) Fernwood Realty, LLC v. AeroCision, LLC, 166 Conn. App. 345,
356, 141 A.3d 965, cert. denied, 323 Conn. 912, 149 A.3d 981 (2016).
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to the public, the defendants plainly violated the protec-


tive order.
Moreover, the defendants’ position on appeal is fur-
ther undermined by the fact that, during argument pre-
ceding the court’s sanctions order, one of the defen-
dants’ former counsel, Wolman, conceded that the
defendants’ actions violated the protective order. The
following colloquy occurred between the court and Wol-
man:
‘‘[Wolman]: . . . We do take the [protective] order
very seriously and have endeavored to abide it. There
was during a deposition this motion [to depose Clinton]
filed. And at the end of the day it comes down to simply
one sentence. That the witness claims not to know
how her legal fees were being paid. That’s the only
information that I can see in that motion that gives rise
to the court’s order. And you know, it was erroneously
believed that that was not subject to the [protective]
order. The witness herself was not identified. And while
it may be a technical violation, and it was not realized
to be so at the time—
‘‘The Court: So, do you admit now that it was a viola-
tion, whether it’s a technical violation or not?
‘‘[Wolman]: I would say it probably fits within the
language of what is protected. We had concerns as to
whether or not it truly was protected. The court has
weighed in.’’ (Emphasis added.)
Accordingly, we reject the defendants’ assertion that
the court incorrectly determined that they violated the
protective order in filing the motion to depose Clinton.
The defendants, in the alternative, contend that the
court improperly ascribed the violation of the protective
order to them rather than to their counsel. The defen-
dants posit that, rather than referring counsel for disci-
plinary action, the court ‘‘attributed counsel’s alleged
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failure to [the defendants], justifying a default on con-


duct over which the defendants themselves had no con-
trol, and about which, the record reflects, they knew
nothing.’’ The defendants fail to cite any portion of
the record supporting their assertion that they were
unaware of counsel’s actions. Without any such evi-
dence, we cannot countenance the defendants’ reason-
ing that they were absolved of any discipline stemming
from counsel’s conduct. See MacCalla v. American
Medical Response of Connecticut, Inc., 188 Conn. App.
228, 240, 204 A.3d 753 (2019) (‘‘Although in some cir-
cumstances it may be unduly harsh to impute counsel’s
transgressions to his client, ‘our adversarial system
[also] requires that the client be responsible for acts of
the attorney-agent whom [he] has freely chosen . . . .’
Thode v. Thode, 190 Conn. 694, 698, 462 A.2d 4 (1983);
see Sousa v. Sousa, 173 Conn. App. 755, 773 n.6, 164
A.3d 702 (‘[a]n attorney is the client’s agent and his
knowledge is imputed to the client’ . . .), cert. denied,
327 Conn. 906, 170 A.3d 2 (2017).’’); see also MacCalla
v. American Medical Response of Connecticut, Inc.,
supra, 239–40 (concluding that court did not abuse its
discretion in dismissing claims of certain plaintiffs on
basis of counsel’s actions); cf. Herrick v. Monkey Farm
Cafe, LLC, 163 Conn. App. 45, 52–53, 134 A.3d 643 (2016)
(reversing trial court’s judgment of nonsuit rendered
on basis of counsel’s actions).
B
The defendants next claim that the court erred in
finding that they wilfully violated its discovery orders.
As to the discovery orders in general, the defendants
maintain that ‘‘the failure to provide answers was not
an example of wilful misconduct. Rather, it was the
result of a shocking degree of disorganization. The
plaintiffs persuaded the trial judge that the plaintiffs’
expectations of how the defendants should operate
their business and keep records was the standard the
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defendants must meet. The default prevented a jury


from learning the truth about the defendants’ corporate
organization—it is a haphazard warren of people drawn
together by . . . Jones’ charisma and generosity, but
almost altogether devoid of institutional structure or
normal corporate governance.’’ We are unpersuaded.
Whether a party wilfully violates a court order ‘‘is a
factual question committed to the sound discretion of
the trial court.’’ (Internal quotation marks omitted.) Laf-
ferty v. Jones, supra, 222 Conn. App. 867. The court’s
finding that the defendants’ noncompliance with its dis-
covery orders was wilful was supported by its subordi-
nate findings that (1) the subsidiary ledgers requested
by the plaintiffs were ‘‘easily accessible’’ and ‘‘available’’
to Flores, (2) Flores generated the trial balances sought
by the plaintiffs, but those trial balances later were
altered by Roe prior to production to the plaintiffs,
and (3) the defendants withheld analytics materials and
exhibited a ‘‘callous disregard of their obligations to
fully and fairly comply with discovery . . . .’’ Rather
than adequately contesting the factual underpinnings
of these findings, the defendants propound the argu-
ment that their failure to comply with the court’s discov-
ery orders stemmed from their purported institutional
disorganization. The defendants fail to cite to any por-
tion of the record that supports this assertion. More-
over, the defendants’ argument is belied by their own
statement in their principal appellate brief that, notwith-
standing their purported disorganized corporate struc-
ture, they ‘‘tendered tens of thousands of documents,
sat for scores of depositions, provided answers to
requests to admit, and otherwise made efforts to comply
with discovery.’’ Thus, the defendants’ claim regarding
the wilfulness of their noncompliance with the court’s
discovery orders in general is untenable.
The defendants also assert that the court incorrectly
determined that they had wilfully violated its discovery
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orders specifically concerning the Google Analytics


data. The defendants maintain that they (1) made ‘‘lim-
ited and sporadic use of Google Analytics data,’’ (2)
‘‘did not keep [any] reports, did not generally or system-
atically rely on them, and consulted Google Analytics
only haphazardly,’’ and (3) did not possess the Google
Analytics data, but, rather, ‘‘access[ed] the information
on Google servers,’’ such that they did not wilfully fail
to comply with the court’s orders regarding the Google
Analytics data. We reject this assertion. The frequency
of the defendants’ use and reliance on the Google Ana-
lytics data has no bearing on their obligation to abide
by the court’s discovery orders requiring them to pro-
vide the data to the plaintiffs. Further, whether the
defendants were in possession of the Google Analytics
data is immaterial because the plaintiffs’ production
request sought analytics that the defendants ‘‘own[ed]
and/or control[led].’’ (Emphasis added.) See Practice
Book § 13-9 (a)29 (‘‘[i]n any civil action, in any probate
appeal, or in any administrative appeal where the judi-
cial authority finds it reasonably probable that evidence
outside the record will be required, any party may serve
. . . upon any other party a request to afford the party
submitting the request the opportunity to inspect, copy,
photograph or otherwise reproduce designated docu-
ments or to inspect and copy, test or sample any tangible
things in the possession, custody or control of the party
upon whom the request is served’’ (emphasis added)).
As the court found, the defendants (1) had access to the
Google Analytics data and (2) produced some Google
Analytics data to the plaintiffs, albeit not in full and
fair compliance with the court’s discovery orders.
Accordingly, we conclude that the court properly found
that the defendants wilfully violated the court’s discov-
ery orders as to the Google Analytics data.
An amendment to Practice Book § 13-9, effective January 1, 2022, made
29

changes to the provision that are not relevant to these appeals. Accordingly,
we refer to the current revision of this provision.
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C
The defendants next claim that the court’s order
defaulting them as a sanction for their violations of its
discovery orders and the protective order was dispro-
portionate. The defendants maintain that, although they
‘‘resisted discovery by every lawful means possible in
lengthy proceedings . . . [t]heir compliance was sub-
stantial,’’ and they did not ‘‘[fail] to answer the com-
plaint, [fail] to respond to discovery or otherwise [fail]
to participate in the proceedings.’’30 We conclude that
the court did not abuse its discretion in defaulting the
defendants.
As we set forth previously in this opinion, whether
the court’s sanction defaulting the defendants was pro-
portional to their violations of the court’s orders ‘‘poses
a question of the discretion of the trial court that we will
review for abuse of that discretion.’’ (Internal quotation
marks omitted.) Lafferty v. Jones, supra, 336 Conn. 374.
‘‘As with any discretionary action of the trial court,
appellate review requires every reasonable presump-
tion in favor of the action, and the ultimate issue for
us is whether the trial court could have reasonably
30
The defendants also argue that, as a less severe alternative to a default,
the plaintiffs could have asserted a cause of action for intentional spoliation
of evidence or the court could have provided a spoliation charge to the
jury. See Rizzuto v. Davidson Ladders, Inc., 280 Conn. 225, 243, 905 A.2d
1165 (2006) (recognizing independent cause of action for intentional spolia-
tion of evidence, defined as ‘‘ ‘the intentional destruction, mutilation, or
significant alteration of potential evidence for the purpose of defeating
another person’s recovery in a civil action’ ’’). The plaintiffs counter that
the law of spoliation is inapplicable because ‘‘there is no question that [the
defendants] had—and simply withheld—financial and analytics compliance.
Moreover, a spoliation charge would not have remedied the prejudice to
the plaintiffs from [the defendants’] misrepresentations regarding the exis-
tence of discovery, prolonged delays in providing the compliance [they] did
provide, and complete refusal to provide other compliance, or from [the
defendants’] wilful violation of the protective order.’’ We agree with the
plaintiffs that the law of spoliation did not provide a reasonable alternative
to the court’s default order.
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concluded as it did. . . . In reviewing a claim that the


