Opinion
This аction arises out of an automobile accident in Greenwich in which Juan Rocano Brito (decedent), an employee of Primo’s Landscaping, Inc. (Primo’s Landscaping), a New York corporation, was killed while riding as a passenger in a pickup truck that was operated by a coworker, Joel Vasquez, and registered to Percy Montes, a coowner and employee of Primo’s Landscaping. 1 The plaintiff, Hugo Jaiguay, administrator of the decedent’s estate, commenced this action against the defendants Vasquez, Percy Montes and Primo’s Landscaping, seeking damages for the *326 decedent’s allegedly wrongful death. After concluding that New York law applied to the plaintiffs action, the trial court granted the defendants’ motions for summary judgment on the ground that the action was barred by the exclusivity provision of New York’s Workers’ Compensation Law, N.Y. Workers’ Comp. Law § 29 (6). On appeal, 2 the plaintiff claims that the trial court improperly granted the defendants’ motions for summary judgment because, inter alia, Connecticut’s Workers’ Compensation Act, General Statutes § 31-275 et seq., which, in contrast to New York law, permits an action for damages arising out of a coworker’s negligent operation of a motor vehicle, is the governing law, and, even if New York law applies, genuine issues of material fact remain as to (1) whether Vasquez was operating the vehicle in the course of his employment, and (2) whether Percy Montes’ alleged negligence in entrusting the vehicle to Vasquez was work-related. We conclude that the trial court properly determined that the defendants are entitled to summary judgment under the applicable provisions of New York law. We therefore affirm thе judgment of the trial court.
The following facts and procedural history are relevant to our resolution of this appeal. On June 19, 2001, Vasquez and the decedent, both of whom were residents of New York, left their work site in Rye Brook, New York, in a 1992 pickup truck driven by Vasquez. At the time, seven other Primo’s Landscaping employees were riding in the truck even though the truck’s maximum occupancy was five persons. Percy Montes, a New York resident, had registered and insured the truck in his own name, but it was used exclusively by Primo’s Landscaping. 3 Vasquez was driving along King Street in *327 Greenwich when he crossed the center line of the road and collided with an oncoming vehicle. At the time of the accident, Vasquez, who had a New York state driver’s permit but not a driver’s license, was traveling approximately seventy miles per hour in a zone with a speed limit of thirty miles per hour, and had just passed a sign warning of a sharp curve in the road ahead. 4 The decedent was pronounced dead at the scene of the accident. According to Vasquez, for some weeks prior to the accident, the truck’s brakes had not been working properly, a fact that he had brought to the attention of a coworker, Ray Tello, who had promised to inform Primo’s Landscaping’s mechanic of the problem. Vasquez eventually pleaded guilty in Connecticut to negligent homicide with a motor vehicle and was sentenced to six months imprisonment.
On December 7, 2004, the New York workers’ compensation board awarded survivor’s benefits to the decedent’s two minor children. Thereafter, the plaintiff brought this action, claiming, inter alia, that the decedent’s death had been caused by Vasquez’ reckless operation of the pickup truck. The plaintiff also alleged that Percy Montеs negligently had entrusted a defective vehicle to a driver whom he knew did not have a valid driver’s license. 5 The defendants filed motions for summary judgment, claiming that the action was barred *328 by the exclusivity provision of New York’s Workers’ Compensation Law, which contain no exception for actions against a coworker arising out of that coworker’s work-related, negligent operation of a motor vehicle. The plaintiff claimed that Connecticut’s Workers’ Compensation Act, which has such an exception; see General Statutes § 31-293a; is applicable. Upon consideration of the interests of the two states and the reasonable expectations of the parties, the trial court agreed with the defendants that New York law applies, granted their motions for summary judgment and rendered judgment thereon. The plaintiff appeals from the trial court’s judgment. 6 Additional facts and procedural history will be set forth as necessary.
I
The plaintiff first claims that the trial court improperly determined that New York law applies to the case. The plaintiff contends that Connecticut law is applicable because the injury occurred in this state and because Connecticut has a strong interest in deterring the reckless conduct of drivers who use its roads. Contrary to the plaintiffs contention, the trial court correctly concluded that New York law governs.
We begin our review of the plaintiffs claim by summarizing the relevant portions of the workers’ compensation statutes of Connecticut and New York. “Connecticut’s Workers’ Compensation Act ... is the exclusive remedy for injuries sustained by an employee *329 arising out of and in the course of his employment. . . . General Statutes § 31-284 (a). Under the act’s striсt liability provisions, workers are compensated without regard to fault. In return for a relatively low burden of proof and expeditious recovery, employees relinquish their right to any common-law tort claim for their injuries. . . . Generally, then, all rights and claims between employers and employees, or their representatives or dependents, arising out of personal injury or death sustained in the course of employment are abolished as a result of the act’s exclusivity bar.
“Another provision of [this state’s] act, [namely] . . . § 31-293a, creates an exception, however, to the otherwise applicable exclusivity bar. In relevant part, § 31-293a provides that [i]f an employee . . . has a right to benefits or compensation ... on account of injury or death from injury caused by the negligence or wrong of a fellow employee, such right shall be the exclusive remedy of such injured employee or dependent and no action may be brought against such fellow employee unless such wrong was wilful or malicious or the action is based on the fellow employee’s negligence in the operation of a motor vehicle. ... As we explained in
Colangelo
v.
Heckelman,
The statutory scheme for workers’ compensation in New York contains an exclusivity provision similar to our own. “It is well recognized that the [New York
*330
workers’] compensation statute was designed to provide a swift and sure source of benefits to the injured employee or to the dependents of the deceased employee. The price for these secure benefits is the loss of the common-law tort action in which greater benefits might be obtained. Thus, unless the employee can establish the existence of a limited number of exceptional circumstances, the sole remedy is [workers’] compensation.”
