Opinion
On the morning of October 11, 2002, two vehicles collided near the intersection of Main Street and Clinton Avenue in Stamford and a civil action followed. Both parties now appeal from the judgment of the trial court setting aside, and subsequently reinstating, a directed verdict. In AC 28309, the defendant, the city of Stamford, claims that the court abused its discretion in (1) permitting the plaintiff Godfrey Burton 1 to amend his complaint after it had directed a verdict in favor of the defendant and (2) granting the plaintiffs motion to set aside the directed verdict. In AC 29468, the plaintiff maintains that the court improperly directed a verdict in favor of the defendant in light of its determination that the evidence was insufficient as a matter of law on the issue of causation. We affirm the judgment of the trial court in AC 28309 and reverse the judgment of the trial court in AC 29468.
The underlying facts are largely undisputed. On October 11, 2002, the plaintiff was driving his wife’s vehicle eastbound on Main Street in Stamford. He was headed
to a Jamaican restaurant on Main Street, which is the third store west of the intersection with Clinton Avenue. That morning, Officer James Grabinski of the Stamford police department was operating a vehicle owned by the defendant. At approximately 8:30 a.m., Grabinski responded
As he approached the intersection of Main Street and Clinton Avenue (intersection), 3 Grabinski saw the plaintiffs vehicle at rest and facing east in front of the Jamaican restaurant. Grabinski had a “free and clear unobstructed view and roadway” at that point, and observed no vehicles or pedestrians traveling in either the eastbound or westbound lanes. Grabinski testified that due to wet weather that day, he “started in a slow turn ... a slow, safe, reasonable turn.” At trial, Grabinski was unable to recall precisely where he began his left turn onto Clinton Avenue. He further acknowledged that his vehicle was in the eastbound lane—that is, the oncoming lane—prior to the collision.
The plaintiff had no memory of the collision. 4 Grabinski testified that once he had begun his left turn toward Clinton Avenue, “[s]uddenly, there was a car in front of me, and a collision occurred.” He recounted: “I don’t recall [the plaintiffs vehicle] being in the travel portion of the roadway until I was in my turn. I was in the process of my turn, and then I saw the vehicle as I was scanning across—then, boom. It was like that.” Grabinski further stated that he did not see the plaintiffs vehicle until it was right in front of him.
The vehicles collided nearly head on. As the court found: “The photographs admitted into evidence at trial show the vehicles as they came to rest following the collision. Both cars have extensive front end damage. ... As the cars came to rest on Main Street, their conjoined front ends are somewhat east of the . . . intersection. . . . The bumper of the police car had crumpled the front bumper and left front fender of the [plaintiffs vehicle] back approximately to the point of its left front tire. . . . The plaintiffs [vehicle] is headed approximately straight east on Main Street with all four wheels approximately parallel to the double yellow line and well within the lane designated for eastbound traffic. The police car is positioned at a slight angle to the driver’s left, or to the southwest. Its right front tire is several feet south of the double yellow line of Main street, approximately aligned with the left front tire of the [plaintiffs vehicle]; its right rear tire is inches south of the double yellow line. All four tires of the police car are in the eastbound lane of Main Street.” (Citations omitted.)
The plaintiff immediately was transferred to Stamford Hospital. Neurologist Joel Feigenson testified that the plaintiff suffered a spinal cord injury between the C-3 and C-6 vertebrae that caused a cervical myelopathy, producing weakness in the plaintiffs arms and legs, and a traumatic brain injury.
A civil action followed. By complaint dated September 23, 2003, the plaintiff alleged that the defendant, pursuant to
The plaintiff thereafter timely moved to set aside the directed verdict pursuant to Practice Book § 16-35, arguing, inter alia, that the court improperly denied his request to amend his complaint. After receiving supplemental briefs and conducting a hearing thereon, the court granted the motion to set aside by memorandum of decision filed November 17,2006. The court acknowledged its earlier mistake, stating that the “court was in error in denying the motion [to amend] as made ‘too late.’ A trial court has wide discretion in granting or denying amendments to pleadings before, during or even after trial.” It continued: “The trial . . . did not end with the granting of the motion for a directed verdict, and the [plaintiffs] motion to amend should have been considered on its merits in accordance with the court’s discretionary powers.” On the motion’s merits, the court considered the length of the delay, the fairness to the respective parties and the plaintiffs negligence “in not requesting the amendment prior to the granting of a directed verdict.” Exercising its discretion, the court determined that the plaintiffs motion to amend should have been permitted. The court further concluded that because the plaintiff had sufficiently apprised the defendant that he was proceeding under § 52-557n at trial, “the directed verdict must be set aside,” and a new trial was ordered. From that judgment, the defendant appealed to this court in AC 28309.