court has abused this discretion, great weight is due
to the action of the trial court and every reasonable
presumption should be given in favor of its correctness
. . . . The determinative question for an appellate
court is not whether it would have imposed a similar
sanction but whether the trial court could reasonably
conclude as it did given the facts presented. . . . Under
an abuse of discretion standard, a court’s decision must
be legally sound and [the court] must [have] honest[ly]
attempt[ed] . . . to do what is right and equitable
under the circumstances of the law, without the dictates
of whim or caprice.’’ (Citation omitted; internal quota-
tion marks omitted.) Gianetti v. Neigher, 214 Conn.
App. 394, 437–38, 280 A.3d 555, cert. denied, 345 Conn.
963, 285 A.3d 390 (2022). With regard to discovery
orders in particular, ‘‘[n]ever will the case on appeal
look as it does to a [trial court] . . . faced with the
need to impose reasonable bounds and order on discov-
ery. . . . Trial court judges face great difficulties in
controlling discovery procedures which all too often
are abused by one side or the other and this court should
support the trial judges’ reasonable use of sanctions to
control discovery.’’ (Citation omitted; internal quotation
marks omitted.) Lafferty v. Jones, supra, 374.
‘‘[I]n assessing proportionality, a trial court must con-
sider the totality of the circumstances, including, most
importantly, the nature of the conduct itself. . . . [A]
trial court’s discretion should be exercised mindful of
the policy preference to bring about a trial on the merits
of a dispute whenever possible and to secure for the
litigant his day in court. . . . Our practice does not
favor the termination of proceedings without a determi-
nation of the merits of the controversy where that can
be brought about with due regard to necessary rules
of procedure. . . . Therefore, although dismissal of an
action is not an abuse of discretion where a party shows
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deliberate, contumacious or unwarranted disregard for


the court’s authority . . . the court should be reluctant
to employ the sanction of dismissal except as a last
resort. . . . [T]he sanction of dismissal should be
imposed only as a last resort, and where it would be
the only reasonable remedy available to vindicate the
legitimate interests of the other party and the court.
. . . Like a dismissal, a default judgment is also one of
the more severe sanctions that a court may impose
. . . .’’ (Citations omitted; emphasis omitted; internal
quotation marks omitted.) Gutierrez v. Mosor, 206
Conn. App. 818, 827–28, 261 A.3d 850, cert. denied, 340
Conn. 913, 265 A.3d 926 (2021).
In determining whether the sanction of default was
proportional to the defendants’ violations of the court’s
orders, ‘‘we are guided by the factors [our Supreme
Court] . . . ha[s] employed when reviewing the rea-
sonableness of a trial court’s imposition of sanctions:
(1) the cause of the [party’s] failure to [comply with
the orders], that is, whether it [was] due to inability
rather than the [wilfulness], bad faith or fault of the
[party] . . . (2) the degree of prejudice suffered by the
opposing party . . . and (3) which of the available
sanctions would, under the particular circumstances,
be an appropriate response to the disobedient party’s
conduct.’’ (Internal quotation marks omitted.) Gianetti
v. Neigher, supra, 214 Conn. App. 439.
Remaining mindful, as the trial court recognized, that
a default is a sanction of last resort, we conclude that
the court’s default order was a proportional sanction
under the circumstances presented. As to the wilfulness
factor, the court found that the defendants’ failure to
produce ‘‘critical material information’’ to the plaintiffs,
as well as the defendants’ ‘‘cavalier actions’’ in filing
the motion to depose Clinton, constituted wilful non-
compliance and misconduct. The court further found
that ‘‘the Jones defendants were not just careless. Their
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failure to produce critical documents, their disregard


for the discovery process and procedure and for court
orders is a pattern of obstructive conduct . . . .’’31
Thus, this factor militates in favor of the court’s
default order.
With regard to the prejudice factor, the court found
that the purpose of the plaintiffs’ discovery requests
was to determine (1) what the defendants published
and (2) the defendants’ revenue, which purpose was
thwarted by the defendants’ failure to produce the ana-
lytics data, the subsidiary ledgers, and the trial balances
requested by the plaintiffs. The court further found that
the defendants’ conduct ‘‘interfere[d] with the ability
of the plaintiffs to conduct meaningful discovery and
prevent[ed] the plaintiffs from properly prosecuting
their claims.’’ See Krahel v. Czoch, 186 Conn. App. 22,
35–36, 198 A.3d 103 (discussing importance of unpro-
duced discovery and its effect as to plaintiff’s case when
examining prejudice), cert. denied, 330 Conn. 958, 198
A.3d 584 (2018); see also Lafferty v. Jones, supra, 336
Conn. 378 (citing Krahel in analyzing prejudice factor).
Additionally, with regard to the protective order, the
court stated in its August 5, 2021 order addressing the
filing of the motion to depose Clinton that (1) the defen-
dants, in filing the motion to depose Clinton, made
information designated as ‘‘Highly Confidential-Attor-
neys Eyes Only’’ under the protective order available
on the Internet, (2) the defendants took no corrective
action thereafter, and (3) it had ‘‘grave concerns’’ that
there would be ‘‘a chilling effect on the testimony of
witnesses who would be rightfully concerned that their
confidential information, including their psychiatric
and medical histories, would be made available to the
31
As we concluded in part I B of this opinion, we reject the defendants’
claim that the court’s finding that they wilfully violated the discovery orders
was clearly erroneous.
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Lafferty v. Jones

public.’’ The court iterated these concerns during argu-


ment preceding its sanction order, stating in relevant
part: ‘‘So, I do intend to impose sanctions [for the viola-
tion of the protective order]. . . . I think the [defen-
dants’] behavior really is unconscionable. . . . And I
am concerned about a chilling effect on the testimony
of other witnesses.’’ In light of these concerns, this
factor weighs in favor of the court’s default order.

Finally, the court determined that imposing a lesser


sanction would be ‘‘inadequate . . . .’’ In 2019, follow-
ing the defendants’ noncompliance with discovery vis-à-
vis the special motions to dismiss and Jones’ comments
during his June 14, 2019 radio broadcast, the court
sanctioned the defendants by precluding them from
pursuing the special motions to dismiss; however, the
court cautioned that it would consider defaulting them
in the future if ‘‘they, from th[at] point forward, contin-
ue[d] with their behavior with respect to discovery.’’
Later, the court also warned the defendants that they
risked being defaulted if they failed to comply with its
June 2, 2021 order directing the production of complete,
final supplemental compliance. See Ridgaway v. Mount
Vernon Fire Ins. Co., supra, 328 Conn. 74 (‘‘[i]n
instances in which our appellate courts have upheld
the sanction of a nonsuit, a significant factor has been
that the trial court put the plaintiff on notice that non-
compliance would result in a nonsuit’’). Nevertheless,
as the court found, the defendants continued to engage
in ‘‘a pattern of obstructive conduct’’ in ‘‘callous[ly]’’
disregarding their discovery obligations. This conduct
was not isolated; rather, as the various orders entered
by the court demonstrate, notwithstanding being given
ample opportunities to comply, the defendants repeat-
edly failed to produce adequate, responsive materials.
The court reasonably determined that a lesser sanction
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Lafferty v. Jones