O’Rourke
v.
Long,
We now consider the plaintiffs contention that our choice of law principles compel the conclusion that this case is governed by Connecticut law. Although this
*331
court, in
Johnson
v.
Atkinson,
supra,
We begin our review with
Simaitis
v.
Flood,
Simaitis urged the trial court to adopt a choice of law rule predicated on the place where the employment contract was made. Id., 27. Because the employment contract had been entered into in Connecticut, under the rule advocated by Simaitis, she would have been able to pursue her claim against Flood under the excеption to the exclusivity provisions of this state’s Workers’ Compensation Act. See id., citing General Statutes § 31-293a. Flood asserted that, because the action sounded in tort, the trial court should apply the choice of law principle applicable to tort actions, which, at the time, was the lex loci delicti rule, otherwise known as the place of injury rule.
Simaitis
v.
Flood,
supra,
Upon consideration of the two different choice of law rules advocated by the parties, and after explaining the potential shortcomings of both proposed rules, we determined that neither methodology was completely satisfactory. Id., 27-31. We concluded, instead, that “[t]he proper choice of law rules to apply . . . are the rules traditionally applied to workers’ compensation conflicts cases.” Id., 31. We then examined several approaches that had been developed for workers’ compensation cases, beginning with the “interests analysis” approach utilized by the United States Supreme Court in
Thomas
v.
Washington Gas Light Co.,
In
Thomas,
the claimant, a resident of the District of Columbia, was awarded workers’ compensation benefits in Virginia arising out of a work-related accident in
*333
that state. Id., 264. Despite a provision of Virginia law that excluded any other recovery “at common law or otherwise”; (internal quotation marks omitted) id., 265; the claimant therеafter received supplemental benefits in the District of Columbia, the principal place of business of his employer, the defendant. See id., 266. The United States Court of Appeals for the Fourth Circuit concluded, however, that the supplemental award was precluded by the full faith and credit clause of the United States constitution. Id.; see U.S. Const., art. IV, § 1. The United States Supreme Court reversed the judgment of the Fourth Circuit.
Thomas
v.
Washington Gas Light Co.,
supra,
We then observed that, “[b]eyond an interest[s] analysis, both the second Restatement of Conflict of Laws and Professor [Arthur] Larson’s treatise on workers’ compensation; [1] Restatement (Second), Conflict of Laws § 181 [1971]; 4 [A.] Larson, Workmen’s Compensation Law § 87.40 [1976], pp. 16-84 [through] 16-95; suggest approaches which lead to the same result.”
Simaitis
v.
Flood,
supra,
“(a) the person is injured in the State, or
“(b) the employment is principally located in the State, or
“(c) the employer supervised the employee’s activities from a place of business in the State, or
“(d) the State is that of most significant relationship to the contract of employment with respect to the issue of [workers’] compensation under the rules of §§ 187-188 and 196, or
“(e) the parties have agreed in the contract of employment or otherwise that their rights should be determined under the [workers’] compensation act of the State, or
“(f) the State has some other reasonable relationship to the occurrence, the parties and the employment.” 1 Restatement (Second), supra, § 181, p. 537.
Although the test set forth in the Restatement (Second) addresses the issue of whether a state may award workers’ compensation benefits consistent with the
*335
requirements of due process, we nevertheless applied that test to the choice of law issue presented by Simaitis’ tort action against Flood. We concluded that, on the basis of the facts presented, “the right of action provided by [this state’s] Workers’ Compensation Act [was] clearly available to [Simaitis] under (b), (d) or (f) . . . [of § 181 of the Restatement (Second) of Conflicts of Laws]. The action [also wаs] available to [Simaitis] under criterion (c) upon a showing of additional supporting facts.”
Simaitis
v.
Flood,
supra,
We then proceeded to consider the approach advocated by Professor Larson in his treatise on workers’ compensation law. “According to Professor Larson, the applicable law in a workers’ compensation case is the law of the place of the employment relation, because ‘the existence of the employer-employee relation within the state gives the state an interest in controlling the incidents of that relation, one of which incidents is the right to receive and the obligation to pay [workers’] compensation.’ ” Id., 34, quoting 4 A. Larson, supra, § 87.40, p. 16-84. We explained that this test also supported the conclusion that Connecticut law applied to Simaitis’ action because the “employment relation” existed in Connecticut rather than Tennessee.
Simaitis
v.
Flood,
supra,
Inasmuch as all three tests compelled the conclusion that Connecticut law applied, we concluded that Simaitis was entitled to proceed against Flood under the motor vehicle exception to this state’s workers’ compensation exclusivity provisions. Because the three tests all led to the same result, however, “it was unnecessary [in Simaitis] to adopt a comprehensive conflict of laws rule for workers’ compensation cases . . . .” (Internal quotation marks omitted.)
Johnson
v.
Atkinson,
supra,
*336
We subsequently addressed a choice of law issue in the context of a workers’ compensation case in
Cleveland
v.
U.S. Printing Ink, Inc.,
Following this court’s grant of certification to appeal, we affirmed the judgment of the Appellate Court.
Cleveland
v.
U.S. Printing Ink, Inc.,
supra,
*338
The next pertinent appellate case to consider a workers’ compensation choice of law question was
Pimental
v.
