RULING ON DEFENDANT TOWN OF HAMDEN’S MOTION TO DISMISS AND MOTION FOR PARTIAL SUMMARY JUDGMENT
The plaintiffs in this action, homeowners in the Newhall section of Hamden, Connecticut, allege that their properties contain contaminated soil and groundwater as a result of conduct by the defendants, the Town of Hamden and the Olin Corporation (“Olin”). The plaintiffs brought a putative class action on behalf of themselves and a class of similarly situated individuals, seeking damages for the diminution in the value of their properties, response costs, loss of use and enjoyment of their properties, and emotional distress. 1 They also seek preliminary and permanent injunctions compelling Hamden and Olin to conduct, on an expedited basis, actions necessary to investigate and remediate the alleged contamination.
This ruling addresses the Town of Ham-den’s motion to dismiss and motion for partial summary judgment.
1. Procedural History
On May 12, 2003, the plaintiffs brought this action against Hamden and Olin in the Connecticut Superior Court. On May 28, 2003, it was removed by the defendants to this Court and, on the same day, the plaintiffs filed a seventeen count amended complaint. 2 That complaint sets forth claims *39 against the Town of Hamden for negligence (count 2); gross negligence/reckless conduct (count 4); violation of the Connecticut Environmental Protection Act of 1971 (“CEPA Act”), Conn. Gen.Stat. § 22a-15 et seq. (count 6); negligence per se (count 8); abnormally dangerous activity/strict liability (count 10); infliction of emotional distress (count 12); nuisance (count 15); and recovery of response costs under the Comprehensive Environmental Response, Compensation, and Liability Act (CERCLA), 42 U.S.C. § 9607 (count 17).
Hamden has moved to dismiss seven counts of the amended complaint. The Town also filed a subsequent motion for partial summary judgment. Only the CERCLA count is not addressed by those motions. As discussed below, the Court grants Hamden’s motion to dismiss as to the alleged violations of the CEPA Act, and claims for strict liability for abnormally dangerous activity, public and private nuisance, and intentional infliction of emotional distress. 3 The Court also grants Hamden’s motion for partial summary judgment on the basis of the Town’s protection by governmental immunity from alleged liability for negligence, gross negligence, negligence per se, and negligent infliction of emotional distress.
The Court will first address Hamden’s motion to dismiss, then its motion for partial summary judgment.
II. Motion to Dismiss
A. Background
The portion of this action against Ham-den has its origins in the town’s waste management practices in the late nineteenth and early twentieth centuries, specifically in the town’s establishment and coordination of dumps and landfills in the Newhall section of Hamden. The following allegations are taken from the complaint or is undisputed background information. The allegations of the complaint are deemed to be true for the purposes of resolving the motion to dismiss.
Until the late 1900’s, the State of Connecticut and many of its municipalities attempted to eliminate particular wetlands where mosquitoes might breed by encouraging the filling of those areas. As early as 1915, Hamden encouraged its property owners to allow refuse to be dumped on their properties as part of this effort. Hamden would at times operate dumps on these properties and, when filled, the properties could be developed by their owners. Some time prior to 1917, Hamden established or encouraged dumps in the area bounded to the east and west by Wads-worth Street and St. Mary’s street, and bounded to the north and south by Mill Rock Road and Goodrich Street — the area collectively referred to as the Newhall section. In approximately 1915, Winchester Repeating Arms (“Winchester”) began disposing of its industrial waste and ash at dumps in the Newhall section, and it continued to dispose of waste at those dumps until they were closed in the early to mid-twentieth century. Winchester was a firearms manufacturer with a large plant in the neighboring City of New Haven and was a predecessor to the Defendant Olin Corporation. The complaint further alleges that Olin and Hamden were aware that after each dump in the Newhall area was closed to disposal, homes would be constructed on those sites.
*40 During the years 2000 and 2001, the U.S. Environmental Protection Agency (“the EPA”) conducted studies in the New-hall area. These studies revealed that chemicals and waste had been deposited in former wetland areas in the Newhall section. The EPA agreed to further investigate these residential areas for the presence of contamination. In April 2001, the EPA conducted surficial soil sampling on seventy-six private properties in the New-hall section, and analyzed these samples for a variety of organic and inorganic contaminants, including lead, arsenic, semi-volatile organic compounds (“SVOCs”) and polycyclic aromatic hydrocarbons (“PAHs”). Over twenty-five percent of the samples contained lead concentrations that exceeded acceptable state standards for residential property soils, and approximately ten percent of the samples exceeded the State’s “action level.” 4 Results of these surveys were sent to various individual property owners by letters dated May 29, 2001, or shortly thereafter. At thirteen residences known to exceed the action level, the EPA carried out “time-critical removal action,” removing soil down to eighteen inches and replacing it with clean fill. These removals uncovered the presence of industrial materials related to the manufacture of firearms, ammunition and batteries. Additional tests conducted by the Connecticut Department of Environmental Protection (“the DEP”) at twenty properties revealed widespread contamination and filling of industrial wastes throughout the area. A large number of the residential properties in the Newhall section remained “uncharaeterized” or untested at that time, with no information concerning the nature or extent of waste or contamination in surficial and subsurface soils or groundwater, and the risks associated with such contamination. In December 2002, consultants for Olin reported that analyses of the fill in the New-hall area indicate the presence of elevated concentrations of metals (principally arsenic and lead) in residential site soil, and that groundwater quality and deeper soil deposits were largely uncharacterized. The complaint further alleges that elevated concentrations of these various hazardous constituents — principally arsenic and lead — may lead to a variety of physical and cognitive ailments including nervous system dysfunction, renal problems and cancer.
On July 10, 2001, the DEP issued an order to the four parties it believed were responsible for the contamination of the properties in the Newhall section — Ham-den, Olin, the South Central Regional Water Authority and the State Board of Education (“the State BOE”) (collectively “the respondents”). 5 This order required the respondents to investigate and remediate sources of pollution on a site which consisted of properties principally located within the Newhall section. The respondents appealed this order within the agency, and the DEP opened a contested case proceeding. During the course of this proceeding, both the DEP and the private parties performed further investigations of the properties in the subject area. In the spring of *41 2003, the DEP drafted a consent order, which was signed by all four of the respondents, and which was captioned “State of Connecticut v. Town of Hamden, South Central Connecticut Regional Water Authority, State Board of Education, and Olin Corporation.” 6 The consent order became effective on April 16, 2003, when a hearing officer for the DEP accepted it as a final decision pursuant to Connecticut regulation § 22a-3a-6(l) and (2). 7
The consent order makes thirty-one factual findings, noting, however, that those findings were “for purposes of this consent order only.” The consent order then sets forth the detailed “order” resulting from those factual findings, which contains twenty-five paragraphs spread over thirty-one pages. In the order, the four respondents agreed to investigate and remediate the private and public properties in the Newhall section and share the responsibilities and costs of such work.