would not suffice under such circumstances. See Guti-


errez v. Mosor, supra, 206 Conn. App. 829 (‘‘[t]he appel-
late courts of this state consistently have upheld non-
suits, defaults or other sanctions imposed for discovery
violations where the noncomplying party has exhibited
a pattern of violations or discovery abuse demonstra-
ting a disregard for the court’s authority’’).
Moreover, in the midst of the defendants’ ongoing
discovery noncompliance, the defendants filed the
motion to depose Clinton, which contained information
designated as ‘‘Highly Confidential-Attorneys Eyes
Only’’ subject to the protective order. As the court deter-
mined, the defendants, in a ‘‘cavalier’’ fashion, violated
the protective order, which they originally had pro-
posed, by releasing the confidential information to the
public, thereby creating a palpable risk of a ‘‘chilling
effect’’ on the testimony of witnesses in the future.
Against this backdrop, we cannot discern an abuse of
discretion by the court in defaulting the defendants as
a sanction. See Gutierrez v. Mosor, supra, 206 Conn.
App. 827 (‘‘dismissal of an action is not an abuse of
discretion where a party shows deliberate, contuma-
cious or unwarranted disregard for the court’s author-
ity’’ (emphasis omitted; internal quotation marks omit-
ted)).
In sum, we conclude that the court properly exercised
its discretion in defaulting the defendants as a sanction
for their violations of its discovery orders and the pro-
tective order.
II
The defendants next claim that the trial court improp-
erly construed the effect of the defendants’ default to
relieve the plaintiffs of the burden to establish the
extent of their damages. This claim warrants little dis-
cussion.
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Initially, we observe that the defendants assert that


the court ‘‘never made a principled and intelligible rul-
ing about causation in this case’’ but, rather, treated
causation as having been established following the
defendants’ default. The defendants do not brief any
substantive claims as to any particular rulings of the
court32 but, rather, take issue with the court’s rulings
as a whole insofar as the court purportedly ‘‘eviscerated
the concept of causation and relieved the plaintiffs of
any responsibility to prove, or even to attempt to prove,
a linkage to the various and diffuse harms they suffered
and the conduct of the [defendants].’’33 We exercise
32
The defendants refer to the court’s jury charge, wherein the court
instructed the jury in relevant part: ‘‘I hereby charge you that causation of
the plaintiffs’ damages is already established. . . . Causation of harm has
been established by virtue of the court’s prior rulings to the satisfaction of
the law. That is, it has been established in this case that the defendants
proximately caused harm to the plaintiffs by spreading lies about the plain-
tiffs to their audience and the public by urging their audience and the public
to investigate and look into the plaintiffs and to stop the people supposedly
behind the Sandy Hook hoax, resulting in members of the defendants’ audi-
ence and the public cyberstalking, attacking, harassing, and threatening the
plaintiffs, as you have heard in the evidence in this case. In sum, it has been
established that the defendants caused harm to the plaintiffs in all the ways
I just described. The defendants’ statements and conduct caused reputational
harm to the plaintiffs, invasion of privacy, and emotional distress. The extent
of the harm is what you will be measuring in your verdict. The cause of
the harm is not in question.’’
33
In their principal appellate brief, the defendants make vague references
to (1) ‘‘a series of bizarre evidentiary rulings’’ by the court that ‘‘eviscerated
the requirement that [the] plaintiffs prove the extent of their damages,’’ (2)
the court’s improper admission of evidence, (3) the court failing to determine
which of the plaintiffs’ allegations were ‘‘material,’’ (4) the court instructing
the jury that liability had been ‘‘ ‘established,’ ’’ and (5) the court denying
a motion in limine filed by the defendants requesting that the transcript of
its November 15, 2021 ruling defaulting the defendants be admissible at the
hearing in damages. Insofar as the defendants attempt to raise claims of
error with respect to these discrete issues, they have failed to brief such
claims adequately and, therefore, we deem any such claims to be abandoned.
See Lafferty v. Jones, supra, 336 Conn. 375 n.30.
Additionally, in their principal appellate brief, the defendants repeatedly
state that the jury was unaware that liability was established against the
defendants as the result of a disciplinary default. In their reply brief, the
defendants assert for the first time that the court committed error in failing
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Lafferty v. Jones

plenary review over this claim, which presents a ques-


tion of law. See Williams v. Mansfield, 215 Conn. App.
1, 10, 281 A.3d 1263 (2022) (‘‘[w]hen . . . a court’s deci-
sion is challenged on the basis of a question of law,
our review is plenary’’).
It is axiomatic that ‘‘[a] default admits the material
facts that constitute a cause of action . . . and entry
of default, when appropriately made, conclusively
determines the liability of a defendant. . . . If the alle-
gations of the plaintiff’s complaint are sufficient on their
face to make out a valid claim for the relief requested,
the plaintiff, on the entry of a default against the defen-
dant, need not offer evidence to support those allega-
tions. . . . Therefore, the only issue . . . following a
default is the determination of damages. . . . A plain-
tiff ordinarily is entitled to at least nominal damages
following an entry of default against a defendant in a
legal action. . . .
‘‘In an action at law, the rule is that the entry of
a default operates as a confession by the defaulted
defendant of the truth of the material facts alleged in
the complaint which are essential to entitle the plaintiff
to some of the relief prayed. It is not the equivalent of
an admission of all of the facts pleaded. The limit of
its effect is to preclude the defaulted defendant from
making any further defense and to permit the entry of a
judgment against him on the theory that he has admitted
such of the facts alleged in the complaint as are essential
to such a judgment. It does not follow that the plaintiff
to notify the jury that the defendants were defaulted as a disciplinary sanc-
tion. We decline to review this claim, as it is (1) improperly raised for the
first time in the defendants’ reply brief or (2) inadequately briefed, even if
cognizably raised in the defendants’ principal appellate brief. See Anderson-
Harris v. Harris, 221 Conn. App. 222, 253 n.24, 301 A.3d 1090 (2023); Robb
v. Connecticut Board of Veterinary Medicine, 204 Conn. App. 595, 613 n.23,
254 A.3d 915, cert. denied, 338 Conn. 911, 259 A.3d 654 (2021); see also
footnote 26 of this opinion.
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is entitled to a judgment for the full amount of the relief


claimed. The plaintiff must still prove how much of the
judgment prayed for in the complaint he is entitled to
receive.’’34 (Emphasis omitted; internal quotation marks
omitted.) Whitaker v. Taylor, 99 Conn. App. 719, 725–26,
916 A.2d 834 (2007).

As these legal principles elucidate, after the court


had defaulted the defendants, the plaintiffs were not
required to demonstrate that the defendants’ conduct
caused their harm. Instead, following the defendants’
default, the only burden carried by the plaintiffs was
to prove the amount of their damages. See Murray v.
Taylor, 65 Conn. App. 300, 335, 782 A.2d 702 (This
court, in reversing the trial court’s grant of the defaulted
defendant’s motion to set aside the verdict following
the hearing in damages, explained that ‘‘[t]he [trial]
court determined that there was no evidence from
which the jury reasonably could have found that the
plaintiff’s damages were proximately caused by the con-
duct alleged and ruled against the plaintiff on that basis.
Yet, in an action at law, as here, the liability of a
defaulted defendant is established and the plaintiff’s
burden at a hearing in damages is limited to proving
34
We note that, ‘‘[a]fter a default, a defendant may still contest liability.
Practice Book §§ 17-34, 17-35 and 17-37 delineate a defendant’s right to
contest liability in a hearing in damages after default. Unless the defendant
provides the plaintiff written notice of any defenses, the defendant is fore-
closed from contesting liability. . . . If written notice is furnished to the
plaintiff, the defendant may offer evidence contradicting any allegation of
the complaint and may challenge the right of the plaintiff to maintain the
action or prove any matter of defense. . . . This approximates what the
defendant would have been able to do if he had filed an answer and special
defenses.’’ (Citations omitted; footnote omitted; internal quotation marks
omitted.) Schwartz v. Milazzo, 84 Conn. App. 175, 178–79, 852 A.2d 847,
cert. denied, 271 Conn. 942, 861 A.2d 515 (2004). On November 24, 2021,
following the entry of the default against them, the defendants filed a notice
of defenses, which was stricken by the court on December 24, 2021. The
defendants on appeal do not challenge the propriety of the court’s order
striking the notice of defenses.
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that the amount of damages claimed is derived from