Cherne Industries, Inc.,
On appeal, USF&G maintained that Massachusetts law, which authorized its subrogation claim, was the governing law. See id., 147-48. Nenna claimed that the trial court properly had determined that, under the test applied in Cleveland, Connecticut law applied because Pimental had been injured in Connecticut. See id., 147. The Appellate Court agreed with USF&G that, because *339 Pimental was a Massachusetts resident employed by a Massachusetts company, Massachusetts had a greater interest than Connecticut in having its laws applied. Id., 146. In rejecting Nenna’s contention that Cleveland dictated a contrary conclusion, the Appellate Court distinguished Cleveland as a case that had “addressed the issue of whether an injured employee can receive workers’ compensation benefits in Connecticut. . . . Cleveland [did] not address the choice of law to be applied to workers’ compensation issues in the context of third party tort actions, which [was] the issue in [Pimental].” 10 (Citation omitted.) Id., 147. Accordingly, the Appellate Court reversed the judgment of the trial court and directed that court to deny Nenna’s motion for summary judgment. Id., 148.
In
Burse
v.
American International Airways, Inc.,
The next case relevant to our analysis is
Snyder
v.
Seldin,
In reaching its decision, the Appellate Court examined Simaitis and Pimental, the two other appellate cases involving negligence actions that were not barred by the exclusivity provisions of this state’s Workers’ Compensation Act, and concluded that an interests analysis was the proper methodology for determining whether New York or Connecticut law was applicable. Id., 722-23. After observing that Snyder had received workers’ compensation benefits under New York law, the court explained that “New York’s interest in compensating an injured employee, a New York resident, while precluding her from bringing a negligence action against her coemployee, who also [was] a New York resident, for injuries sustained in the course of [her] employment, [was] clear and legitimate. New York’s interest further lies in the fact that [Snyder’s] employment relationship with Casual Comer began and ha[d] always existed in New York, and that [Snyder] ha[d] traveled to Connecticut for business only twice since [she was] hired by Casual Comer . . . .” Id., 723. In light of those facts and circumstances, the court characterized New York’s interest in having its laws applied as substantial. Id. The court also stated “that Connecticut’s interest lies in the fact that the injury occurred within its borders and on its highways”; id.; and that Casual Comer’s headquarters were located in Connecticut. Id., 723-24. With respect to the place of the injury, the Appellate Court stated that, “although the place where the injury occurred might [have been] one factor to consider, it [was] not dispositive of the issue and clearly [did] not outweigh New York’s interests.” Id., 723. With respect to the fact that Casual Comer’s corporate *342 offices were located in Connecticut, the court concluded that, “[although the location of the headquarters [also was] one factor to consider, [it could not] go as far as to say that this alone [gave] Connecticut the greater interest under the facts presented. Although it might [have been] true that Connecticut [was] the center of Casual Comer’s corporate operations, it [did] not necessarily follow that it [was] the center of the parties’ relationship with Casual Comer because [Snyder] was principally employed in New York and the parties were both New York residents. Given the facts presented, the parties clearly had an expectation that they would be entitled to the rights, privileges and immunities of New York law. Consequently, because New York ha[d] the greater interest ... it was proper [for the trial court] to apply New York law.” 12 Id., 724.
This court most recently applied workers’ compensation choice of law principles in
Johnson
v.
Atkinson,
supra,
On appeal, we agreed that New Jersey law applied and, accordingly, affirmed the trial court’s judgment. Id., 250-51, 257. In doing so, we reviewed the choice of law principles in Simaitis, Cleveland and Burse. Id., 253-57. We determined that these cases had developed a three part test that permitted the application of Connecticut law to a workers’ compensation case if Connecticut is the place of the injury, the place of the employment contract or the place of the employment relationship. Id., 256. Because Wysiekierski had not been injured in Connecticut, we noted, as we had in Burse, that the first prong of the test was inapplicable. Id., 257 n.5. We therefore analyzed the second two prongs of the test, explaining that, under Burse, Johnson was required to demonstrate a significant relationship between Connecticut and either the employment contract or the employment relationship. Id., 256. We concluded that, because Johnson had failed to satisfy either requirement, the trial court properly had determined that New Jersey law was applicable and that that fact defeated Johnson’s claim. Id., 256-57.
In the course of our analysis of Johnson’s contention that the trial court should have applied Connecticut law rather than the law of New Jersey, we addressed a claim by Johnson that, for purposes of our analysis, we should differentiate between cases such as
Simaitis,
*344
Pimental
and Snyder, which involved negligence actions permitted by an exception to the exclusivity provisions of the applicable workers’ compensation statutes, and cases such as
Cleveland
and
Burse,
in which the claimant sought workers’ compensation benefits in this state. Id., 253. We rejected Johnson’s claim, explaining our reason for doing so as follows: “The plaintiffs contention that
Simaitis,
and not
Burse
or
Cleveland,
establishes the appropriate choice of law analysis . . . cannot be supported. Although
Simaitis,
like
[Johnson],
involved a negligence claim against a fellow employee under § 31-293a, nothing in the language of
[Simaitis],
or
of Burse
or
Cleveland,
suggests that such claims call for a different choice of law analysis from that for workers’ compensation claims generally.” Id., 256-57. Accordingly, we concluded “that only one choice of law analysis applies to all workers’ compensation cases and claims . . . .” Id., 254. In reaching this conclusion, we expressly disavowed the reasoning of the Appellate Court in
Pimental,
stating that, in that case, “the Appellate Court determined that
Cleveland
[did] not address the choice of law to be applied to workers’ compensation issues in the context of third party tort actions ....
[Pimental
v.
Cherne Industries, Inc.,
supra, 46 Conn. App.] 147. . . . [W]e clarify that the three part significant relationship test outlined first in
Cleveland
and then refined in
Burse
... is the controlling choice of law analysis for all workers’ compensation cases and claims in Connecticut. To the extent that
Pimental
conflicts with this determination, we disagree with it.” (Citation omitted.)