In addition, the defendant filed a series of motions with the trial court.
7
A hearing
I
AC 28309
Before considering the defendant’s specific claims on appeal, we first address a threshold question of subject matter jurisdiction. “[I]t is a fundamental rule that a court may raise and review the issue of subject matter jurisdiction at any time. . . . Subject matter jurisdiction involves the authority of the court to adjudicate the type of controversy presented by the action before it. . . . [A] court lacks discretion to consider the merits of a case over which it is without jurisdiction . . . .” (Internal quotation marks omitted.)
Peters
v.
Dept. of Social Services,
At issue is whether the defendant’s appeal is moot. “Mootness implicates [the] court’s subject matter jurisdiction .... It is a well-settled general rule that the
existence of an actual controversy is an essential requisite to appellate jurisdiction; it is not the province of appellate courts to decide moot questions, disconnected from the granting of actual relief or from the determination of which no practical relief can follow. ... An actual controversy must exist not only at the time the appeal is taken, but also throughout the pendency of the appeal. . . . When, during the pendency of an appeal, events have occurred that preclude an appellate court from granting any practical relief through its disposition of the merits, a case has become moot.” (Internal quotation marks omitted.)
Giaimo
v.
New Haven,
Applying that standard to the present case, we conclude that it falls within the latter scenario. On December 5, 2006, the defendant appealed from the judgment of the trial court granting the plaintiffs motion to set aside the directed verdict and ordering a new trial. The issues presented in that appeal are whether the court abused its discretion in (1) permitting the plaintiff to amend his complaint and (2) granting the motion to set aside the directed verdict. While that appeal was pending, the court vacated the order for a new trial. On May 2, 2007, the court ordered that it “will decide part one of the defendant’s motion for a directed verdict [alleging evidential insufficiency] on the merits. . . . The court will reconsider the issue of whether ... a new trial should be ordered in connection with its decision on part one of the motion for a directed verdict.” The court thereafter concluded that the evidence was insufficient on the issue of causation and again directed a verdict in favor of the defendant. Plainly, then, the court opened the judgment in the present case to address an issue—evidential insufficiency—that is entirely unrelated to the defendant’s pending appeal. As a result, under
RAL Management, Inc.
v.
Valley View Associates,
supra,
A
The defendant contends that the court improperly permitted the plaintiff to amend his complaint after it had directed a verdict in its favor. We disagree and conclude that the court did not abuse its discretion in so doing.
For multiple reasons, the defendant maintains that the court abused its discretion in permitting the plaintiff to amend his complaint. They are equally unconvincing.
The defendant first insists that a motion to amend is not permitted after the granting of a directed verdict. It has provided no authority for that proposition. To the contrary, our Supreme Court recently noted that “[u]nder certain circumstances, the trial court may allow an amendment to plead an additional special defense
even after judgment has
entered.” (Emphasis added.)
Dow & Condon, Inc.
v.
Brookfield Development Corp.,
Although it acknowledges the decision of our Supreme Court in
McAlister,
the defendant characterizes that precedent as an “ ‘older’ ” and inapplicable case. To its first point, we remind counsel that it is
not the vintage but the vitality of precedent that is of significance. The defendant has proffered no authority either indicating that
McAlister
presently is not good law in this jurisdiction or questioning the
The defendant also claims that the plaintiffs failure to present his motion to amend in written form constitutes a defect depriving the court of discretion to consider the motion. Consistent with its previous claim, the defendant provides no relevant authority for that contention.
9
In
Falby
v.