the injuries suffered and is properly supported by the
evidence. . . . We, therefore, cannot agree with the
court’s conclusion that the plaintiff’s claim must fail
because he did not provide evidence that [the defaulted
defendant’s] negligent conduct proximately caused his
injuries . . . .’’ (Citation omitted.)), cert. denied, 258
Conn. 928, 783 A.2d 1029 (2001).35 Accordingly, the
defendants’ claim fails.
III
The defendants also claim that the trial court improp-
erly restricted the scope of Jones’ testimony at the
hearing in damages. We conclude that the defendants
have abandoned this claim by failing to brief it ade-
quately.
The following additional procedural history is rele-
vant. On September 6, 2022, the court granted motions
in limine filed by the plaintiffs seeking to preclude evi-
dence or argument at the hearing in damages concern-
ing, inter alia, (1) the defendants’ ‘‘maximum total
amount of Sandy Hook coverage or percentage or pro-
portion of Sandy Hook coverage’’ and (2) the court’s
ruling defaulting the defendants. Additionally, on Sep-
tember 13, 2022, the court granted a motion for sanc-
tions filed by the plaintiffs on the basis of additional
discovery misconduct by the defendants. The court
sanctioned the defendants by prohibiting them from
presenting evidence or argument ‘‘that they did not
profit from their Sandy Hook coverage.’’
On September 22, 2022, during the hearing in dam-
ages, the plaintiffs called Jones as a witness. Outside
35
The defendants cite the following language in Murray to support their
claim: ‘‘ ‘[E]ven in a hearing in damages . . . a plaintiff must still prove
that the damages claimed were caused by the conduct alleged.’ ’’ Murray
v. Taylor, supra, 65 Conn. App. 333. The source of that language, however,
is the trial court decision that this court reversed on appeal. See id., 332–35,
340. The defendants’ reliance on that language, therefore, is untenable.
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of the jury’s presence, the court canvassed Jones with


regard to the various topics about which (1) counsel
were prohibited from asking him and (2) he was pre-
cluded from testifying. Jones indicated that he under-
stood which topics his testimony could not address.
During the course of Jones’ direct examination, the
court and counsel engaged in multiple sidebars, and
the jury was excused several times, in order to address
whether certain questions asked by the plaintiffs’ coun-
sel and testimony by Jones were proper in light of the
court’s orders. The next day, the defendants’ counsel
informed the court that, for ‘‘strategic’’ reasons, the
defendants were forfeiting the right to cross-examine
Jones, intending instead to call him as a witness during
their case-in-chief. On October 5, 2022, outside of the
jury’s presence, the defendants’ counsel notified the
court that Jones had decided not to testify during the
defendants’ case-in-chief, explaining that Jones was
‘‘boycotting [the] proceedings because he [felt] that [he
was] on the horns of a trilemma. If he testifie[d] in
accord with the court’s orders [restricting his testi-
mony], [he would] be committing perjury; if he vio-
late[d] the court orders, [it would be] criminal con-
tempt; if he [took] the fifth [amendment to the United
States constitution], he [would get an] adverse infer-
ence.’’
The defendants claim on appeal that the court com-
mitted error in restricting the scope of Jones’ testimony.
The majority of the defendants’ briefing of this claim
focuses on reciting and commenting on the relevant
procedural history, iterating the ‘‘trilemma’’ that Jones
purportedly faced, and detailing how Jones would have
testified but for the court’s orders limiting his testi-
mony. The defendants, however, provide no substantive
legal analysis examining the propriety of the court’s
orders imposing limits on Jones’ testimony, such as
the court’s September 13, 2022 order sanctioning the
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defendants for additional discovery violations. Accord-


ingly, we conclude that the defendants have abandoned
this claim as a result of their failure to adequately brief
it. See Lafferty v. Jones, supra, 336 Conn. 375 n.30.
IV
The defendants next claim that the trial court improp-
erly denied their motion for a remittitur. We disagree.
The following additional procedural history is rele-
vant to our resolution of this claim. The evidentiary
portion of the hearing in damages transpired over the
course of several weeks, commencing on September 13,
2022, and concluding on October 5, 2022. The following
witnesses testified during the plaintiffs’ case-in-chief:
(1) the plaintiffs; (2) Alissa Parker, a spouse of one of
the plaintiffs; (3) Brittany Paz, a Connecticut attorney
who served as a corporate representative of Free
Speech Systems, LLC; (4) Clinton Watts, an expert in
the field of ‘‘identifying analytics and analysis around
social media, the Internet, and how it influences peo-
ple’s behavior’’; and (5) Jones. The court admitted in full
numerous exhibits offered by the plaintiffs, including
video clips of Jones’ broadcasts. The defendants rested
without calling any witnesses or offering any exhibits,
except for one exhibit that was marked for identifica-
tion only.
In its verdict, the jury awarded the plaintiffs a total
of $965,000,000 in compensatory damages, which was
split into two categories for each plaintiff: (1) ‘‘defama-
tion/slander’’ damages, past and future; and (2) emo-
tional distress damages, past and future. The jury did
not divide the $965,000,000 amount evenly among the
plaintiffs; rather, other than two plaintiffs who were
each awarded $57,600,000, each plaintiff was awarded
a distinct amount of compensatory damages.
In moving for a remittitur, the defendants asserted
that the jury’s verdict was ‘‘exorbitant, shock[ed] the
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sense of justice and was influenced by partiality and


prejudice.’’ The defendants argued that (1) the plaintiffs
failed to submit evidence to aid the jury in calculating
compensatory damages, such as medical evidence or
expert testimony on the extent of their emotional dis-
tress, such that the jury’s verdict was predicated on
speculation and was motivated by prejudice and pas-
sion, (2) the jury, in essence, awarded the plaintiffs
punitive damages rather than compensatory damages,
and (3) the defendants’ right to due process was violated
as a result of the plaintiffs’ failure to submit evidence
estimating their damages. The plaintiffs filed a memo-
randum of law in opposition to the motion for a remitti-
tur, refuting the defendants’ arguments.
In denying the defendants’ motion for a remittitur,
the court stated: ‘‘The defendants take the position, in
a conclusory manner unsupported by any evidence or
case law, that the verdict was ‘exorbitant’ and the result
of ‘passion and prejudice.’ They argue—again, unsup-
ported by any law—that due process requires that the
plaintiffs are responsible for establishing what they
think would make them whole—that is, that the plain-
tiffs should have been required to offer evidence as to
the amount they sought in compensatory damages. As
the plaintiffs point out, the defendants cite no tran-
script, exhibits, or case law to even begin to carry their
burden of showing manifest injustice.36 Here, the over-
whelming evidence of the plaintiffs’ injuries and dam-
ages, in conjunction with the court’s instructions on
the law, which the jury is presumed to have followed,
clearly support[s] the [verdict] rendered by the jury.
The size of the [verdict], while substantial, does not so
shock the sense of justice as to compel the conclusion
36
In footnotes, the court (1) observed that, in contrast to the defendants’
‘‘conclusory motion,’’ the plaintiffs ‘‘in their objection painstakingly and
accurately highlight[ed] the evidence submitted’’ and (2) iterated that it was
not obligated to consider inadequately briefed claims.
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that the jury was influenced by partiality, prejudice,


mistake or corruption, but instead falls within the nec-
essarily uncertain limits of just damages to be deter-
mined by the jury. This jury discharged its obligations
conscientiously, dutifully, and according to the court’s
instructions on the law to be applied. This jury was a
careful jury whose behavior was beyond reproach; [its]
attention to the evidence and instructions from the
court is evident from the specific questions [it] asked
regarding both the charge and the evidence.37 In
reviewing the evidence in a light most favorable to
sustaining the [verdict], the court finds that the evi-
dence of the devastating harm caused to the plaintiffs
through the defendants’ continued use of their business
platform[s] to spread lies to a massive audience clearly
supports the [verdict], and that the [verdict was] within
the limits of a fair and just award of damages.’’ (Foot-
notes added; footnotes omitted.)
Before addressing the defendants’ claim, we set forth
the following applicable legal principles and standard of
review. General Statutes § 52-216a provides in relevant
part: ‘‘If the court at the conclusion of the trial con-
cludes that the verdict is excessive as a matter of law,
it shall order a remittitur and, upon failure of the party
so ordered to remit the amount ordered by the court,
it shall set aside the verdict and order a new trial. . . .’’
‘‘[I]n determining whether to order remittitur, the trial
court is required to review the evidence in the light
most favorable to sustaining the verdict. . . . Upon
completing that review, the court should not interfere
with the jury’s determination except when the verdict
is plainly excessive or exorbitant. . . . The ultimate
test [that] must be applied to the verdict by the trial
court is whether the jury’s award falls somewhere
within the necessarily uncertain limits of just damages
37
The jury submitted several notes during its deliberations.
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or whether the size of the verdict so shocks the sense