Johnson
v.
Atkinson,
supra,
With this case law as background, we return to the claim of the plaintiff in the present case. The plaintiff contends that, because the three-pronged test that we adopted in Johnson is expressed in the disjunctive; see id., 256 (Connecticut law applies if Connecticut is place *345 of injury, place of employment contract or place of employment relation); and because the place of the injury in this case is Connecticut, the law of Connecticut applies. We acknowledge that a strict application of the test that we endorsed in Johnson would require such a result because the injury occurred in this state. 13 Upon reconsideration of our analysis in Johnson, however, we now conclude that the three-pronged test that we approved in that case applies only when the case involves a claim for workers’ compensation benefits and not when, as in the present case, the case involves a tort claim.
We reach this conclusion because the considerations relevant to the choice of law issues raised by the two kinds of cases are materially different. In the category of cases involving claims for workers’ compensation benefits in this state, the issue is whether this state has a sufficient interest in having an injured employee receive an award of benefits under the laws of this state. Because this state has a strong interest in compensating injured employees; see, e.g.,
Burse
v.
American International Airways, Inc.,
supra,
A markedly different choice of law issue is posed, however, when, as in the present case, an injured employee brings a tort action that ostensibly falls within an exception to the exclusivity provisions of our Workers’ Compensation Act. In that category of cases, the choice of law question is not which state among one or more other states has a sufficient interest in having its statutes invoked for the benefit of the employee. The issue, rather, is which state’s law, to the exclusion of the law of all other potentially interested states, is the governing or controlling law. 17 Although the present action arises in the employment context and is authorized by a provision of our Workers’ Compensation Act that exempts from its exclusivity provisions common-law claims predicated on a coworker’s negligent operation of a motor vehicle, the action sounds in tort. Therefore, we see no reason why we should not utilize the choice of law analysis applicable to tort cases. 18 Of *348 course, because cases that arise under an exception to the exclusivity provisions of a state’s workers’ compensation scheme invariably will have a strong nexus to the employment relationship, the application of the choice of law analysis applicable in tort cases must be undertaken with due regard to the importance of that relationship. Nevertheless, in light of our conclusion that a tort choice of law analysis applies to tort actions brought under an exception to the exclusivity provisions of the Workers’ Compensation Act, we overrule our holding in Johnson that the same choice of law analysis applies to tort claims and claims for workers’ compensation benefits. 19
It is true that we rejected such an approach in
Simaitis,
a case that involved facts very similar to those of the present case.
Simaitis
v.
Flood,
supra,
We previously have summarized the most significant relationship test set forth in §§ 6 and 145 of the Restatement (Second) as follows. “Subsection (1) of § 145 of the Restatement (Second) of Conflict of Laws provides that ‘[t]he rights and liabilities of the parties with respect to an issue in tort are determined by the local law of the state which, with respect to that issue, has the most significant relationship to the occurrence and the parties under the principles stated in § 6.’ 1 Restatement (Second), [supra, § 145 (1), p. 414]. Subsection (2) of § 6 of the Restatement (Second) of Conflict of Laws, in turn, provides: ‘When there is no [statutory] directive, the factors relevant to the choice of the applicable rule of law include (a) the needs of the interstate and international systems, (b) the relevant policies of the forum, (c) the relevant policies of other interested states and the relative interests of those states in the determinаtion of a particular issue, (d) the protection of justified expectations, (e) the basic policies underlying the particular field of law, (f) certainty, predictability and uniformity of result, and (g) ease in the determination and application of the law to be applied.’ Id, § 6 (2), p. 10.
*352
“For assistance in our evaluation of the policy choices set out in §§ 145 (1) and 6 (2) ... we turn ... to § 145 (2) . . . which establishes black-letter rules of priority to facilitate the application of the principles of § 6 to tort cases. . . . Subsection (2) of § 145 . . . provides: ‘Contacts to be taken into account in applying the principles of § 6 to determine the law applicable to an issue include: (a) the place where the injury occurred, (b) the place where the conduct causing the injury occurred, (c) the domicil, residence, nationality, place of incorporation and place of business of the parties, and (d) the place where the relationship, if any, between the parties is centered. These contacts are to be evaluated according to their relative importance with respect to the particular issue.’ [Id.], § 145 (2), p. 414.” (Citation omitted.)
Dugan
v.
Mobile Medical Testing Services, Inc.,
supra,
We commence our analysis under this test by reviewing the specific contacts that each jurisdiction has to the facts and circumstances underlying the present action. In doing so, we are guided by the contacts enumerated in § 145 (2). Because the record establishes that the parties’ relationship clearly was centered in New York, where the decedent and Percy Montes were domiciled and where Primo’s Landscaping is headquartered and incorporated, the factors set forth in subdivisions (c) and (d) of § 145 (2) weigh in favor of applying New York law. On the other hand, in view of the fact that the injury and the majority of the conduct causing it occurred in Connecticut, the factors set forth in subdivisions (a) and (b) of § 145 (2) weigh in favor of the application of Connecticut law. 23
*353
“As
O’Connor
informs us, [however] it is the significance, and not the number, of § 145 (2) contacts that determines the outcome of the choice of law inquiry under the Restatement [Second] approach. As the concluding sentence of § 145 (2) provides, [t]hese contacts are to be evaluated according to their relative importance with respect to the particular issue.
O’Connor
v.