Zarembski,
The defendant further argues that on the merits, the motion to amend should not have been granted. The plaintiffs complaint contained the following allegation: “Pursuant to § 7-465 . . . notice was given to the [t]own [c]lerk for the [defendant] on January 13, 2003, of the [plaintiff’s intention] to commence this action . . . .” Like § 52-557n,
10
§ 7-465 is a statute abrogating governmental immunity.
11
A party “may choose to rely on either [§ 52-557n or § 7-465] as long as
In passing on a motion to amend, a court must consider “the length of the delay, fairness to the opposing parties and the negligence, if any, of the party offering the amendment.” (Internal quotation marks omitted.)
Rizzuto
v.
Davidson Ladders, Inc.,
supra,
B
The defendant also claims that the court abused its discretion in granting the plaintiffs motion to set aside the directed verdict. We disagree.
We begin our analysis of the defendant’s claim by noting that “[t]he trial court possesses inherent power to set aside a jury verdict which, in the court’s opinion, is against the law or the evidence.” (Internal quotation marks omitted.)
Jackson
v.
Water Pollution Control Authority,
The basis of the defendant’s claim of discretionary abuse is twofold. It first suggests that having already directed a verdict in the defendant’s favor, the court improperly revisited that determination. That argument misconstrues both the law of the case doctrine and the motion to set aside. The law of the case doctrine simply “expresses the practice of judges generally to refuse to reopen what [already] has been decided . . . .” (Internal quotation marks omitted.)
Johnson
v.
Atkinson,
supra,
The defendant’s misunderstanding extends to the procedural vehicle known as the motion to set aside a verdict. The purpose of the motion to set aside “is to ensure the fairness of postverdict trial court procedures . . . .”
Santopietro
v.
New
Haven,
The second basis of the defendant’s claim of discretionary abuse is its reliance on this court’s decision in
Gaudino
v.
East Hartford,
supra,
This case is patently distinguishable from Gaudino. Here, the plaintiff moved to amend his complaint to delete the reference to § 7-465. We already have concluded that the court did not abuse its discretion in granting that motion. See part I A. As such, this case is precisely the situation contemplated by Gaudino in which a plaintiff cures an otherwise defective pleading by amending the complaint.
Generally, a plaintiff is required to identify specifically any statute on which an action is grounded. Practice Book § 10-3; see also
Avon Meadow Condominium Assn., Inc.
v.
Bank of Boston Connecticut,
II
AC 29468
In his appeal, the plaintiff maintains that the court improperly directed a verdict in favor of the defendant in light of its determination that the evidence was insufficient as a matter of law on the issue of causation. The parties agree as to the basis of their disagreement— whether this case is controlled by the decision of our Supreme Court in
Winn
v.
Posades,
supra,
Directed verdicts are disfavored in this state. See
Boehm
v.
Kish,
Against that standard, the plaintiff contends that the court should not have directed a verdict because the jury reasonably could have concluded from the evidence presented that Grabinski’s negligence caused the plaintiffs injuries. The defendant insists that the present case is controlled by
Winn
v.
Posades,
supra,
Before focusing our attention on the precedent of our Supreme Court, we note what is not at issue in this appeal. In directing a verdict in the defendant’s favor, the court found that sufficient evidence existed for the jury reasonably to find that Grabinski was negligent in that he failed (1) “[to] keep a reasonable lookout for traffic in the moments prior to the collision” and (2) “to take evasive action to avoid a collision despite actual knowledge that a collision was imminent.” Those findings are not contested by the defendant
A
Pre-Winn Precedent
We start our discussion not with the
Winn
decision, but with the pertinent precedent that preceded it. More than one century ago, a four year old child was struck by a railcar and litigation followed.
Morse
v.
Consolidated Railway Co.,
The court reached a similar conclusion in
Wallace
v.
Waterhouse,
Possible negligence stemming from operation of a vehicle at an excessive rate of speed was at issue in
Palmieri v. Macero,
Next came
Terminal Taxi Co.
v.
Flynn,
The Supreme Court was not persuaded by that argument. Acknowledging that the plaintiff was “required to remove the issues of negligence and proximate cause from the field of conjecture and speculation,” the court nevertheless indicated that “[a] plaintiff, however, may sustain his burden of proof by circumstantial evidence.
The court again visited that issue three years later in
Toomey
v.