This lawsuit against Hamden and Olin followed. 8
B. Standard of Review for a Motion to Dismiss
When considering a motion to dismiss, a court accepts all factual allegations in the complaint as true and draws inferences in the light most favorable to the plaintiff.
Scheuer v. Rhodes,
In determining the adequacy of a claim under Rule 12(b)(6), consideration is limited to facts stated on the face of the complaint, in documents appended to the complaint or incorporated in the complaint by reference, and to matters of which judicial notice may be taken. Fed.R.Civ.P. 12(c);
see also Courtenay Communications Corp. v. Hall,
C. Discussion of Motion to Dismiss
i. Connecticut Environmental Protection Act of 1971 and Primary Jurisdiction
The plaintiffs allege in count six of the amended complaint that Hamden violated Connecticut’s Environmental Protection Act of 1971, Conn. Gen.Stat. § 22a-14, et. seq., by disposing, releasing, or arranging *42 for the disposal of hazardous substances in the Newhall section of Hamden. 9 The CEPA was designed to hold in public trust, “the air, water and other resources of the state of Connecticut.” Conn. Gen. Stat. § 22a-15. It likewise “declared that it is in the public interest to provide all persons with an adequate remedy to protect the air, water and other natural resources from unreasonable pollution, impairment, or destruction.” Id. Pursuant to the Act’s injunctive relief provisions in § 22a-18, 10 the plaintiffs seek preliminary and permanent injunctions, ordering Ham-den to perform response actions on an expedited basis to protect and restore the land in the Newhall Section. They also seek preliminary and permanent injunctions in count fifteen, in which they allege that Hamden has created a public and private nuisance by its handling, disposal and release of hazardous substances.
Hamden argues that counts six and fifteen, to the extent that they seek injunctive relief, should be dismissed under the doctrine of primary jurisdiction. “Primary jurisdiction is not a doctrine that implicates the subject matter of the federal courts. Rather, it is a prudential doctrine under which court may, under appropriate circumstances, determine that the initial decision-making responsibility should be performed by the relevant agency rather than the courts.”
Syntek Semiconductor Co. v. Microchip Technology, Inc.,
An examination of the cases illustrates the relatively narrow scope of the doctrine of primary jurisdiction. The doctrine has been applied only when a lawsuit raises an issue, frequently the validity of a commercial rate or practice, committed by Congress in the first instance to an agency’s determination, particularly when the issue involves technical questions of fact uniquely within the expertise and experience of an agency.
Goya Foods, Inc. v. Tropicana Products, Inc.,
Generally, the DEP has “jurisdiction over all matters relating to the preservation and protection of the air, water and other natural resources of the state.” Conn. Gen.Stat. § 22a-2(a). Among the extensive statutory powers granted to the DEP is the power to adopt regulations “setting forth standards for the remediation of environmental pollution at hazardous waste disposal sites and other properties which have been subject to a spill ... which regulations shall fully protect health, public welfare and the environment.” Conn. Gen.Stat. § 22a-133k: 12 In accordance with Section 22a-133k, the commissioner of the DEP has adopted such regulations. See Regs. Conn. State Agencies § 22a-133k-l et seq. In sum, investigations of hazardous waste pollution and remediation conducted by the DEP are subject to an extensive statutory and regulatory framework. See, e.g., Conn. Gen Stat. §§ 22a-133d (addressing site assessments by the DEP); 22a-133e (addressing remedial action by the DEP); See also Conn. GemStat. § 22a-114 (“The purpose of [these statutes] is to establish a process for the sitting of hazardous waste facilities that will protect the health and safety of Connecticut citizens and assure responsible economic development and to have that sitting process be at least as strict as that required by federal law”).
The DEP’s authority in relation to water pollution also is subject to an extensive statutory and regulatory framework. See, e.g., Conn. GemStat. §§ 22a-424 (setting forth the powers of the commissioner concerning water pollution control); 22a-432(f) (granting commissioner power to “adopt[ ] such other remedial measures as are necessary to prevent, control or abate pollution”); 22a-433 (granting power to issue order to land owner).
In the consent order, the respondents (Hamden, Olin, State BOE, and the South *44 Central Regional Water Authority) agreed to allocate the responsibility among themselves to investigate and remediate the site in accordance with the terms set forth therein. (CO at 13). More specifically, the consent order provides that the “Town of Hamden shall pay for and perform the investigation and remediation of Mill Rock Park and the sewage pump station ... [and] the investigation and remediation of Rochford Field.” (CO at 15).. Similarly, the consent order provides that Olin shall perform all investigations “that the Commissioner deems necessary to determine the extent and degree of pollution in the non-public properties.” The consent order also notes.that both Hamden and Olin ha,d retained consultants to “oversee actions required by this consent order” (GO at 17) and that each party “shall continue to retain its consultant or other qualified consultants acceptable to the commissioner until this consent order is fully complied with.” (CO at 18). Moreover, the consent order provides minimum standards for any study conducted by the respondents, and requires that the reports submitted by the respondents to the commissioner: (1) define the existing and potential for pollution; (2) evaluate the alternative for remedial actions to abate such pollution; (3) state the most expeditious schedule for each alternative; (4) list all permits and approvals required for each alternative; (5) propose the preferred alternative; and (6) propose a detailed remedial action plan and schedule to perform the preferred remedial action. (CO at 20, 23-25). Once such an alternative is approved by the commissioner, the consent order then requires that the respondent “shall perform the approved remedial actions for the portion of the site for which it is responsible in accordance with the plan,” (CO at 27) and that each respondent shall monitor the effectiveness of the remedial actions. (CO at 28). In addition, the consent order provides that, if the approved remedial actions conducted by the respondent on its assigned portion of the site do not result in the prevention and abatement of pollution “consistent with the remediation standard regulations to the satisfaction of the commissioner,” additional remedial actions “shall be performed by that respondent in accordance with a supplemental plan and schedule approved in writing by the commissioner.” (CO at 29-30). The consent order also provides that a respondent “shall not be considered in full compliance ... until all actions required by this consent order to be undertaken by such respondent have been completed as approved and to the satisfaction of the commissioner.” (CO 32). Finally, the consent order provides that “[a]ny respondent’s failure to comply with this order may subject such respondent to an injunction and penalties.” (CO at 37).
Regarding the first and second considerations of the primary jurisdiction analysis — whether the relevant issue is within the conventional experience of judges rather than being a technical or policy consideration within the agency’s expertise, and whether the question is within the agency’s discretion — Hamden contends that the injunctive relief requested here involves technical and policy considerations within the DEP’s field of expertise and discretion, as evidenced by the terms of the consent order. The plaintiffs disagree, arguing that, although there may be some technical issues in this case, they are of the type commonly addressed by district courts.