O’Connor,
supra,
The factors enumerated in § 6 (2) аlso militate in favor of applying New York law. In determining which state’s law should apply under § 6 (2), we must review, inter alia, the respective policies and interests of New York and Connecticut in the controversy. See 1 Restatement (Second), supra, § 6 (2) (b), (c) and (e), p. 10. The plaintiff asserts that Connecticut law should
*354
apply because Connecticut’s interests are stronger than those of New York. In particular, the plaintiff contends that Connecticut has a strong interest in deterring drivers from speeding and driving recklessly on its roads and highways. Although Connecticut does have such an interest, we agree with the defendants that its interest in that regard is diminished when the offending conduct occurs during a brief entry into the state and when any accident that occurs as a result of the undue speed or recklessness does not involve a Connecticut resident. See
O’Connor
v.
O’Connor,
supra,
Moreover, Connecticut has little or no interest in vindicating its policy of permitting actions in accordance with the motor vehicle exception of § 31-293a when, as in the present case, Connecticut has no ties to any person or party involved in the accident. In contrast, because the parties’ employment relationship is centered in New York, New York has a clear interest in ensuring that its contrary public policy is honored. 24
Finally, subdivision (d) of § 6 (2) requires us to examine the expectations of the parties as to what law gov-
*355
ems their actions. 1 Restatement (Second), supra, § 6 (2) (d). Because the decedent, Vasquez, and Percy Montes all resided in New York, because New York was the situs of the employment relationship and because the parties’ only nexus to Connecticut was the fact that the accident fortuitously occurred in Connecticut, the parties reasonably would have expected to be able to invoke the rights and protections available to them under the laws of New York. With respect to subdivisions (f) and (g), which, respectively, require us to consider the certainty, predictability and uniformity of the result and the ease in the determination and application of the law to be applied, we acknowledge that focusing solely on one relevant factor, such as the place of the injury, would result in simpler, more predictable choice of law decisions. As we observed in
O’Connor,
however, these factors “should not be overemphasized, since it is obviously of greater importance that choice-of-law rules lead to desirable results.” (Internal quotation marks omitted.)
O’Connor
v.
O’Connor,
supra,
In sum, the considerations relevant to our inquiry militate strongly in favor of applying New York law. Accordingly, we agree with the trial court that New York law applies. 26
II
The plaintiff next claims that, even if New York law applies, the trial court improperly granted Vasquez’ motion for summary judgment, notwithstanding the exclusivity provision of New York’s Workers’ Compensation Law, because there exists a contested issue of material fact as to whether Vasquez was acting within the scope of his employment at the time of the accident. In support of his claim, the plaintiff contends that a jury reasonably could find that Vasquez was not acting in the course of his employment when the accident occurred because the evidence demonstrates that Vasquez (1) committed the equivalent of an intentional tort against the decedent, and (2) was driving to a soccer game, a personal pursuit unrelated to his employment. We conclude that the plaintiff has failed to provide a factual basis to support his claim that Vasquez’ conduct places him outside the immunity afforded coworkers under New York’s Workers’ Compensation Law. 27
*357
New York’s Workers’ Compensation Law § 29 (6) provides in relevant part that “[t]he right to compensation or benefits . . . shall be the exclusive remedy to an employee, or in case of death his or her dependents, when such employee is injured or killed by the negligence оr wrong of another in the same employ . . . .” Nevertheless, “the words ‘in the same employ’ as used in the Workers’ Compensation Law are not satisfied simply because both [the] plaintiff and [the] defendant have the same employer; a defendant, to have the protection of the exclusivity provision, must himself have been acting within the scope of his employment . . . .”
Maines
v.
Cronomer Valley Fire Dept., Inc.,
The plaintiff relies primarily on Maines in support of his contention that he has alleged facts sufficient to permit a finding that Vasquez committed an intentional tort against the decedent, thereby placing the present action outside the purview of the coworker immunity *358 created by § 29 (6). In Maines, the plaintiff, Kenneth Maines, a firefighter, was injured during a hazing that occurred after he was inducted as a senior member of his fire department. Id., 540-41. Several of Maines’ fellow firefighters covered his head with a bedsheet, bound his feet and tossed him into a garbage dumpster, where they then threw grease on him and hosed him with water. Id., 541. Though Maines protested that he had landed on broken glass in the dumpster and was hurt, his coworkers closed the lid to the dumpster and left him there for several minutes. Id. When they turned the dumpster on its side and Maines rolled out, they saw that he had severe hand and wrist injuries and rushed him to the hospital. Id. After receiving workers’ compensation benefits, Maines commenced an action against his coworkers, alleging that their negligence had caused his injuries. See id., 540-41. The coworkers filed motions to dismiss the action, claiming that workers’ compensation benefits constituted Maines’ exclusive remedy. See id. The trial court granted the coworkers’ motions, and the Appellate Division affirmed the judgment of the trial court. Id., 540.
The New York Court of Appeals reversed, concluding that, although “compensation law is designed to [е]nsure that an employee injured in [the] course of employment will be made whole and to protect a coemployee who . . . acting within the scope of his employment caused the injury, it has not protected the coemployee, even though the injured employee has accepted compensation benefits, when the coemployee was not acting with the scope of his employment at the time he inflicted the injury . . . .” (Citations omitted.) Id., 544. The court concluded that the coworkers “had so far departed from the duties and activities of their positions as volunteer firemen that a jury may find . . . that they were not acting in furtherance of those duties (or in the same employ) when [Maines] was injured.” *359 (Internal quotation marks omitted.) Id., 544-45. The court also explained that “[a] further basis for [its] conclusion exist[ed] in that the complaint liberally construed may [have been] interpreted as alleging that the [coworkers] in throwing [Maines] into the dumpster [had] committed an intentional assault [on] him”; id., 545; and that “a defendant, to have the protection of the exclusivity provision, must . . . have been acting within the scope of his employment and not have been engaged in a [wilful] or intentional tort.” Id., 543.