Danaher,
B
Winn
As the evening neared midnight on September 4,1997, and his work shift approached, the defendant police officer realized that he had left his handcuff keys at home. Racing out in his police cruiser, he entered an intersection in Plainville “at a speed of fifty-eight to seventy-five miles per hour in a twenty-five mile per hour zone.” (Internal quotation marks omitted.)
Winn
v.
Posades,
On appeal to the Supreme Court, the plaintiff claimed that this court “improperly concluded that the plaintiff had failed to present sufficient evidence of proximate cause as an element of her negligence and recklessness claims.”
Winn
v.
Posades,
supra,
As it did in
Wallace
v.
Waterhouse,
supra,
In affirming the judgment of this court, the Supreme Court emphasized that “[e]ven with the existence of evidence of unreasonable speed, [a] plaintiff nevertheless must demonstrate that the unreasonable speed was the proximate cause of the accident.” Id., 63. Reiterating
C
Subsequent Precedent
On November 27, 2007, the trial court directed a verdict in favor of the defendant. In concluding that the evidence presented by the plaintiff was insufficient as a matter of law to establish that Grabinski’s negligence caused the plaintiffs injuries, the court expressly relied on Winn. Months later, the Supreme Court revisited that decision.
In
Hicks
v.
State,
supra,
At trial, the plaintiff introduced the testimony of an eyewitness to the accident. 19 That witness indicated that she had been driving behind the plaintiff and described the accident that she observed. She opined that “had the plaintiff not been in front of her, she could have been involved in the same accident.” Id., 427. The plaintiff also introduced the testimony of an accident reconstruction expert and the three employees of the defendant who were performing a mowing operation at the scene at the time of the accident. At the close of the plaintiff’s case, the defendant moved for a directed verdict, which the court denied. A jury subsequently found in favor of the plaintiff, and the defendant filed a motion to set aside the verdict, which the court also denied. From that judgment, the defendant appealed.
On appeal to the Supreme Court, the defendant claimed, inter alia, that the trial court should have set aside the verdict “because the plaintiff failed to prove that negligent ‘operation’ of a state vehicle had caused the accident . . . .” Id., 430. In so doing, the defendant relied on “a line of cases in which [our Supreme Court] concluded that the plaintiff could not prevail in the absence of ‘evidence that [the alleged negligent act] actually had caused the collision . . . [when there] are a number of factual possibilities that could explain how the accident occurred.’
Winn
v.
Posades,
[supra,
In distinguishing the case from the
Winn
line of cases, the
Hicks
court echoed
Terminal Taxi Co.
in instructing that the burden in a negligence action does not require a plaintiff to negate all other possible causes of the accident. Id., 438; accord
Terminal Taxi Co.
v.
Flynn,
supra,
This court confronted a similar appeal more than three months after
Hicks
was decided.
20
Schweiger
v.
Amica Mutual Ins. Co.,
Following a brief discussion of
Winn
v.
Posades,
supra,
D
The Present Case
From the aforementioned cases, we glean a common refrain. The teaching of our precedent is that absent an evidentiary basis for a finding of a negligent act that more likely than not caused a plaintiffs injuries, the question of a defendant’s negligence is too conjectural and uncertain to warrant submission to a jury. Thus, the critical inquiry in the present case is whether the plaintiff provided such an evidentiary basis.
We first address the question of whether the plaintiff proffered an evidentiary basis for a finding of negligence on the part of Grabinski. The question requires little discussion, as the trial court found that sufficient evidence existed for the jury reasonably to find that Grabinski was negligent in that he failed (1) “[to] keep a reasonable lookout for traffic in the moments prior to [the] collision” and (2) “to take evasive action to avoid a collision despite actual knowledge that a collision was imminent.” The defendant does not dispute those findings on appeal.
More substantial is the question of whether the plaintiff proffered a sufficient evidentiary basis for a finding that Grabinski’s negligence more likely than not caused the plaintiffs injuries. In considering that question, we find significant the fact that the plaintiff provided an eyewitness to the collision. Whereas in
Winn
the defendant police officer testified that he recalled nothing of the accident;
Winn
v.