After reviewing the relevant statutory and regulatory frameworks, and the details of the consent order, the Court finds that issues of injunctive relief in the instant action are more properly within the DEP’s field of expertise and discretion. The consent order, which was accepted and became enforceable on April 16, 2003, *45 places specific obligations on the respondents, failure to comply with which could result in the DEP subjecting the parties to “injunctions and penalties.” These obligations pertain to investigation and remediating any soil and groundwater pollution on certain properties — including those in the Newhall section. Deciding what remedy is appropriate for varying levels of contamination, and overseeing that remedial effort, is a matter more properly within the technical expertise and experience of the DEP. See Schwartzman, Inc. v. Atchison, Topeka & Santa Fe Railway, Co., 857 F.Supp. 838, 844 (D.N.M.1994) (citing cases for the proposition that “if injunctive relief is called for, requiring scientific or technical expertise, the doctrine [of primary jurisdiction] is more readily applicable”).
The third consideration in questions of primary jurisdiction is the whether there exists a substantial danger of inconsistent rulings.
Niehaus,
Finally, the fourth consideration in questions of primary jurisdiction is whether a prior application to the agency has been made.
Niehaus,
218 F.Supp.2d at
537.
As noted previously, the plaintiffs were not parties to the original order issued by the DEP, or the subsequently issued consent order. However, many of the named plaintiffs in this action were involved in the original DEP proceedings. Indeed, the consent order states, that “the commissioner shall develop and implement a public participation plan to ensure public involvement in the investigation and clean up process,” and that “each respondent responsible for the investigation and remediation of a portion of the site shall participate in implementing the [public participation] plan.” Although there is no
*46
allegation in the amended complaint that the plaintiffs refused to participate via the public participation plan, there is also no claim that the commissioner and the DEP have failed to accommodate their request to participate. Even if the plaintiffs could show that they satisfied this factor, here the other three factors significantly outweigh this factor. Moreover, because the DEP is actively overseeing the implementation of the consent order, the doctrine of primary jurisdiction counsels in favor of dismissal.
See Roberts v. Chemlawn Corp.,
The plaintiffs argue that the claims here should be treated like those in
Martin v. Shell Oil Co.,
Finally, the plaintiffs argue that, even if the doctrine of primary jurisdiction applies, this Court should not dismiss their claims, but rather hold them in abeyance. When exercising the doctrine of primary jurisdiction, a court has discretion either to retain jurisdiction or, if the parties would not be unfairly disadvantaged, to dismiss the case without prejudice.
Reiter v. Cooper,
ii. Strict Liability for Abnormally Dangerous Activity
Plaintiffs allege in count ten of the amended complaint that Hamden engaged in abnormally dangerous activity when it handled, disposed of and/or released hazardous substances in the landfills in the Newhall section. In addition, count ten alleges that Hamden knew, or should have known, that there was a high degree of risk involved with the handling of hazardous substances, including a risk of harm to the plaintiffs and other purported class members. Hamden contends that this claim is neither properly pled or legally viable, and should be dismissed.
Under Connecticut law, “a plaintiff is not required to show that his loss was caused by the defendant’s negligence. It is sufficient to show only that the defendant engaged in an ultrahazardous activity that caused the defendant’s loss.”
Green v. Ensign-Bickford Co.,
“The courts in Connecticut and other jurisdictions which recognize the doctrine of strict liability for dangerous activities, impose it only in narrow circumstances.”
Levenstein v. Yale University,
Connecticut courts generally look to the Restatement of Torts and apply the following six factors in section 520 of the Restatement when assessing whether an activity constitutes an ultrahazardous activity: (a) existence of a high degree of risk of some harm to the person, land or chattels of others; (b) likelihood that the harm that results from it will be great; (c) inability to eliminate the risk by the exercise of reasonable care; (d) extent to which the activity is not a matter of common usage; (e) inappropriateness of the activity to the place where it is carried on; and (f) extent to which its value to the community is outweighed by its dangerous attributes.
See, e.g., Green v. Ensign-Bickford Co.,
Applying these factors, at least one judge of the Connecticut Superior Court has found that the disposal of toxic and hazardous materials may constitute an abnormally dangerous activity.
See, e.g., Mather v. Birken Manufacturing Co.,
The U.S. District Court for this District, however, has dismissed claims under Connecticut law for strict liability when they are based on the disposal of hazardous waste.
See Bernbach v. Timex Corp.,
In the district court opinion most cited in these and the Connecticut Superior Court cases for the view that strict liability should not apply to hazardous waste disposal, then U.S. District Judge Cabranes wrote:
It does not appear that the Connecticut Supreme Court has addressed the issue of whether the storage and use of hazardous waste is a basis for strict liability. In the absence of any direct decision by the state’s highest court, a federal court must determine what it believes the state’s highest court would find if the same issue were before it.... I am persuaded that if given the opportunity to expand the narrowly-construed concept of “ultrahazardous” or “abnormally dangerous” activity to the storage and use of hazardous wastes, the Connecticut Supreme Court would decline to do so. Such activities are subject to extensive federal and state regulation, see, e.g., CERCLA, 42 U.S.C. § 9601 et seq.; Conn.Gen.Stat. § 22a-452, and I do not believe that the Connecticut Supreme Court would interpose an expanding common law into such matters by imposing strict liability in every case in which a plaintiff can prove that a defendant stored and used hazardous waste. Accordingly, I conclude that the storage and use of hazardous waste is not per se an “ul-trahazardous” or “abnormally dangerous” activity for the purpose of imposing strict liability.
Arawana Mills Co. v. United Technologies Corp.,
In another decision from this district, however, District Judge Arterton concluded that this tort applied to a landfill which had accepted hazardous waste. In
Alba-hary v. City and Town of Bristol,
This Court is not persuaded by the reasoning in Albahary to accept the distinction between the direct and peripheral disposal of hazardous materials in this context. Whether the waste is a product of the manufacturing defendant or is ac *50 cepted for disposal by a storage defendant does not seem to be of' such consequence to the analysis of strict liability, especially for a municipality’s operation and maintenance of landfills. For example, the manufacturing defendant will most likely have a better understanding of the nature of the waste than the municipality operating or maintaining a waste disposal facility, and the consequences may be just as great in the improper handling of concentrated hazardous wastes at the manufacturing facility.
Other decisions also appear to distinguish between the disposal of hazardous materials and their “mere storage.”
See, e.g., French Putnam LLC v. County Envtl. Services,
It thus appears that the Restatement factors should be applied uniformly to the conduct under scrutiny, whether it be storage or disposal of wastes, either direct or peripheral. It also appears from the decisions that there can be no blanket or per se application of this tort to waste disposal or storage. Although most disposal and storage situations would likely not provide a basis for strict liability, there may be ones that justify its application.