Even though the plaintiff in the present case did not expressly allege in his complaint that Vasquez had engaged in intentional conduct toward the decedent, the plaintiff maintains that Vasquez’ conduct was so egregious that it is tantamount to an intentional tort and, therefore, that his claim is not subject to the exclusivity provision of New York’s Workers’ Compensation Law. In particular, the plaintiff contends that it is not necessary to allege expressly that the offending conduct was intentional for the purpose оf avoiding New York’s exclusivity provision because, in Maines, the court explained that “the complaint in an action against a coemployee . . . for an assault committed outside the scope of the coemployee’s employment . . . need only allege deliberate intent or conscious choice to do the act which results in the injury . . . .” (Citations omitted.) Id., 546. The plaintiff also notes that the court in Maines rejected the “suggestion that [a] plaintiff must allege that [the offending coworker] intended to bring about the harmful consequences that ensued.” Id., 545-46.
The plaintiffs reliance on Maines is misplaced. Although the New York Court of Appeals acknowledged that Maines did not expressly allege in his complaint that the coworkers committed an intentional tort; see id., 545; the court also stated that the complaint, fairly construed, contained allegations that Maines’ cowork *360 ers had committed an intentional assault against him by throwing him into the dumpster and confining him there against his will. See id. The court further observed that, although “the complaint allege [d] negligence and carelessness, it also charge[d] that [the coworkers] ‘in concert with one another . . . caused [Maines] to be physically restrained,’ recklessly ‘failed to discontinue their actions upon [Maines’] resistance, requests and cries,’ and ‘used physical force on [Maines] for no legitimate or lawful purpose.’ ” Id. The court determined, therefore, that the allegations of the complaint were sufficient to establish an intentional tort. See id.
In contrast, the complaint in the present case contains no allegation that Vasquez had engaged in any conduct that was directed at the decedent. Thus, there is nothing in the record to indicate that Vasquez’ conduct, however deplorable, was calculated or designed to affect the decedent or any of the other occupants of the vehicle. In this important respect, Vasquez’ conduct differs from that of Maines’ coworkers, who had singled out Maines for the hazing that foreseeably resulted in his injuries. Despite the tragic result of Vasquez’ conduct, it cannot be said that that conduct was the equivalent of an intentional assault on the decedent.
The plaintiff also maintains that Vasquez was acting outside the scope of his employment because he was driving to a soccer game at the time of the accident rather than .returning to the premises of Primo’s Landscaping. Vasquez contends that the plaintiff cannot prevail on this claim because he has not provided any admissible evidence to support his allegation that Vasquez was headed to a soccer game when the accident occurred. 28 We agree with Vasquez.
*361 The following additional facts and procedural histoiy are necessary to our resolution of this issue. At his deposition, Vasquez testified that he and his coworkers were returning to the premises of Primo’s Landscaping when the accident occurred. Although Vasquez acknowledged that, at one point, he may have intended to drive to a soccer game in Peekskill, New York, after work that day, by the time he left the worksite, it was too late to make the game, and he, therefore, had abandoned any plans to do so. Vasquez also testified that he was the only member of the work crew who had contemplated participating in the soccer game that evening.
In opposition to Vasquez’ motion for summaiy judgment, the plaintiff submitted the deposition testimony of Percy Montes and Barbara Montes. Percy Montes testified at his deposition that, although he was not aware of the soccer game prior to the accident, several Primo’s Landscaping employees told him after the accident that Vasquez had been speeding so that he and his coworkers could get to the soccer game on time. Barbara Montes testified at her deposition that, after the accident, she went to the hospital, where she spoke to several of the injured employees. Those employees told her that the decedent had implored Vasquez to drive faster so that they would not miss the soccer game. Although Barbara Montes spoke to Vasquez after the accident, they did not discuss the issue of where Vasquez was headed at the time of the accident.
*362
“Practice Book § 17-49 provides that summary judgment shall be rendered forthwith if the pleadings, affidavits and any other proof submitted show that there is no genuine issue as to any material fact and that the moving party is entitled to judgment as a matter of law. In deciding a motion for summary judgment, the trial court must view the evidence in the light most favorable to the nonmoving party. . . . The party moving for summary judgment has the burden of showing the absence of any genuine issue of material fact and that the party is, therefore, entitled to judgment as a matter of law. ... On appeal, we must determine whether the legal conclusions reached by the trial court are legally and logically correct and whether they find support in the facts set out in the memorandum of decision of the trial court. . . . Our review of the trial court’s decision to grant [a] . . . motion for summary judgment is plenary.” (Internal quotation marks omitted.)
Connecticut Medical Ins. Co.
v.
Kulikowski,
The testimony of Percy Montes аnd Barbara Montes recounting the statements made to them by several of the decedent’s injured coworkers contains hearsay. See Conn. Code Evid. § 8-1 (3) (defining hearsay as “a statement, other than one made by the declarant while testifying at the proceeding, offered in evidence to establish the truth of the matter asserted”). Hearsay evidence is inadmissible unless the proponent of the evidence can identify an exception to that general rule. See Conn. Code Evid. § 8-2.
The plaintiff contends that the deposition testimony of Percy Montes and Barbara Montes is admissible under the hearsay exception for statements of a party opponent. See Conn. Code Evid. § 8-3 (1) (excepting from hearsay rule “[a] statement that is being offered against a party and is [A] the party’s own statement, in either an individual or a representative capacity”).