of justice as to compel the conclusion that the jury
[was] influenced by partiality, prejudice, mistake or
corruption. . . . The court’s broad power to order a
remittitur should be exercised only when it is manifest
that the jury [has awarded damages that] are contrary
to law, not supported by proof, or contrary to the court’s
explicit and unchallenged instructions. . . . Accord-
ingly, we consistently have held that a court should
exercise its authority to order a remittitur rarely—only
in the most exceptional of circumstances . . . and
[when] the court can articulate very clear, definite and
satisfactory reasons . . . for such interference.’’ (Cita-
tion omitted; internal quotation marks omitted.) Ash-
more v. Hartford Hospital, 331 Conn. 777, 782–83, 208
A.3d 256 (2019). The inquiry into whether a damages
award shocks the sense of justice ‘‘is not intended to
detect the kind of shock that arises from a moral outrage
but, instead, refers to the distress that may be felt when
the requirement of reasonableness has been abandoned
in a setting in which reason is a necessary element
of any legitimate outcome. If the verdict cannot be
explained rationally, then the trial court may presume
that it is tainted by improper considerations.’’ Maldo-
nado v. Flannery, 343 Conn. 150, 166–67, 272 A.3d
1089 (2022).

‘‘[O]ur review of the trial court’s decision [to grant or


deny remittitur] requires careful balancing. . . . [T]he
decision whether to reduce a jury verdict because it is
excessive as a matter of law . . . rests solely within
the discretion of the trial court. . . . [T]he same gen-
eral principles apply to a trial court’s decision to order
a remittitur. [Consequently], the proper standard of
review . . . is that of an abuse of discretion. . . .
[T]he ruling of the trial court . . . is entitled to great
weight and every reasonable presumption should be
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given in favor of its correctness. . . . The chief ratio-


nale that has been articulated in support of this deferen-
tial standard of review is that the trial court, having
observed the trial and evaluated the testimony first-
hand, is better positioned than a reviewing court to
assess both the aptness of the award and whether the
jury may have been motivated by improper sympathy,
partiality, or prejudice.’’38 (Citations omitted; internal
quotation marks omitted.) Ashmore v. Hartford Hospi-
tal, supra, 331 Conn. 783.
‘‘[A]lthough the trial court has a broad legal discretion
in this area, it is not without its limits. . . . Litigants
have a constitutional right to have factual issues
resolved by the jury. . . . This right embraces the
determination of damages when there is room for a
reasonable difference of opinion among fair-minded
persons as to the amount that should be awarded. . . .
Furthermore, [t]he size of the verdict alone does not
determine whether it is excessive. . . . Thus, [i]n rul-
ing on the motion for remittitur, the trial court [is]
obliged to view the evidence in the light most favorable
to the plaintiff in determining whether the verdict
returned [is] reasonably supported thereby. . . . A
conclusion that the jury exercised merely poor judg-
ment is an insufficient basis for ordering a remittitur.
. . . A generous award of noneconomic damages
should be sustained if it does not shock the sense of
justice. . . . The fact that the jury returns a verdict in
excess of what the trial judge would have awarded does
not alone establish that the verdict was excessive. . . .
[T]he court should not act as the seventh juror with
absolute veto power. Whether the court would have
38
The defendants assert that we should exercise plenary review over their
claim because the jury’s verdict ‘‘shocks the sense of justice’’ in violation
of their due process rights. The defendants provide no legal authority in
support of this assertion. We, instead, apply the well settled standard of
review and examine the court’s decision for an abuse of discretion.
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reached a different [result] is not in itself decisive. . . .


The court’s proper function is to determine whether
the evidence, reviewed in a light most favorable to the
prevailing party, reasonably supports the jury’s verdict.
. . . In determining whether the court abused its dis-
cretion, therefore, we must examine the evidential basis
of the verdict itself . . . . [T]he court’s action cannot
be reviewed in a vacuum. The evidential underpinnings
of the verdict itself must be examined.’’ (Internal quota-
tion marks omitted.) Gois v. Asaro, 150 Conn. App. 442,
457–58, 91 A.3d 513 (2014).
Moreover, ‘‘[p]roper compensation for noneconomic
damages cannot be computed by a mathematical for-
mula, and there is no precise rule for the assessment
of damages. . . . The plaintiff need not prove damages
with mathematical exactitude; rather, the plaintiff must
provide sufficient evidence for the trier to make a fair
and reasonable estimate.’’ (Internal quotation marks
omitted.) Id., 457; see also Commission on Human
Rights & Opportunities v. Cantillon, 347 Conn. 58,
68–69, 295 A.3d 919 (2023) (‘‘Noneconomic damages,
such as emotional distress, pain and suffering, are, at
best, rather indefinite and speculative in nature. . . .
For more than fifty years, this court has rejected the
idea that any specific yardstick can be applied to cabin
the discretion of the trier of fact when calculating a
fair and appropriate award of noneconomic damages.’’
(Citation omitted; internal quotation marks omitted.)).
The defendants assert that a remittitur of the jury’s
verdict was necessary because the plaintiffs failed to
submit sufficient evidence to establish their damages,
such as medical evidence or expert testimony concern-
ing their emotional distress, leaving the jury without
a means to determine damages other than relying on
passion, prejudice, and speculation. The defendants
maintain that, rather than prove their damages, the
plaintiffs ‘‘focus[ed] . . . on arousing sympathy,
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directing anger, and anchoring a large number before


the jury39 with the hope that [the] jurors would do what
they did in this case—award a fortune.’’ (Footnote
added.) We disagree.40
Our review of the record reveals that there was suffi-
cient evidence to support the $965,000,000 in compensa-
tory damages awarded by the jury. All of the plaintiffs
39
The defendants reference the plaintiffs’ closing argument, during which
the plaintiffs’ counsel, in addressing damages for defamation and slander,
proposed that the jury consider (1) picking a number representing a reason-
able amount to award to one individual, assuming that a lie about that
individual had been told to one person, and (2) multiplying that number
first by 550 million, which, according to testimony elicited from Watts,
represented the minimum audience that the defendants’ lies about Sandy
Hook reached between 2012 and 2018, and then by fifteen, or the number
of plaintiffs in the underlying consolidated actions.
40
The defendants raise two additional assertions that we discuss briefly.
First, the defendants contend that, to comport with due process, the plaintiffs
were required to present evidence that estimated their damages so as to
provide ‘‘some notice as to the magnitude of [the] harm’’ suffered. As before
the trial court, the defendants have failed to provide any substantive legal
analysis to support this claim, and, therefore, we deem it to be abandoned.
See Lafferty v. Jones, supra, 336 Conn. 375 n.30. Moreover, we iterate our
Supreme Court’s recent statement that ‘‘[n]oneconomic damages, such as
emotional distress, pain and suffering, are, at best, rather indefinite and
speculative in nature. . . . For more than fifty years, [our Supreme Court]
has rejected the idea that any specific yardstick can be applied to cabin the
discretion of the trier of fact when calculating a fair and appropriate award
of noneconomic damages.’’ (Citation omitted; internal quotation marks omit-
ted.) Commission on Human Rights & Opportunities v. Cantillon, supra,
347 Conn. 68–69. We also observe that, under Connecticut law, in civil
actions seeking the recovery of damages resulting from personal injury,
counsel is entitled, but not required, to present argument on the amount of
past and future noneconomic damages. See General Statutes § 52-216b (a)
(‘‘[i]n any civil action to recover damages resulting from personal injury or
wrongful death, counsel for any party to the action shall be entitled to
specifically articulate to the trier of fact during closing arguments, in lump
sums or by mathematical formulae, the amount of past and future economic
and noneconomic damages claimed to be recoverable’’); see also Practice
Book § 16-19 (‘‘In any action seeking damages for injury to the person, the
amount demanded in the complaint shall not be disclosed to the jury. In
the event that the jury shall return a verdict which exceeds the amount
demanded, the judicial authority shall reduce the award to, and render
judgment in, the amount demanded. Counsel for any party to the action may
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testified that, in the aftermath of the Sandy Hook massa-