Turning to an individualized analysis here, count ten of the amended complaint alleges that the materials placed in the Newhall dumps constituted “hazardous substances.” However, paragraph 24 of that complaint defines that material as “industrial waste and ash.” The complaint alleges that the dumping began in 1915, and the consent order indicates that dumping ceased at most of the Newhall sites by the 19S0’s and at all of the sites by 1957. (CO at 8, 9, 20.) In applying the first Restatement factor — “high degree of risk of some harm” — the Connecticut courts have determined that the risk of the activity must have been known at that time. As the Superior Court in
Vaillancourt v. Town of Southington,
Another Restatement element not satisfied — or even addressed — by count ten is “inability to eliminate the risk by the exercise of reasonable care.” There is no allegation that it would be impossible to dispose of this waste properly without risk to future landowners. Although there may be certain types of hazardous substances that can not be stored safely under any circumstances, there is no claim that Ham-den could not have done so here.
Whether Hamden’s conduct is to be evaluated through a current lens or one from the early twentieth century, there is no claim that the landfills could not have been managed in a safe way. 20 Moreover, there is no allegation that Hamden’s involvement with those landfills did not comport with any laws or procedures, which then applied to municipal waste management.
As to the remaining Restatement factors, the allegations in the amended complaint and the consent order show that the landfills were established and conducted in accordance with a legitimate health policy, that it was an appropriate activity where they were carried on, and that, given the understanding at the time, their value to the community was outweighed by their harmful potential. The amended complaint alleges that the dumping facilitated by Hamden occurred in wetlands and low lying areas, and that it was only after the dumps were closed that residential development began in those areas. One of the key factors underlying decisions that have found an activity to be ultrahazardous is that the activity was conducted in a heavily populated area.
See, e.g., P.R.I.C.E., Inc. v. Keeney,
In sum, even when the amended complaint is read in a light most favorable to the plaintiffs, it is not possible to conclude that Hamden was engaged in an activity that “necessarily or obviously expose[d] the person of another to the danger of probable injury.”
Whitman Hotel,
iii. Nuisance
In count fifteen, the plaintiffs allege that Hamden has created both a public and private nuisance.
22
Hamden contends that the plaintiffs have failed to state a claim for either. The plaintiffs maintain that the allegations for both their private and public nuisance claims are sufficient, and withstand a motion to dismiss. Because those two claims “are distinct” they will addressed separately.
Pestey v. Cushman,
a. Public Nuisance
In order to succeed on a public nuisance claim the plaintiff must allege and prove four elements: “(1) the condition complained of had a natural tendency to create danger and inflict injury upon person or property; (2) the danger created was a continuing one; (3) the use of the land was unreasonable or unlawful; [and] (4) the existence of the nuisance was the proximate cause of the plaintiffs’ injuries and damages.” Id. (internal quotation marks omitted). 23 In addition, the Connecticut Supreme Court has explained that:
Nuisances are public where they violate public rights, and produce a common injury, and where they constitute an obstruction to public rights, that is, the rights enjoyed by citizens as part of the public. [I]f the annoyance is one that is common to the public generally, then it is a public nuisance. The test is not the number of persons annoyed, but the possibility of annoyance to the public by the invasion of its rights. A public nuisance is one that injures the citizens generally who may be so circumstanced as to come within its influence. Moreover, a private individual may create a nuisance in a public place. Typical examples of public nuisances are: pollution, and obstruction of waterways; air and noise pollution; maintenance of a fire or explosion hazard, or other unsafe premises; maintenance of a house of prostitution; obstruction of safe travel on a public highway; and maintenance of a junkyard or dump.
Ganim v. Smith & Wesson Corp.,
A nuisance claim against a municipality contains at least two additional requirements. The factors that, “in order to overcome the governmental immunity of municipal defendants where it applies, the plaintiff must prove that the defendants,
*53
by some positive act, intentionally created the conditions alleged to constitute a nuisance.”
Elliott v. City of Waterbury,
In
Accashian v. City of Danbury,
[The plaintiffs’] allegation is a far cry from the standard required by the Supreme Court in [Keeney v. Old Saybrook,237 Conn. at 164 ,676 A.2d 795 ]. The plaintiffs have neither alleged knowledge of the result or substantial certainty of the result of allowing the dumping of demolition and construction materials nor have they alleged facts that would lead to an inference of such knowledge. At most, the factual allegations are that the municipal defendants knew the dumping was occurring, not what the result was or was likely to be. In contrast to a cause of action for trespass, which requires only substantial certainty of invasion, a cause of action in nuisance requires substantial certainty of danger from that invasion.
Id.
at *10. Similar to the plaintiffs in
Accashian,
the plaintiffs in the instant case have' failed to set forth allegations that meet this standard. Plaintiffs have failed to allege that Hamden permitted the dumping of industrial waste for the purpose of causing a nuisance or with the knowledge or substantially certainty that one would result from its conduct.
Keeney v. Old Saybrook,
b. Private Nuisance
Turning to the plaintiffs’ claim of private nuisance, the Connecticut Supreme Court has held that, “in order to recover damages in a common-law private nuisance cause of action, a plaintiff must show that the defendant’s conduct was the proximate cause of an unreasonable interference with the plaintiffs use and enjoyment of his or her property.”
Pestey,
As an initial matter, the plaintiffs’ private nuisance claim against Hamden suffers from the same legal deficiency as their public nuisance claim — namely, the amended complaint cannot support a finding that Hamden acted for the purpose of causing the nuisance or knew that it is resulting or was substantially certain to result from its conduct.
Keeney v. Old Saybrook,
As in Carroll, the plaintiffs here have not alleged that Hamden is in control of a neighboring piece of land from which the alleged nuisance is emanating. To the contrary, the alleged nuisance is within the plaintiffs’ own properties.
Consequently, because the plaintiffs do not allege that Hamden knew or was substantially certain of the resulting nuisance and also because the nuisance emanates from plaintiffs’ own properties, the Court finds that count fifteen, to the extent it sets forth a claim for private nuisance, fails to state a claim upon which relief may be granted.
iv. Infliction of Emotional Distress
In count twelve, the plaintiffs set forth a claim for “infliction of emotional distress.” Hamden interprets this claim as one for intentional infliction of emotional distress, and contends that the plaintiffs’ allegations are legally deficient. The plaintiffs contend that they have asserted claims for both negligent and intentional infliction of emotional distress claims. Therefore, the Court first must determine whether plaintiffs have alleged negligent or intentional infliction of emotional distress claims, or both.
The tort of intentional infliction of emotional distress under Connecticut law is comprised of four elements: (1) that the actor intended to inflict emotional distress; or that he or she knew or should have known that emotional distress was a likely result of his or her conduct; (2) that the conduct was extreme and outrageous; (3) that the defendant’s conduct was the cause of the plaintiffs distress; and (4) that the emotional distress sustained by the plaintiff was severe.