*363
Under that hearsay exception, the testimony of a witness concerning an out-of-court statement made to that witness by a party is admissible. The plaintiff, however, relies on the Montes’ testimony about certain out-of-court statements made by Primo’s Landscaping employees. The out-of-court statements of those employees, who are not parties, do not fall within the hearsay exception for statements by party opponents, and they are not admissible under any other hearsay exception identified by the plaintiff. Because factual assertions based on inadmissible hearsay are insufficient for purposes of opposing a motion for summary judgment; see, e.g.,
Great Country Bank
v. Pastors,
Ill
The plaintiff also contends that the trial court improperly granted Percy Montes’ motion for summary judgment on the plaintiffs claim that Percy Montes *364 negligently had entrusted the pickup truck to Vasquez even though he knew that Vasquez did not have a valid driver’s license and knew or should have known that the truck’s brakes were in disrepair. In support of his claim, the plaintiff asserts that Percy Montes had acted outside the scope of his employment when he provided the truck to Primo’s Landscaping because Percy Montes owned the truck. We disagree with the plaintiff.
As we previously have explained, the truck that Vasquez was driving at the time of the accident was registered to Percy Montes. It is undisputed, however, that (1) Percy Montes had purchased the truck for use by Primo’s Landscaping, (2) the truck was used exclusively by Primo’s Landscaping, (3) the truck was garaged at Primo’s Landscaping’s place of business and was repaired and serviced by one of Primo’s Landscaping’s employees, and (4) at the time of the accident, Percy Montes was in the process of transferring ownership of the truck to Primo’s Landscaping. Furthermore, it is undisputed that Percy Montes, as an officer of the corporation, was an employee of Primo’s Landscaping when the accident occurred. The evidence also reflects that, although he allowed Vasquez to drive the truck, Percy Montes was aware that Vasquez had a learner’s permit and not a valid driver’s license. In addition, Vasquez had told an employee of Primo’s Landsсaping that the brakes on the truck were not operating properly.
“[B]ecause the determination of whether a particular act was within the scope of the servant’s employment is so heavily dependent on factual considerations, the question is ordinarily one for the jury . . . .” (Citations omitted.)
Riviello
v.
Waldron,
“The test for determining whether specific activities are within the scope of employment or purely personal is whether the activities are both reasonable and sufficiently work related under the circumstances . . . .” (Citations omitted.)
Neacosia
v.
New York Power Authority,
The plaintiff relies on
Costanzo
v.
Mankler,
In Costanzo, the plaintiff, Frank Costanzo, was injured in the course of his employment when the floorboard of a truck in which he was a passenger came loose and struck him, causing him to suffer injuries. *366 Id., 189. The truck was owned by the defendant, Sol Mackler, a mechanic who worked for the same employer as Costanzo. Id., 188-89. Costanzo brought an action against Mackler, who raised the special defense that Constanzo’s exclusive remedy was workers’ compensation benefits. Id., 189. The evidence established that Mackler had rented the truck to his employer on a daily basis but paid for gasoline, oil, insurance, repairs and all other incidental expenses pertaining to ownership of the truck. Id. Without any analysis, the trial court granted Costanzo’s motion to strike Mackler’s special defense, concluding: “Clearly, [§ 29 (6) of New York’s] Workmen’s Compensation Law ... is inapplicable. The alleged tort charged of [Mackler] is independent of and not related to the common employment of both .... The injection of workmen’s compensation under the circumstances would tend to prejudice a fair trial of the action.” (Citation omitted.) Id. The Appellate Division affirmed the trial court without opinion. Costanzo v. Mackler, supra, 17 App. Div. 2d 948.
The plaintiff asserts that we should be guided by the conclusion of the court in
Costanzo
because that case and the present case present similar factual scenarios. Contrary to the plaintiffs claim, this case is distinguishable from
Costanzo
on its facts. In
Costanzo,
Mackler entered into a rental agreement with his employer from which he benefited financially. See
Costanzo
v.
Mackler,
supra,
The judgment is affirmed.
In this opinion the other justices concurred.
Notes
Barbara Montes, Percy Montes’ wife, is the other coowner of Primo’s Landscaping. Each owns 50 percent of the shares of Primo’s Landscaping, and each is an officer and director of the corporation.
The plaintiff appealed to the Appellate Court from the judgment of the trial court, and we transferred the appeal to this court pursuant to General Statutes § 51-199 (c) and Practice Book § 65-1.
Percy Montes had purchased the truck on December 28, 2000, a few days before Primo’s Landscaping was registered as a corporation on January 2, 2001. Although Percy Montes registered and insured the truck in his own *327 name, he had purchased it for use by Primo’s Landscaping, and the truck was garaged at the company’s place of business and repaired and serviced by one of the company’s employees. In addition, on June 19, 2001, Percy Montes was in the process of transferring the truck’s title to Primo’s Landscaping, although that process had not yet been completed.
We note that there is a factual dispute with respect to the track’s destination at the time of the accident and whether Vasquez was operating the track in the course of his employment at that time. We discuss this issue more fully in part II of this opinion. Regardless of the track’s specific destination, however, it is undisputed that the vehicle briefly entered Connecticut en route from its point of departure in New York to a destination in New York.
The plaintiff alleged that Vasquez was reckless or, alternatively, negligent, in his operation of the truck. The plaintiff also alleged negligence and negli *328 gent entrustment against both Percy Montes and Primo’s Landscaping for providing Vasquez with a defective vehicle and for permitting Vasquez to operate the truck without a driver’s license. The plaintiffs claims against Primo’s Landscaping apparently were predicated on the contention that the negligence attributable to Primo’s Landscaping occurred outside the scope of the decedent’s employment.
The plaintiff expressly has abandoned his appeal insofar as it relates to his claims against Primo’s Landscaping. Thus, we hereinafter refer to Vasquez and Percy Montes collectively as the defendants.