cre, they endured traumatic threats and harassment,
conveyed, inter alia, through social media, by mail, or
in person, stemming from the lies, as propagated by
the defendants, that the Sandy Hook massacre was a
hoax. Examples of such threats and harassment
included death threats, claims that the plaintiffs were
actors, and accusations that the deceased victims of
the Sandy Hook massacre were not real or were still
alive. Additionally, all of the plaintiffs testified to the
mental anguish and emotional harm that they suffered
as a result of the harrowing threats and harassment
they experienced.41 The extent of the plaintiffs’ damages
articulate to the jury during closing argument a lump sum or mathematical
formula as to damages claimed to be recoverable.’’).
Second, the defendants assert that the jury awarded the plaintiffs punitive,
rather than compensatory, damages. The record does not support this asser-
tion. Our review of the court’s jury charge reflects that the court instructed
the jury that its task was to determine compensatory damages, and the
court expressly instructed the jury that, ‘‘[u]nder the rule [of] compensatory
damages, the purpose of an award of damages is not to punish or penalize
the defendants for their wrongdoing but to compensate the plaintiffs for
the resulting harms and losses.’’ Moreover, the court separately instructed
the jury that (1) the plaintiffs were seeking punitive damages in the form
of attorney’s fees and costs, and (2) the jury was to determine whether
punitive damages were to be awarded, with the court to determine the
amount thereof if awarded. In a section of the verdict form titled ‘‘Compensa-
tory Damages,’’ the jury awarded the plaintiffs a total of $965,000,000 in
damages, comprising past and future ‘‘defamation/slander’’ and emotional
distress damages. In a separate section of the verdict form, the jury deter-
mined that the plaintiffs were entitled to attorney’s fees and costs. The
defendants do not challenge the propriety of the jury instructions, and, ‘‘in
the absence of a showing that the jury failed or declined to follow the court’s
instructions, we presume that the jury followed them.’’ Audibert v. Halle,
198 Conn. App. 472, 482, 233 A.3d 1237 (2020). Thus, we reject the defendants’
contention that the $965,000,000 awarded by the jury to the plaintiffs consti-
tuted punitive, rather than compensatory, damages.
41
Insofar as the defendants argue that the plaintiffs were required to
produce medical or expert testimony to corroborate their testimony concern-
ing their emotional distress, the defendants provide no legal support for
this assertion. Cf. Patino v. Birken Mfg. Co., 304 Conn. 679, 707 n.25, 41
A.3d 1013 (2012) (rejecting defendant’s argument that plaintiff’s testimony
regarding emotional distress was insufficient without corroboration by medi-
cal or expert testimony).
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was established further by the testimony of Watts, the


plaintiffs’ social media expert, who testified that, on
the basis of data that he reviewed from three social
media platforms, namely, YouTube, Facebook, and
Twitter, the defendants’ lies about the Sandy Hook mas-
sacre reached a minimum audience of 550 million peo-
ple between 2012 and 2018.
In sum, we agree with the court that the evidence
supported the jury’s verdict and, although substantial,
the verdict did not ‘‘so [shock] the sense of justice as
to compel the conclusion that the jury [was] influenced
by partiality, prejudice, mistake or corruption.’’ (Inter-
nal quotation marks omitted.) Ashmore v. Hartford
Hospital, supra, 331 Conn. 782. Accordingly, we con-
clude that the court did not abuse its discretion in
denying the defendants’ motion for a remittitur.
V
The defendants’ final claim is that the trial court
improperly concluded that the plaintiffs asserted a
legally viable CUTPA claim. For the reasons that follow,
we agree.
We begin with a brief overview of CUTPA. ‘‘CUTPA
is, on its face, a remedial statute that broadly prohibits
unfair methods of competition and unfair or deceptive
acts or practices in the conduct of any trade or com-
merce. . . . To give effect to its provisions, [General
Statutes] § 42-110g (a)42 of [CUTPA] establishes a pri-
vate cause of action, available to [a]ny person who
suffers any ascertainable loss of money or property,
real or personal, as a result of the use or employment
42
General Statutes § 42-110g (a) provides in relevant part: ‘‘Any person
who suffers any ascertainable loss of money or property, real or personal,
as a result of the use or employment of a method, act or practice prohibited
by section 42-110b, may bring an action in the judicial district in which the
plaintiff or defendant resides or has his principal place of business or is
doing business, to recover actual damages. . . .’’
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of a method, act or practice prohibited by [General


Statutes §] 42-110b . . . .’’ (Footnote added; internal
quotation marks omitted.) Cenatiempo v. Bank of
America, N.A., 333 Conn. 769, 788, 219 A.3d 767 (2019).
Section 42-110b (a), in turn, provides: ‘‘No person shall
engage in unfair methods of competition and unfair or
deceptive acts or practices in the conduct of any trade
or commerce.’’ Section 42-110a (4) defines ‘‘ ‘[t]rade’
and ‘commerce’ ’’ as ‘‘the advertising, the sale or rent
or lease, the offering for sale or rent or lease, or the
distribution of any services and any property, tangible
or intangible, real, personal or mixed, and any other
article, commodity, or thing of value in this state.’’43
The following additional procedural history is rele-
vant to our resolution of this claim. To support their
CUTPA claim in their original complaint, in addition to
incorporating the allegations of the other claims that
they asserted, the plaintiffs alleged, inter alia, that (1)
the defendants ‘‘unethically, oppressively, immorally,
and unscrupulously developed, propagated, and dis-
seminated outrageous and malicious lies about the
plaintiffs and their family members, and they did so for
profit,’’44 (2) the defendants engaged in a ‘‘campaign
43
CUTPA ‘‘refers to ‘trade or commerce’ in the substantive provision, § 42-
110b (a), but contains a definition of ‘ ‘‘trade’’ ’ and ‘ ‘‘commerce’’ ’ in the
definitions provision, § 42-110a (4). The definition seems to equate the dis-
junctive with the conjunctive relationship of the two terms and interpret
the two terms as having a single meaning or a combined inclusive meaning.’’
R. Langer et al., 12 Connecticut Practice Series: Connecticut Unfair Trade
Practices, Business Torts and Antitrust (2024–2025 Ed.) § 3.1, p. 117 n.2.
44
The plaintiffs further alleged, for instance, that, ‘‘[o]nce he has their
attention and trust, Jones exploits his audience by selling them products in
line with the paranoid worldview he promotes. In [Jones’] [I]nternet based
and broadcast radio shows, the . . . defendants hawk ‘open currency’ pre-
cious metals, prepackaged food and dietary supplements, ‘male enhance-
ment’ elixirs and radiation-defeating iodine tablets, gas masks and body
armor, and various customized AR-15 ‘lower receivers’ (the extruded metal
frame that encloses the breach, ammunition feed and firing mechanism of
the rifle). . . . [T]he . . . defendants concoct elaborate and false paranoia-
tinged conspiracy theories because it moves product and they make money.
Jones and his subordinates say what they say not because they are eager
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of lies, abuse, and harassment, [which constituted] a


deceptive practice and offended public policy,’’ (3) the
defendants’ ‘‘reprehensible conduct caused substantial
injury to the plaintiffs and other consumers that [was]
not outweighed by any countervailing benefits to any-
one, and that the plaintiffs themselves could not have
reasonably avoided,’’ (4) the defendants’ ‘‘conduct was
a foreseeable cause of and a substantial factor causing
the plaintiffs’ injury,’’ and (5) the defendants ‘‘broadcast
their outrageous, cruel, and malicious lies about the
plaintiffs with knowledge that the statements were false
and with reckless disregard as to whether or not they
were true.’’45
On October 9, 2020, the Jones defendants filed a
motion to strike, asserting in relevant part that the plain-
tiffs’ CUTPA claim was insufficiently pleaded. On April
29, 2021, the plaintiffs filed an objection, and, on June
4, 2021, the Jones defendants filed a reply brief. On
November 18, 2021, the court denied the motion to
strike. With respect to the plaintiffs’ CUTPA claim, the
court determined that ‘‘[a]n allegation of defamatory
conduct on the part of a defendant is sufficiently wrong-
ful to formulate the underlying basis of a CUTPA cause
of action. . . . As the court is not striking the plaintiffs’
defamation claim, the plaintiffs’ [original] complaint
sets forth allegations of violations of public policy or
otherwise immoral, unethical, oppressive or unscrupu-
lous conduct such that the plaintiffs allege a legally
sufficient CUTPA cause of action.’’ (Citations omitted.)
The court further determined that the plaintiffs had
standing to maintain their CUTPA claim, stating that
to educate or even to entertain their audience. Rather, they deliberately
stoke social anxiety and political discord in their listeners, because distrust
in government and cultural tribalism motivate[s] those listeners to buy their
products.’’ (Footnote omitted.)
45
The allegations in support of the plaintiffs’ CUTPA claim were substan-
tively identical in the plaintiffs’ respective original complaints, as well as
in their September, 2022 amended complaint.
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‘‘the plaintiffs allege that the [Jones] defendants ‘broad-