Appleton v. Board of Education, 254
Conn. 205, 210-11,
In count twelve of the amended complaint, the plaintiffs claim that Ham-den’s alleged actions and omissions “represent conduct that is so outrageous in character and so extreme in degree as to go beyond all possible bounds of decency,” that Hamden knew or was reckless in not *56 knowing that these actions or omission would inflict emotional distress on the plaintiffs and other purported class members, and that severe emotional distress was inflicted. Based on these allegations, the Court agrees with Hamden that count twelve sets forth only a claim for intentional infliction of emotional distress. 25
As to the legal sufficiency of that claim, it is for the court to determine in the first instance whether alleged conduct of a defendant may, as a matter of law, be found to satisfy the elements of an intentional infliction claim.
Appleton v. Board of Education,
The second element requires the defendants’ conduct to be extreme and outrageous.
Appleton,
Liability for intentional infliction of emotional distress requires conduct that exceeds all bounds usually tolerated by decent society ... Liability has been found only where the conduct has been so outrageous in character, and so extreme in degree, as to go beyond all possible bounds of decency, and to be regarded as atrocious, and utterly intolerable in a civilized community. Generally, the case is one in which the recitation of the facts to an average member of the community would arouse his resentment against the actor, and lead him to exclaim, Outrageous! ... Conduct on the part of the defendant that is merely insulting or displays bad manners or results in hurt feelings is insufficient to form the basis for an action based upon intentional infliction of emotional distress.
Id.
(internal citations and quotation marks omitted). Courts in this district, following the guidance of Connecticut state court decisions, have dismissed claims for intentional infliction of emotional distress that contain only conclusory allegations of extreme and outrageous conduct.
See, e.g., Scott v. Town of Monroe,
Even when construed in a light most favorable to the plaintiffs, Hamden’s alleged conduct cannot reasonably be characterized as “extreme and- outrageous”. The encouragement of landfills in the Newhall section of Hamden to address the mosquito problem and then to develop residential properties was appropriate at the time, and the lack of knowledge of the dangerous aspects of the fill materials is not controverted by the allegations of the complaint. This conduct, even if true and viewed in a light most favorable to the plaintiff, cannot establish that Hamden engaged in extreme or outrageous conduct. Consequently, count twelve is dismissed.
III. Motion for Partial Summary Judgment
A. Additional History of the Newhall Landfills and Dumps 26
Throughout the late 1800s, Hamden monitored and attempted to regulate the spread of disease caused by garbage and pig sties, and low lying swamp-lands. 27 By 1912, Hamden had a related mosquito breeding problem, which raised concern about the spread of malaria, and yellow fever. The town responded that year by introducing an experimental garbage collection program for some town residents to bring garbage to pigsties. 28 The town took steps the following year to further address the mosquito breeding by draining and filling swamps and increasing the sun exposure to those areas. Hamden also began spreading oil on low lying swamp grounds, also a common practice then for reducing mosquito infestation. In 1916, the New Haven Water Company and Winchester Repeating Arms, two New Haven companies that were major employers in the area, drained a large tract of land on the corner of Morse and St. Mary Streets, in the Newhall Section. When completed, the draining project eliminated the largest single malaria-breeding swamp in Ham-den. It also became one of Winchester’s multiple waste dumping areas. During this period, the town also recommended that residents prevent the accumulation of standing water on properties where mosquitoes were likely to breed. For the first time, apparently, Hamden also established three town-controlled public dumping *58 places in order to mitigate the risks of uncontrolled dumps. 29
By 1925, Hamden’s Annual Report noted the reasons for filling in swampland: “Dumps can be located on waste land, swamps, etc. thereby eliminating mosquito breeding places and creating play-grounds and public parks, much needed in this community.” (Plaintiffs’ Ex. 30 at 73). Hamden had also began issuing building permits as early as 1914 for property development. Private homes in the Newhall section were developed primarily between 1920 and 1960. Many of the homes built during this period were built on landfill. This included the area that had been drained by Winchester and the New Haven Water Company, and later filled by Winchester. In the mid-1950s, Hamden also built a middle school and recreational center in Newhall on land that had been previously owned by the New Haven Water Company and had received waste from Winchester.
Notwithstanding this development of private homes, by 1934 Newhall still consisted primarily of swamps and wetlands. Winchester Repeating Arms, whose major plant was located in New Haven, by then was regularly dumping its waste, including ash, lead, arsenic, and other industrial wastes in areas of Newhall. The primary dump used by Winchester was the New-hall Street dump, which later became the site of the Hamden Middle School and community center. Hamden did not receive payments from Winchester Repeating Arms for its dumping there. This dump became the subject of complaints in the late 1930s because of the dust and ash that was blown onto nearby properties.
In 1937, the Hamden Board of Health reported that “Real Estate men have approached the Town to ask that the New-hall Street dump be closed so that the property in the area may be developed for building purposes.” (Defendant’s Ex. 63, Jan. 8, 1937 report). Based on the Health Officer’s opinion that the dumping was sufficient to fill in the mosquito breeding area, a contract was signed with the Town for its real estate development.
By 1957, the dumps ceased to operate. (CO at 8, 9, 20). There is no dispute that many of the plaintiffs’ homes were built on land formally part of the landfill dump program overseen by Hamden and that Olin’s predecessor, Winchester, provided much of the landfill materials from its industrial waste.
B. Standard of Review for Summary Judgment
In a summary judgment motion, the burden is on the moving party to establish that there are no genuine issues of material fact in dispute and that it is entitled to judgment as a matter of law.
See
Fed. R.Civ.P. 56;
Anderson v. Liberty Lobby, Inc.,
*59
In assessing the record, the trial court must resolve all ambiguities and draw all inferences in favor of the party against whom summary judgment is sought.
Anderson, 477
U.S. at 255,
C. Discussion
The Town of Hamden argues that the Court should grant summary judgment on certain counts because it is protected from liability by the doctrine of governmental immunity. Hamden specifically seeks summary judgment on the counts alleging negligence, gross negligence and reckless conduct, 30 negligence per se, 31 infliction of emotional distress, 32 and nuisance. Plaintiffs’ causes of action for nuisance have been addressed through Hamden’s motion to dismiss. This section, therefore, will address Hamden’s arguments that government immunity bars plaintiffs’ other listed claims.
At the outset, it is important to note that it is well established by Connecticut courts that “The ultimate determination of whether qualified immunity applies is ordinarily a question of law for the court ... [unless] there are unresolved factual issues material to the applicability of the defense ... [where] resolution of those factual issues is properly left to the jury.”
Purzycki v. Town of Fairfield,
Because some of the events in question took place in Hamden nearly a century ago, the Court must first identify the appropriate municipal immunity standard to apply. The parties primarily rely on Connecticut General Statute § 52-557n, “Liability of Political Subdivision and its
*60
Employees, Officers and Agents. Liability of Members of Local Boards and Commissions.” Section 52-557n was enacted by the Connecticut legislature as part of the Tort Reform Act of 1986. That statute has been interpreted by Connecticut state courts and federal courts in this District to have statutorily adopted and codified the Connecticut common law rules of government immunity. “Enactment of § 52-557n did not create any new liability for municipalities which did not exist at common law.”