Posades,
supra,
In addition to Grabinski’s eyewitness testimony, twenty-four photographs of the accident scene were introduced into evidence. That evidence amply supports the court’s findings that the vehicles “collided approximately head-on,” that the plaintiffs vehicle was “headed approximately straight east on Main Street with all four wheels approximately parallel to the double yellow line and well within the lane designated for eastbound traffic” and that “[a]ll four tires of the police car [were] in the eastbound lane of Main Street.” 21 From those photographs, the jury reasonably could conclude that Grabinski’s vehicle had not yet entered the intersection when it collided with the plaintiffs vehicle. 22
The jury also heard testimony from officers Peter Trapani and John O’Meara of the Stamford police department. Trapani, who conducted a motor vehicle accident reconstruction, testified that Grabinski’s vehicle was “on the opposite side of the street.” O’Meara was the first officer to arrive at the scene of the accident. O’Meara testified that Grabinski’s vehicle was “on the eastbound side of the traveled portion of Main Street.” In light of such evidence, the court, in its memorandum of decision, found that sufficient evidence existed for the jury to find that Grabinski operated his vehicle “on the wrong side of [the street]” prior to the collision with the plaintiffs vehicle.
23
In addition, O’Meara testified that he spoke with Grabinski about the collision. Although he could not recall the specifics of that conversation, O’Meara testified that he had “it in the [police accident] report, more or less.” That accident report was introduced into evidence.
24
In the accident report, O’Meara noted: “Grabinski stated that he was traveling westbound on Main Street. Upon approaching [the
intersection] he observed [the plaintiffs vehicle] traveling eastbound on Main Street. Grabinski stated that he was attempting to turn onto Clinton Avenue from Main Street also at this time but was unable to do so due to [the plaintiffs vehicle] failing to yield as it proceeded eastbound on Main Street at Clinton Avenue.”
Given that evidence, the case most closely resembles
Terminal Taxi Co.
v.
Flynn,
supra,
In concluding that the evidence was insufficient as a matter of law as to causation, the trial court speculated as to other possible causes of the collision. For example, the court posited that the plaintiffs vehicle could have suffered a mechanical malfunction, that its windshield wipers were inoperable or even that a purchase from the Jamaican restaurant may have slipped off of the seat, distracting the plaintiff. The jmy was presented with no evidence of such events. In addition, noting that there was evidence that the left front tire of the plaintiffs vehicle “was flat after the collision,” the court questioned whether a tire blowout had transpired. The invocation of such alternatives implicates a central precept articulated in
Hicks
and
Terminal Taxi Co.
regarding the proper evidentiary burden to be placed on a plaintiff in such cases. We repeat that “[t]he standard is not that the plaintiff must remove from the realm of possibility all other potential causes of the accident; rather, it is that the plaintiff must establish that it is more likely than not that the cause on which the plaintiff relies was in fact a proximate cause of the accident.”
Hicks
v.
State,
supra,
Grabinski’s eyewitness testimony, the testimony of Trapani and O’Meara, the police accident report and the photographic evidence regarding the vehicles immediately after the collision together was competent evidence from which the jury could reasonably infer that Grabinski failed to maintain a proper lookout and that
Grabinski failed to take evasive action to avoid a collision despite actual knowledge that a collision was imminent. Moreover, on that evidence, the jury reasonably could conclude that Grabinski’s negligence more likely than not caused the collision and, by extension, the plaintiffs injuries. The evidence presented “is such that honest and reasonable [minds] could fairly differ and reach different conclusions,” and, thus, “the issues should go to the jury for determination.”
Terminal Taxi Co.
v.
Flynn,
supra,
“It must always be borne in mind that litigants have a constitutional right to have issues of fact decided by the jury and not by the court.”
Ardoline
v.
Keegan,
Ill
A final matter remains. In his appellate brief, the plaintiff states: “In the event that the plaintiff prevails on this appeal, the plaintiff requests the court to note which allegations of negligence in the complaint survived the trial court’s decision.” 26 He continues: “The . . . court never addressed the specifications of negligence—other than failure to maintain a proper lookout—that escaped the immunity of [General Statutes] § 14-283 because they did not allege negligence per se. Although the plaintiff does not contest the trial court’s judgment as to negligence per se in violation of the motor vehicle statutes, some of those factual allegations, e.g., as to operating a vehicle to the left of the double yellow line and failure to take evasive action, survive within subsections (a), (g) and (h) [of § 14-283], and make no reference to negligence per se.” The plaintiff thus claims that in light of the court’s alleged failure to rule thereon, those factual allegations remain part of the case.