cast . . . outrageous, cruel and malicious lies about
the plaintiffs’ and that ‘[t]hese acts of the [Jones] defen-
dants resulted in damage to the plaintiffs.’ Therefore,
the plaintiffs have set forth a colorable claim of direct
injury such that they have standing to maintain their
CUTPA cause of action.’’
On October 5, 2022, after the plaintiffs had rested
their case-in-chief at the hearing in damages, the defen-
dants’ counsel orally moved for a directed verdict and/
or to dismiss the plaintiffs’ CUTPA claim.46 The defen-
dants’ counsel argued in relevant part that the plaintiffs
were asserting a ‘‘novel application’’ of CUTPA because
‘‘there is no representation whatsoever that the plain-
tiffs were harmed in any respect by . . . Jones’ com-
mercial activities with respect to the sale of dietary
supplements. . . . There is no evidence that anyone
was harmed by his commercial activity. . . . [N]othing
in [his] speech, or the consequences of that speech,
addresses what CUTPA is intended to address . . . and
that is whether consumers were harmed by . . . the
commercial activity [affecting] trade or commerce.
. . . [W]hat we have here is a novel attempt to use
CUTPA to silence unpopular speech. . . . So, we think
that CUTPA is being used for inappropriate grounds
and that the plaintiffs lack standing to bring the action
because they cannot establish that they were harmed
by . . . Jones’ commercial activity. . . . [T]here is no
case . . . that supports what the plaintiffs intend to
do in this case, and that is [to] use . . . a statute that
is designed to protect consumers against unscrupulous
trade and commercial practices to attack speech. . . .
[N]othing in our law supports an application of CUTPA
on the fact[s] as pled and proven in this case.’’ In
response, the plaintiffs’ counsel argued in relevant part:
46
On October 6, 2022, the defendants filed a written version of their
oral motion.
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‘‘With regard to the idea that the CUTPA claim is only


about statements, it’s not. What it describes is a com-
mercial course of conduct that is built on targeting
and victimizing these families by lying about them. So,
certainly lies are in the mix, but what the court heard
was not just the occasional lie, it’s the use of lies to
sell products to fuel a business. . . . There is a busi-
ness plan to hurt these families and to sell things by
hurting them. And that has to be . . . remediable under
CUTPA . . . .’’ In rebuttal, the defendants’ counsel
argued that there was no precedent providing that
CUTPA applies when (1) ‘‘a person engages in extreme
comments and relies on the sale of products to produce
that platform’’ and (2) there is no evidence of harm
stemming from the products sold. The court rejected
the defendants’ claims without additional comment.
Subsequently, in their motion to set aside the jury’s
verdict, the defendants, in essence, reasserted their
prior contention that the plaintiffs’ CUTPA claim was
legally insufficient. In denying that motion, the court
determined in relevant part that ‘‘CUTPA serves to deter
predatory commercial conduct such as [the conduct
alleged by the plaintiffs]. This court, in ruling on the
defendants’ motion to strike, already determined that
‘[a]n allegation of defamatory conduct on the part of a
defendant is sufficiently wrongful conduct to formulate
the basis of a CUTPA cause of action.’ The [verdict]
rendered by [the] jury [is] not against the law or the
evidence.’’47
We construe the crux of the defendants’ claim on
appeal to be that the conduct at issue alleged by the
plaintiffs and admitted by operation of the defendants’
default, namely, the defendants’ dissemination of lies
47
The defendants raised additional claims directed to the plaintiffs’ CUTPA
claim, including that the plaintiffs failed to plead the ascertainable loss
element of a CUTPA claim. The court rejected these claims, and the defen-
dants do not pursue these issues on appeal.
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about the Sandy Hook massacre, was insufficient to


support a viable CUTPA claim because their actions
were not performed ‘‘in the conduct of any trade or
commerce.’’ General Statutes § 42-110b (a). The defen-
dants posit that no CUTPA claim arises here when (1)
they did not lie about or unscrupulously advertise the
products that they sold and (2) their actions led to
indirect commercial gains through product sales. In
short, the defendants contend that they engaged in non-
commercial speech outside of the scope of CUTPA. The
plaintiffs respond that, ‘‘[w]hen using lies about [the]
plaintiffs to sell supplements, [the defendants were]
engaged in ‘unfair’ and ‘deceptive’ acts and practices
‘in the conduct of’ [their] ‘trade or commerce.’ ’’ We
conclude that, as a matter of law, the acts in which the
defendants engaged were not ‘‘in the conduct of any
trade or commerce’’ as required pursuant to CUTPA.
See General Statutes § 42-110b (a).
‘‘The interpretation of pleadings is an issue of law.
. . . We conduct a plenary review of the pleadings to
determine whether they are sufficient to establish a
cause of action upon default.’’ (Citation omitted; inter-
nal quotation marks omitted.) Gaynor v. Hi-Tech
Homes, 149 Conn. App. 267, 276, 89 A.3d 373 (2014).
Moreover, ‘‘[w]hether a defendant is subject to CUTPA
is a question of law that is subject to plenary review.’’
NRT New England, LLC v. Longo, 207 Conn. App. 588,
610–11, 263 A.3d 870, cert. denied, 340 Conn. 906, 263
A.3d 821 (2021).
Before turning to the merits of the defendants’ claim,
we note that the default entered against the defendants
does not limit our review of this claim. ‘‘An appellate
court . . . may examine the allegations of a complaint
to ascertain whether they are sufficient on their face
to establish a valid claim for the relief requested. . . .
Although the failure of a party to deny the material
allegations of a pleading operates so as to impliedly
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admit the allegations, a default does not automatically


trigger judgment for, or the relief requested by, the
pleader. The pleader is entitled to an entry of judgment
or a grant of relief as a function of the nonresponsive
party’s default and the attendant implied admission only
when the allegations in the well pleaded filing are suffi-
cient on their face to make out a claim for judgment
or relief. . . . While an admission carries with it all
reasonable implications of fact and legal conclusions
. . . the admission cannot traverse beyond the bounds
of the underlying pleading and admit allegations not
made by the pleader; the pleading is, unless leave is
granted to modify, the ceiling.’’ (Internal quotation
marks omitted.) Gaynor v. Hi-Tech Homes, supra, 149
Conn. App. 274–75. ‘‘As such, while a default admits
the material allegations of the underlying pleading, the
question as to whether the default requires judgment
in favor of the pleader is to be determined by reference
to the sufficiency of the pleading itself.’’ Commissioner
of Social Services v. Smith, 265 Conn. 723, 737, 830
A.2d 228 (2003). ‘‘Put another way, in both equitable
and legal actions, the plaintiff must establish his right
to relief to the court’s satisfaction, even though some
issues may have been laid at rest by the default.’’ (Inter-
nal quotation marks omitted.) Moran v. Morneau, 140
Conn. App. 219, 226, 57 A.3d 872 (2013); see also id.,
225 (‘‘[a] default may settle many issues, but it does
not operate to insulate a mistaken legal proposition
from judicial review’’).
For CUTPA to apply, there must be an unfair or
deceptive act or practice committed ‘‘in the conduct of
any trade or commerce.’’ General Statutes § 42-110b
(a); see also Cenatiempo v. Bank of America, N.A.,
supra, 333 Conn. 789 (‘‘[t]o successfully state a claim
for a CUTPA violation, the plaintiffs must allege that
the defendant’s acts occurred in the conduct of trade
or commerce’’); Pellet v. Keller Williams Realty Corp.,
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177 Conn. App. 42, 62, 172 A.3d 283 (2017) (‘‘[t]he essen-
tial elements to pleading a cause of action under CUTPA
are: (1) the defendant committed an unfair or deceptive
act or practice; (2) the act complained of was performed
in the conduct of trade or commerce; and (3) the prohib-
ited act was the proximate cause of harm to the plain-
tiff’’ (emphasis added)). CUTPA defines ‘‘ ‘[t]rade’ and
‘commerce’ ’’ as ‘‘the advertising, the sale or rent or
lease, the offering for sale or rent or lease, or the distri-
bution of any services and any property, tangible or
intangible, real, personal or mixed, and any other arti-
cle, commodity, or thing of value in this state.’’ General
Statutes § 42-110a (4).
‘‘Despite th[e] broad language [of § 42-110a (4)], the
definition of trade and commerce is not unlimited and
has been used to restrict the application of CUTPA.’’
Stearns & Wheeler, LLC v. Kowalsky Bros., Inc., 289
Conn. 1, 11 n.13, 955 A.2d 538 (2008); see also R. Langer
et al., 12 Connecticut Practice Series: Connecticut
Unfair Trade Practices, Business Torts and Antitrust
(2024–2025 Ed.) § 3.1, p. 117 (‘‘[b]ecause CUTPA applies
only to acts ‘in the conduct of any trade or commerce,’
there is a significant limitation on the reach of [CUTPA]’’
(footnote omitted)); see, e.g., Sempey v. Stamford Hos-
pital, 194 Conn. App. 505, 518, 221 A.3d 839 (2019)
(trial court properly struck CUTPA count predicated
on allegations that former employer made false state-
ments to State of Connecticut Unemployment Commis-
sion regarding former employee’s reliability and integ-
rity because, inter alia, employee failed to allege that
employer committed any acts in ‘‘ ‘conduct of any trade
or commerce’ ’’).
Exercising our plenary review, we conclude that the
facts alleged by the plaintiffs and admitted by the defen-
dants are legally insufficient to satisfy the ‘‘trade or
commerce’’ prong of CUTPA. As we have explained,
the conduct forming the basis of the plaintiffs’ CUTPA
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claim was the defendants’ propagation of lies that the