Caman v. City of Stamford,
Generally, according to Connecticut common law, “a municipality is immune from liability for the performance of governmental acts, as distinguished from ministerial acts.”
Gauvin v. City of New Haven,
Hamden asks the Court to assess the following questions. First, “whether the Town’s concern and role in eliminating mosquito breeding grounds in Hamden was for any purpose other than the protection of the health, safety', and welfare of its residents in fulfillment of a discretionary, governmental duty.” (Defendant’s MSJ, p. 13, ¶ 1). Second, “whether the Town established or operated any dumps in the Newhall Section for profit so that its acts were proprietary — as opposed to governmental — in nature.” (Id. ¶ 2). Third, “whether the issuance of building permits and certificates of occupancy for the houses developed in the Newhall Section constitute discretionary, governmental functions as opposed to ministerial or proprietary functions.” (Id. ¶3). Finally, “whether any of the activities performed by the Town constituted a reckless disregard for health or safety.” (Id. ¶ 4). These issues will also be specifically considered as part of the following discussion.
i. Discretionary Governmental Function Analysis
The Town of Hamden argues that it performed discretionary government functions by seeking to eliminating mosquito breeding grounds through filling in wetlands and encouraging fill on private property, by establishing dumps, and by issuing building permits and certificates. According to Connecticut courts, whether particular conduct is discretionary or ministerial is generally a question of fact.
Tice v. Southington Board of Education,
There are no genuine issues of material fact as to whether the Town of Hamden was acting in a discretionary or ministerial function when it sought to eliminate the mosquito breeding grounds, or by monitoring and establishing dumps, and issuing building permits for residential development. There is ample undisputed evidence from the Town of Hamden Annual Reports and Board of Health Reports that the Town first monitored and then addressed the mosquito breeding problem through the approach of filling in particular areas and managing dumps. The parties also agree that the Town made expenditures in 1929 and 1937-1941 to abate mosquito breeding. (56(a)(1) and (a)(2) statements ¶ 15).
Plaintiffs argue, however, that the Town no longer recognized a mosquito problem at some time in the early twentieth century. That assertion does not change the Court’s analysis, as the Town still encouraged the filling for the purpose of developing homes in town. Also, many of the Health Reports also indicated that at least some of the dumps were established as part of a new municipal waste management system. While there is some question about which dumps were specifically owned by the Town, there is little controversy over the fact that until 1937, “the Hamden Health Officer maintained regulatory authority over garbage and dumps in Hamden.”
(See
56(a)(2) statement, ¶ 22). There is likewise no question of material fact regarding the discretionary nature of Hamden’s issuance of building permits. While no evidence was submitted that sets forth the procedures for acquiring a building permit, the Court joins with numerous prior Connecticut courts in finding that the issuance of a permit or license is fundamentally discretionary in nature.
See e.g., Farnsworth v. Horrigan,
ii. Proprietary Function Analysis
Hamden also argues that its role in the dumps and landfills in the Newhall section involved discretionary governmental functions, not ones proprietary in nature. Plaintiffs argue that there are numerous material questions of fact regarding the nature of Hamden’s interest in the establishment and operation of the landfills. The Connecticut courts that have addressed the distinction between governmental and proprietary acte have determined that often the distinction rests on questions of fact.
See, e.g., McDermott v. Calvary Baptist Church,
In evaluating municipal conduct in landfill and waste disposal operations, such factual inquiries involve:
Whether fees [were] charged, whether the town covers all or part of the costs or whether the landfill generates a profit, whether the landfill is operated for the comfort and convenience of the citizens thereby providing them a corporate benefit or conversely whether it is the fulfillment of a governmental function related to the health, safety, and welfare of the public at large.
Savelli,
In order to deprive a municipal corporation of the benefit of governmental immunity, the act or function must involve special corporate benefit or pecuniary profit inuring to the municipality. If this element is present, the fact that the revenue or profit is applied to the maintenance of the property and the reduction of the debt incurred in its construction or acquirement, or otherwise ultimately to the benefit of the public, is not sufficient to create immunity.
To remove the benefit of the principle, however, the operation must contemplate and involve revenue of such amount and nature as to signify a profit resulting therefrom, as distinguished from the imposition of such a nominal or small fee or charge as may fairly be regarded as a mere incident of the public service rendered, such as the fees imposed for the use of the swimming pool facilities involved in Hannon v. Waterbury ....
Carta v. City of Norwalk,
The application of the Savelli and Carta factors in this case indicate that Hamden was not performing a proprietary function when it operated and maintained the New-hall landfills. First, the only evidence of a fee that was charged for the landfills was not for the use of the dumps directly, but rather for the carting of rubbish and ash. Second, there is no evidence provided by the plaintiffs to indicate that Hamden reaped any form of direct profit from the operation of the landfills. Finally, there is ample undisputed evidence from town records throughout the late nineteenth and early twentieth centuries that Hamden first established the landfills in order to mitigate the potential for a malaria or yellow fever epidemic caused by mosquito breeding in low lying areas and then to create more property that could be developed for private homes and public schools and parks.
According to recent Connecticut opinions, however, the “benefit to the public” may not, by itself, conclude the analysis of a municipality’s proprietary function. “The distinction between governmental and proprietary acts is not drawn on the basis of whether the activity serves the public.”
Accashian v. City of Danbury,
The materials presented by the plaintiffs do not raise the existence of any issue of material fact as to whether the acts of the Town were proprietary in nature, therefore abrogating its governmental immunity. Plaintiffs make two primary arguments. First, they argue that the Town had a corporate benefit by allowing Winchester Repeating Arms to dump its industrial waste in landfills in Hamden. Specifically, plaintiffs argue that there was pecuniary benefit to the Town because it was relieved of the costs of draining areas of land in Hamden, and filling wetlands and low lying areas that were home to large-scale mosquito breeding would also provide areas for home development. Plaintiffs, however, point to no factual basis that indicates that the Town directly profited from this alleged relief from expenditure as defined by the Connecticut decisions. Even if there were evidence to support the plaintiffs’ position that the Town did not need to pay for the draining and filling of at least some of Hamden’s wetlands and low lying areas because of the filling by Winchester, such evidence is not sufficient to indicate that the Town received any corporate profit. For immunity to be abrogated because a municipality acts in its own proprietary or corporate interest, some discernable profit must be reaped by the that municipality, and that profit must be direct and more than minimal.