Despite that ambiguity in the court’s decision, the plaintiff has not sought articulation, pursuant to Practice Book § 66-5, of the trial court’s memorandum of decision. “It is a well established principle of appellate procedure that the appellant has the duty of providing this court with a record adequate to afford review. . . . Where the factual or legal basis of the trial court’s ruling is unclear, the appellant should seek articulation pursuant to Practice Book § [66-5]. . . . [W]e will, in the absence of a motion for articulation, assume that the
trial court acted properly.” (Internal quotation marks omitted.)
Berglass
v.
Berglass,
In AC 28309, the judgment is affirmed. In AC 29468, the judgment is reversed and the case is remanded for further proceedings consistent with this opinion.
In this opinion the other judges concurred.
Notes
Although the writ of summons listed both Godfrey Burton and his wife, Peninah Burton, as plaintiffs, the complaint named only Godfrey Burton as a plaintiff and contained no allegations as to Peninah Burton. Throughout tins litigation, the parties have referred to Godfrey Burton as the sole plaintiff. We therefore refer to Godfrey Burton as the plaintiff in this appeal.
During his testimony, Grabinski explained that “[w]hen we go code two—there are two codes, code one and code two. Code one is normal response, no lights, no siren. Code two is lights and siren; there's no in-between when you respond to code two.”
The intersection is not controlled by a traffic control signal.
The plaintiff testified that he recalled heading to the Jamaican restaurant on the morning of October 11, 2002, and stated that he did not have a clear recollection of arriving at the restaurant. He next remembered being at Stamford Hospital. Asked whether he could provide “any information at all concerning this accident and how it occurred,” the plaintiff answered in the negative.
General Statutes § 7-465 (a) provides in relevant part: “Any town, city or borough, notwithstanding any inconsistent provision of law, general, special or local, shall pay on behalf of any employee of such municipality ... all sums which such employee becomes obligated to pay by reason of the liability imposed upon such employee by law for damages awarded . . . for physical damages to person or property, except as set forth in this section, if the employee, at the time of the occurrence, accident, physical injury or damages complained of, was acting in the performance of his duties and within the scope of his employment, and if such occurrence, accident, physical injury or damage was not the result of any wilful or wanton act of such employee in the discharge of such duty. . . . Governmental immunity shall not be a defense in any action brought under this section. . . .”
The court reserved judgment on the defendant’s alternate allegation of evidential insufficiency in directing a verdict in its favor.
On November 21, 2006, the defendant filed (1) a motion to reargue the granting of the motion to set aside, (2) a supplemental motion for a directed verdict, (3) a motion for permission to file a late motion for a directed verdict and (4) a motion for judgment in accordance with its motion for a directed verdict.
The court also noted that “[a] more difficult question may be presented if the trial court addresses the matter at issue on appeal, but does not entirely afford the appellant the relief sought. In such cases, the extent to which the trial court alters the judgment may require either a new appeal or an amended appeal.”
RAL Management, Inc.
v.
Valley View Associates,
supra,
Although the defendant cites
Pekera
v.
Purpora,
General Statutes § 52-557n (a) (1) provides in relevant part: “Except as otherwise provided by law, a political subdivision of the state shall be liable for damages to person or property caused by: (A) The negligent acts or omissions of such political subdivision or any employee, officer or agent thereof acting within the scope of his employment or official duties . . . .”
See footnote 5.
As with the prior claim, the defendant argues that our review is plenary. Its analysis on that point consists of the following statement: “[B]ecause the underlying verdict in this case was a directed verdict, the defendant believes that review in this case effectively is, or should be, plenary, as any review necessarily encompasses both the initial directed verdict and the subsequent decision to set it aside.” For the third time in this appeal, the defendant advances an argument without citation to any applicable authority in support thereof. Moreover, this court has held that a claim that the trial court improperly set aside a directed verdict is governed by the abuse of discretion standard. See
Alfano
v.