Sandy Hook massacre was a hoax. Applying the statu-
tory definition of ‘‘ ‘[t]rade’ and ‘commerce’ ’’ set forth
in § 42-110a (4) (i.e., ‘‘the advertising, the sale or rent
or lease, the offering for sale or rent or lease, or the
distribution of any services and any property, tangible
or intangible, real, personal or mixed, and any other
article, commodity, or thing of value in this state’’), we
cannot conclude that the defendants violated CUTPA
in disseminating their lies about the Sandy Hook massa-
cre. That the defendants’ speech was motivated by a
desire to generate profit through sales of products that
the defendants marketed is not adequate to satisfy the
‘‘trade or commerce’’ prong of CUTPA. Indeed, nothing
in the defendants’ speech, in and of itself, concerning
the Sandy Hook massacre made any mention of their
products.

In their respective appellate briefs, the plaintiffs and


the defendants address our Supreme Court’s decision
in Soto v. Bushmaster Firearms International, LLC,
331 Conn. 53, 202 A.3d 262, cert. denied sub nom. Rem-
ington Arms Co., LLC v. Soto, U.S. , 140 S. Ct.
513, 205 L. Ed. 2d 317 (2019). In Soto, several plaintiffs,
acting as the administrators of the estates of nine of
the victims of the Sandy Hook massacre; id., 65, 66 n.2;
commenced an action against several defendants who
were alleged to have manufactured, distributed, and
sold (to Lanza’s mother) the weapon used by Lanza at
Sandy Hook—a Bushmaster XM15-E2S semiautomatic
rifle. Id., 65–66. The plaintiffs asserted a number of legal
theories seeking to hold the defendants liable in part for
the Sandy Hook massacre, most of which our Supreme
Court determined to be precluded by Connecticut law
and/or the Protection of Lawful Commerce in Arms Act
(PLCAA), Pub. L. No. 109-92, 119 Stat. 2095 (2005),
codified at 15 U.S.C. §§ 7901 through 7903 (2012). Id., 65.
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Our Supreme Court concluded, however, that the


plaintiffs ‘‘offered one narrow legal theory’’ that was
recognized pursuant to Connecticut law and not pre-
cluded by PLCAA. Id. Specifically, the plaintiffs alleged
that ‘‘the defendants violated CUTPA48 by advertising
and marketing the XM15-E2S in an unethical, oppres-
sive, immoral, and unscrupulous manner that promoted
illegal offensive use of the rifle’’ and ‘‘that such promo-
tional tactics were causally related to some or all of
the injuries that were inflicted during the Sandy Hook
massacre.’’ (Footnote added.) Id., 86–87. The trial court
struck this CUTPA claim, along with a distinct claim
by the plaintiffs alleging that the sale of the XM15-E2S
to the civilian market, ipso facto, constituted an unfair
trade practice, on the ground that the plaintiffs lacked
standing stemming from their status as ‘‘third-party vic-
tims who did not have a direct consumer, commercial,
or competitor relationship . . . with the defendants.’’
Id., 88. Our Supreme Court determined that the trial
court erred in striking the plaintiffs’ CUTPA claims,
reasoning: ‘‘Because the principal evils associated with
unscrupulous and illegal advertising are not ones that
necessarily arise from or infect the relationship
between an advertiser and its customers, competitors,
or business associates, we hold that a party directly
injured by conduct resulting from such advertising can
bring an action pursuant to CUTPA even in the absence
of a business relationship with the defendant.’’ Id. Our
Supreme Court further clarified that it did not ‘‘need
[to] decide today whether there are other contexts or
situations in which parties who do not share a con-
sumer, commercial, or competitor relationship with an
alleged wrongdoer may be barred, for prudential or
policy reasons, from bringing a CUTPA action. What is
48
The plaintiffs in Soto brought their claims pursuant to Connecticut’s
wrongful death statute, General Statutes § 52-555, predicated in part on
alleged CUTPA violations. Soto v. Bushmaster Firearms International, LLC,
supra, 331 Conn. 67.
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clear is that none of the rationales that underlie the


standing doctrine, either generally or in the specific
context of unfair trade practice litigation, supports the
denial of standing to the plaintiffs in this case.’’ Id., 96.
Thus, the court held that the plaintiffs had standing with
respect to their ‘‘narrow legal theory’’ under CUTPA
because they alleged direct injuries from conduct
resulting from wrongful advertising. Id., 65, 99–100.
The allegations underlying the CUTPA claim deemed
viable in Soto are, however, materially distinguishable
from the allegations in the underlying consolidated
actions and do not lend the plaintiffs support with
respect to their allegation that the defendants acted ‘‘in
the conduct of any trade or commerce’’ for purposes
of CUTPA. As in Soto, the plaintiffs in this case did
not allege that they were consumers, competitors, or
otherwise in a business or commercial relationship with
the defendants. Unlike the plaintiffs in Soto, however,
the plaintiffs in this case did not allege that they were
‘‘directly injured by conduct resulting from’’ the defen-
dants’ advertising or sale of the defendants’ products,
such that they could ‘‘bring an action pursuant to
CUTPA even in the absence of a business relationship
with the defendant[s].’’ Soto v. Bushmaster Firearms
International, LLC, supra, 331 Conn. 88. Thus, notwith-
standing Soto’s elimination of the commercial relation-
ship test, the plaintiffs did not allege direct injury from
the defendants’ advertising or sale of the defendants’
products and, thus, did not fall within the expansion of
CUTPA liability established in Soto. Rather, they alleged
injuries from the defendants’ false speech about the
Sandy Hook massacre—speech that itself was silent
with regard to the defendants’ products. Stated differ-
ently, the plaintiffs did not allege direct injury from
commercial speech relating to the advertising, market-
ing, or sale of goods, as in Soto. To extend CUTPA’s
reach to provide a remedy (in addition to the torts of
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invasion of privacy by false light, defamation, defama-


tion per se, and intentional infliction of emotional dis-
tress) for content of speech unrelated to the advertising,
marketing, or sale of products is simply a bridge too far.
In sum, we conclude that the plaintiffs failed to assert
a legally viable CUTPA claim. As a result, the judgments
rendered with respect to the plaintiffs’ CUTPA claim
must be reversed and the attendant award entered pur-
suant to CUTPA, namely, the $150,000,000 in punitive
damages awarded by the court, must be vacated.
The judgments are reversed only as to the plaintiffs’
CUTPA claim and the cases are remanded with direc-
tion to vacate the court’s award of $150,000,000 in puni-
tive damages pursuant to CUTPA; the judgments are
affirmed in all other respects.
In this opinion the other judges concurred.

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