See Carta
at 672,
Plaintiffs also specifically argue that this dumping generated long term “profits’*' for Hamden because it “converted unusable and unprofitable swampland into a tax-generating residential neighborhood.” (Plaintiffs’ Opposition Brief, p. 13). The plaintiffs maintain that the Town’s receipt of revenue from building permits and the resulting property taxes from residential development was due to the fact that the property in the Newhall section could be developed as a result of the drained and filled low lying areas. According to the plaintiffs, “in addition to realizing revenue from the issuance of building permits, the Town of Hamden has reaped the benefit of an expanded tax base, a school property and a park, all of which accompanied the residential developments of the Newhall Section.” (Plaintiffs’ Opposition Brief, p. 15). These benefits, they argue, should subject Hamden to liability.
The issue then, is whether this type of indirect public benefit was proprietary in nature. The parties do not dispute that fees were paid for building permits, or that properties were developed in the Newhall section of Hamden after 1920, which generated increased property taxes. However, the evidence provided by the plaintiffs *65 does not indicate that Hamden primarily-filled the land in the Newhall Section for the purpose of promoting residential housing development so as to achieve greater tax revenues. Rather, although the effort to reduce mosquito breeding may have changed to creating more land and residential development, schools and parks, there is no evidence of a “profit-making” purpose behind that transition. Rather, the clear purpose was one similar to most municipalities: the improved development of residential communities. It is simply too tenuous a connection between the fees collected for the building permits and their long-term implications for the Town to find that they were issued for pecuniary or corporate benefit. The Connecticut Supreme Court made the important distinction in Elliott between prior cases that found that water utilities were proprietary in nature and that case where a jogger was injured when he was shot by a hunter on municipal property. The Court found that:
In each of those [water utility] cases, this court concluded that the municipal defendants could not avail themselves of immunity because the municipalities were engaged in the allegedly tortious actions for the sake of corporate gain rather than for the administration of government.... Unlike the present case, in each of those cases, the allegedly tortious conduct of the municipalities was inextricably linked to the operation of the water utility for corporate gain.
Elliott,
at 413,
. By accepting refuse from Winchester Repeating Arms and filling- the low lying areas of the Newhall section of Hamden, the Town was not acting in a proprietary way. It therefore, remains immune from liability.
iii. Reckless Disregard of Health and Safety Analysis
Hamden lastly argues that there is no genuine issue of material fact that its conduct was not in reckless disregard of health and safety. Plaintiffs argue that the health risks of arsenic and lead — both of which were present in Olin’s industrial waste that was dumped in the Newhall Section of Hamden — -were well known at the time. At common law, the immunity typically enjoyed by municipalities for discretionary acts was' abrogated “where the alleged acts involve malice, wantonness or intent to injure, rather than negligence.”
Evon,
at 505,
The plaintiffs present evidence that indicates that there were commonly known health risks in the twentieth century from touching, ingesting, or inhaling lead or arsenic. The affidavit provided by Professor James Sargent details the history of lead and arsenic poisoning. Sargent explains that “prior to the industrial revolution, lead poisoning was less an occupational disease and more often a disease of consumers poised by lead in food or drink.” (Sargent Affidavit, at 3). Through the mid-nineteenth century, lead poisoning was understood to emanate from the use of lead pipes or lead barrels to store alcohol. According to Sargent, lead poisoning was also found in workers in industries such as smelting, white lead production, tool pro *66 duction, and production of lead shot. While the ingestion of lead was long understood be harmful, according to Sargent, the respiratory absorption of lead was not understood to be a hazard until the mid-twentieth century. 34
Sargent likewise details the history of arsenic poisoning. He states that arsenic was well-known in homicide cases dating to 1384. “Arsenic was known to be a strong poison .... The symptoms of acute arsenic poisoning were known by toxicologists by the 19th century. The interval between ingestion and onset of symptoms, and between onset of symptoms and death was also well known from numerous homicide investigations.” (Sargent Affidavit, at 11). Arsenic was also used in the industrial production of pigments, dies, insecticides, and rodenticides. Such production risked the creation of harmful arsine gas when arsenic came in contact with hydrogen. According to Sargent, “Contact with arsine results in the destruction of red cells, bloody urine, renal failure, jaundice and death.” (Sargent Affidavit, at 12).
The plaintiffs’ evidence is convincing that lead and arsenic were known to be harmful when ingested, inhaled, or touched. The evidence does not, however, show that it was commonly known at the time of the operation of the Newhall landfills that the presence of either of these toxins in landfill material posed any health or safety threat to those who later developed or occupied the land. Therefore, there is no genuine issue of material fact regarding the exception to common law municipal immunity for reckless disregard to the health and safety of the residence of the Newhall Section.
There are no genuine issues of material facts as to whether the Town of Hamden is protected by municipal immunity. Partial summary judgment as to governmental immunity is therefore GRANTED to the Town of Hamden as to the counts based on negligence. 35
In conclusion, Hamden’s motion to dismiss counts six, ten, twelve and fifteen [Doc. #34] is GRANTED. Likewise, Hamden’s motion for summary judgment [Doc. # 118] is GRANTED as to counts two, four, and eight.
Notes
. The plaintiffs’ motion to certify the class remains pending before this Court.
. The notice of removal also asserted that this Court had supplemental jurisdiction over the plaintiffs’ state law claims. See 28 U.S.C. *39 § 1367(a). The parties do not dispute that Connecticut law applies, except as to the CERCLA count.
. Because the Court dismisses those counts on other grounds, it does not address Ham-den’s assertion that plaintiffs have exceeded the statutes of limitations provided for in Conn. Gen.Stat. §§ 52-577, 52-584, and 52-577c(b).
. The amended complaint states that the action level is developed by the EPA and the Connecticut Department of Environmental Protection. Although "action level” is not specifically defined, it appears from the amended complaint that lead concentrations above that level are defined by the DEP as levels that can lead to a variety of physical and cognitive impairments for adults and children.
. The predecessor to the South Central Regional Water Authority — the New Haven Water Company — owned land in the Newhall section. It had agreed with Winchester to permit dumping on portions of its property during that time. The State BOE also owned property in Newhall during the period of dumping by Winchester.
. Nothing in the consent order indicates that the plaintiffs in the instant action were parties to that proceeding.
. Because the complaint references and incorporates the consent order, and that order was issued by a public agency, it properly may be reviewed by the Court when considering motions to dismiss.
See Kramer v. Time Warner Inc.,
.Olin also has filed motions to dismiss and for partial summary judgment, which are addressed in a separate ruling.
. The Court notes that although the CEPA was enacted in 1971, at least a quarter of a century after the alleged dumping of materials in Newhall, it is remedial in nature, and can thus be applied retroactively.
Manchester Environmental Coalition v. Stockton,
. Conn. Gen.Stat. § 22a-18(a) provides: "The court may grant temporary and permanent equitable relief, or may impose such conditions on the defendant as are required to protect the public trust in the air, water and other natural resources of the state from unreasonable pollution, impairment or destruction.”
. The primary jurisdiction doctrine has been found to apply to the relationship between federal district courts and state administrative agencies.