Randy’s Wooster Street Pizza Shop II, Inc.,
We also note that the transcript reveals that in response to the plaintiffs oral motion to amend, the defendant argued that “after [the court] rules [on the motion for a directed verdict] it’s too late to move to amend. . . . [0]nce it’s submitted to [the court] for decision . . . that’s the end of it.” The defendant thus invited the court’s erroneous determination that a court is prohibited from granting a motion to amend after a verdict is directed.
General Statutes § 52-228b provides in relevant part: “No verdict in any civil action involving a claim for money damages may be set aside except on written motion by a party to the action, stating the reasons relied upon in its support, filed and heard after notice to the adverse party according to the rules of the court. . . .”
Practice Book § 16-35 provides in relevant part: “[Mjotions to set aside a verdict . . . must be filed with the clerk within ten days after the day the verdict is accepted .... The clerk shall notify the trial judge of such filing. Such motions shall state the specific grounds upon which counsel relies.”
The defendant does not dispute those findings on appeal.
In
Terminal Taxi Co.
v.
Flynn,
supra,
We note that subsequent to its determination that the evidence was insufficient to establish operation of a motor vehicle at an excessive rate of speed on the part of the decedent, the
Toomey
court proceeded to a brief discussion of causation.
Toomey
v.
Danaher,
supra,
As every law student learns, “[e]ssential elements of a cause of action in negligence are well established: duty; breach of that duty; causation; and actual injury. . . . To prevail on a negligence claim, a plaintiff must establish that the defendant’s conduct legally caused the injuries. . . . The first component of legal cause is causation in fact. Causation in fact is the purest legal application of . . . legal cause. The test for cause in fact is, simply, would the injury have occurred were it not for the actor’s conduct. . . . The second
component of
legal cause is proximate cause. . . . [T]he test of proximate cause is whether the defendant’s conduct is a substantial factor in bringing about the plaintiffs injuries. . . . Further, it is the plaintiff who bears the burden to prove an unbroken sequence of events that tied his injuries to the [defendants’ conduct]. . . . The existence of the proximate cause of an injury is determined by looking from the injury to the negligent act complained of for the necessary causal connection. . . . This causal connection must be based upon more than conjecture and surmise.” (Citation omitted; internal quotation marks omitted.)
Winn
v.
Posades,
supra,
As in the present case, the plaintiff in
Hicks
testified that he was unable to recall the accident.
Hicks
v.
State,
supra,
The court in
Schweiger
v.
Amica Mutual Ins. Co.,
At the risk of redundancy, we again note that the defendant has not challenged any of the court’s findings on appeal.
The photographic evidence supports the court’s finding that “the cars came to rest on Main Street . . . somewhat east of the . . . intersection.”
Despite that evidentiary basis, the court noted that Grabinski was immune from statutory liability on the basis of his vehicle’s presence in the opposing lane, stating: “Were it not for the fact that the officer was driving an emergency vehicle, there was a reasonable basis for a finding that the officer had violated General Statutes § 14-230. But, as [General Statutes § 14-283 is] a statute governing direction of movement, there is an immunity from criminal liability in § 14-283 (b) for operators of emergency vehicles who might otherwise be violating § 14-230. Since there is no safety precaution requirement in subsection (b) of § 14-283 corresponding to the § 14-230 immunity, that immunity is unqualified.” The plaintiff does not challenge that determination. The fact that Grabinski was immune from prosecution under § 14-230 does not foreclose the jury from considering the fact that his vehicle was in the plaintiffs lane prior to the collision in evaluating whether Grabinski failed to maintain a proper lookout or to take evasive action to avoid the collision.
As the
Hicks
court emphasized, there was sufficient evidence of negligence in
Terminal Taxi Co.
in light of the plaintiffs “testimony as to what he had seen immediately before the accident occurred and evidence as to physical facts in [the] police officer’s accident report . . . .”
Hicks
v.
State,
supra,
Read in a particular light, the court appears to make a similar intimation in its memorandum of decision, stating that in the present case “[tjhere was no eyewitness testimony (other than Grabinski’s).”
The defendant does not address this issue in its appellate brief.