See Martin v. Shell,
. Section 22a-133k also provides that, ''[i]n establishing such standards the commissioner shall (1) give preference to clean-up methods that are permanent, if feasible, (2) consider any factor he deems appropriate, including, but not limited to, groundwater classification of the site, and (3) provide for standards of remediation less stringent than those required for residential land use for polluted properties which (A) are located in areas classified as ... under the standards adopted by the commissioner for classification of groundwater contamination, (B) were historically industrial or commercial property, and (C) are not subject to an order issued by the commissioner regarding such spill, consent order or stipulated judgment regarding such spill, provided an environmental use restriction is executed for any such property subsequent to the remedial action in accordance with the provisions of section 22a-133aa and further provided such regulations specify the types of industrial or commercial land uses to which any such property may be put subsequent to such remedial action.”
. Hamden also argues that the Court should apply the
Burford
abstention doctrine and abstain from adjudicating counts six and fifteen because of the complex nature of Connecticut's DEP administrative scheme.
Burford v. Sun Oil,
. Connecticut courts use the terms "ultra-hazardous” and "abnormally dangerous” interchangeably.
. In
Whitman Hotel,
the defendant "discharged many hundreds of blasts of ... dynamite ... in close proximity to a number of compactly located business buildings.”
Whitman Hotel,
. In
Caporale,
the defendant drove heavy steel piles with a pile driver for four months within seventy-five feet of the plaintiff's concrete-block buildings, and "actually anticipated [the potential damage] when it inspected premises nearby before it began work.”
Caporale,
In
Green,
"the defendant was engaged in the perilous activity of conducting research
*48
with a highly volatile chemical for use in its explosive manufacturing business.” .
Green, 25
Conn.App. at 484,
.
These decisions are persuasive, yet not binding, authority.
See generally Commissioner v. Bosch’s,
. These decisions also are persuasive, yet not binding, authority. See generally 18 Moore's Federal Practice § 134.02[l][d] (Matthew Bender Ed.)
. The amended complaint, which is the operative one here, was filed in the Connecticut Superior Court on the same day this action was removed. The Connecticut Superior Court requires fact pleading, not the notice pleading of Fed.R.Civ.P. 8. Cf. Conn. Prac. Book § 10-1.
. Hamden's knowledge of the hazardous nature of its activity at the time of the conduct is discussed at further length in the Court’s analysis of the Hamden's motion for summary judgment as to the plaintiffs' recklessness claim.
As noted previously in the text, at least two decisions from the Connecticut Superior Court have denied motions to strike claims of strict liability based on the disposal of hazardous waste.
See Mather,
. A motion to strike is utilized in the Connecticut state courts in a manner similar to how the motion to dismiss pursuant to Fed. R.Civ.P. 12(b) is utilized in federal courts.
See Fort Trumbull Conservancy, LLC. v. Alves,
. In addition to a request for damages, count fifteen also requested that the Court enter a preliminary and a permanent injunction. As noted previously in this ruling, the Court has dismissed the plaintiffs’ requests for injunctive relief pursuant to the. doctrine of primary jurisdiction.
. Although the Connecticut Supreme Court has stated that "some adjustment is in order” for these elements;
Pestey,
. When evaluating whether a defendant's conduct caused "unreasonable interference" with property, a court must be mindful that:
Whether the interference is unreasonable depends upon a balancing of the interests involved under the circumstances of each individual case. In balancing the interests, the fact finder must take into consideration all relevant factors, including the nature of both the interfering use and the use and enjoyment invaded, the nature, extent and duration of the interference, the suitability for the locality of both the interfering conduct and the particular use and enjoyment invaded, whether the defendant is taking all feasible precautions to avoid any unnecessary interference with the plaintiff’s use and enjoyment of his or her property, and any other factors that the fact finder deems relevant to the question of whether the interference is unreasonable. No one factor should dominate this balancing of interests; all relevant factors must be considered in determining whether the interference is unreasonable.
Pestey,
. Even if count twelve of the amended complaint could be construed as a claim for negligent infliction of emotional distress, the Town of Hamden is not subject to such a claim because it is protected by common law municipal immunity. This is discussed at length in the summary judgment portion of this opinion.
. The following facts are undisputed unless otherwise indicated.
. For example, in 1895, new rules were established to abate the emerging health risks caused by garbage disposal. Those rules "prohibited persons from accumulating decomposing and decaying food (meat, fish, vegetables) in or around dwellings and businesses ... and from throwing, dumping or depositing garbage, decaying animal or vegetables upon any vacant lot, highway, public place, brood, pond or spring.” (Defendant's 56(a)l Statement, ¶ 3).
. According to the town’s annual reports, no town fees were charged for garbage licenses or collection. In 1913, the Town Health Officer noted that, "Perhaps from a financial standpoint the collection [of garbage] is not a great success but it certainly is from a sanitary one.” (Defendant’s Ex. 22, p. 40). Prior to 1937, the Town Health Inspector oversaw the supervision and regulation of Hamden's garbage collection and dumps because of the nuisance they may cause to public safety and public health. Thereafter, supervision of the dumps was transferred to the Town Department of Public Works. In 1934, those carting rubbish and ash in Hamden were required to obtain permits. Fees were not collected or charged for these permits. According to Board of Finance reports for the years between 1934 and 1950, these permits did not produce revenue for the town. By 1942, only one dump remained for use by the residents.
. There is some dispute between the parties over whether members of the public were encouraged to allow their properties to be used as dumps. Nevertheless, the regulation of dumps became key to the abatement of the mosquito nuisance problem.
. Connecticut courts do not recognize an independent cause of action for gross negligence. See
Martin v. Shell Oil Co.
180 F.Supp.2d. 313, 325 (D.Conn.2002),
citing Decker v. Roberts,
. Although the Court grants Hamden municipal immunity from claims based on negligence, it is worth noting, without resolution of the issue, that with regard to plaintiffs' claim for negligence per se (count 8) Connecticut courts have not consistently held that violations of Conn. Gen.Stat. § 22a-427 constitutes negligence per se. See
Connecticut Water Company v. Town of Thomaston,
.Count twelve of the amended complaint for infliction of emotional distress is dismissed in the portion of the ruling concerning the motion to dismiss to the extent that it asserts a claim for intentional infliction of emotional distress. This section of the ruling on Hamden’s motion for partial summary judgment addresses, in part, that count as one for negligent infliction of emotional distress.
. It appears, though, that application of § 52-557n would not result in a different conclusion here.
. It is additionally worth noting that federal environmental regulation of lead did not exist until the passage of the Clean Air Act of 1970, Pub.L. No. 91-604, 84 Stat. 1698-1700 (1970), which authorized the newly established Environmental Protection Agency to regulate fuel additives, including lead.
. The analysis in this section concerning recklessness also applies to count four of the amended complaint, which alleges gross negligence/recklessness as a separate cause of action.