Subdivision (6) of § 29 of New York’s Workers' Compensation Law provides: “The right to compensation or benefits under this chapter, shall be the exclusive remedy to an employee, or in case of death his or her dependents, when such employee is injured or killed by the negligence or wrong of another in the same employ, the employer’s insurer or any collective bargaining agent of the employer’s employees or any employee, of such insurer or such collective bargaining agent (while acting within the scope of his or her employment). The limitation of liability of an employer set forth in section eleven of this article for the injury or death of an employee shall be applicable to another in the same employ, the employer’s insurer, any collective bargaining agent of the employer’s employees or any employee of the employer’s insurer or such collective bargaining agent (while acting within the scope of his or her employment). The option to maintain an action in the courts for damages based on the employer’s failure to secure compensation for injured employees and their dependents as set forth in section eleven of this article shall not be construed to include the right to maintain an action against another in the same employ, the employer’s insurer, any collective bargaining agent of the employer’s employees or any employee of the employer’s insurer or such collective bargaining agent (while acting within the scope of his or her employment).” N.Y. Workers’ Comp. Law § 29 (6) (McKinney 2005).
The name of the organization responsible for reviewing the decisions of the workers’ compensation commissioners was changed from the compensation review division to the compensation review board in 1991. See Public Acts 1991, No. 91-339, § 32.
The legislature subsequently signaled its disapproval of our conclusion that Cleveland’s injury in this state wаs sufficient to satisfy the first prong of the three part test that we had adopted in Cleveland,. See Public Acts, 1993, No. 93-228, § 1 (P.A. 93-228). Specifically, the legislature amended the statutory scheme to exclude from the definition of employee “[a]ny person who is not a resident of this state but is injured in this state during the course of his employment, unless such person (I) works for an employer who has a place of employment or a business facility located in this state at which such person spends at least fifty per cent of his employment time, or (II) works for an employer pursuant to an employment contract to be performed primarily in this state.’’Public Acts 93-228, § 1, codified at General Statutes (Rev. to 1995) § 31-275 (9) (B) (vi).
We note that, in light of § 31-275 (9) (B) (vi), the plaintiff in the present case could have claimed that the present action is not barred by the exclusivity provisions of this state’s Workers’ Compensation Act (act), and, therefore, that § 31-293a does not apply at all, because, under § 31-275 (9) (B) (vi), the decedent simply was not an employee for purposes of the act. Our review of the briefs filed by the parties both in this court and in the trial court indicates, however, that the plaintiffs claim is predicated on the motor vehicle exception of § 31-293a. We therefore address that claim. Nevertheless, our conclusion concerning the applicability of New York law would be the same even if the plaintiff had claimed that the act and its exclusivity provisions do not apply because the decedent was not an employee under the act.
Shortly after our decision in
Cleveland,
this court, in
Kluttz
v.
Howard,
Adhering to the approach that this court took in
Simaitis,
the Appellate Court also “lookfed] beyond an interest
analysis
and examine[d] the Restatement (Second) of Conflict of Laws and Professor Larson’s treatise on workers’ compensation; 1 Restatement (Second), [supra, § 181, p. 537]; 4 A. Larson, [supra] § 87.40, pp. 16-84 through 16-95 . . . .”
Pimental
v.
Cherne Industries, Inc.,
supra,
Because Burse’s injury did not occur in Connecticut, the first part of the
Cleveland
test, namely, the place of the injury; see
Cleveland
v.
U.S. Printing Ink, Inc.,
supra,
In addition, the Appellate Court considered the tests set forth in Restatement (Second) of Conflict of Laws and Professor Larson’s treatise, which the courts in
Simaitis
and
Pimental
had examined, and concluded that those tests also compelled the conclusion that New York law was the applicable law.
Snyder
v.
Seldin,
supra,
As we previously have noted, in
Johnson,
we did not consider the applicability of the first prong of the three part test, that is, the place of the injury, because the injury in
Johnson
did not occur in this state.
Johnson v. Atkinson,
supra,
We note, however, that, despite this state’s significant interest in having injured employees compensated under its laws, the legislature has limited the universe of employees who are entitled to benefits in this state when this state is the place of the injury. See footnote 9 of this opinion. Contrary to this court’s pronouncements, therefore, it no longer is strictly true that this state has an interest in compensating injured employees “to the fullest extent possible . . . .” (Internal quotation marks omitted.)
Burse
v.
American International Airways, Inc.,
supra,
Of course, an employee who is entitled to workers’ compensation benefits in more than one state may receive no more than the maximum amount of benefits allowed to an individual under either one of the states’ legislative schemes. See
Cleveland
v.
U.S. Printing Ink, Inc.,
supra,
As we have explained, following our opinion in Cleveland, the legislature amended our Workers’ Compensation Act, effectively modifying the first prong of the test. See footnote 9 of this opinion.
As we have noted; see
Johnson
v.
Atkinson,
supra,
Courts of other states that have addressed choice of law questions pertaining to tort claims permitted by an exception to the exclusivity provisions of their states’ workers’ compensation schemes have applied their states’ choice of law analysis applicable to tort claims, not a separate analysis for workers’ compensation claims. See, e.g.,
Schubert
v.
Target Stores, Inc.,
We also note that it would malee little sense to apply the three-pronged disjunctive test first set forth in Cleveland when, as in the present case, the worker is injured in this state but otherwise falls outside the definition of the term “employee” set forth in § 31-275 (9) (B) (vi). See footnote 9 of this opinion. In such circumstances, although the injured worker would satisfy *348 the “place of injury” prong of the Cleveland, test, he would not be an employee within the meaning of this state’s Workers’ Compensation Act. Consequently, there would be no reason to apply the choice of law test applicable to claims for workers’ compensation benefits because our workers' compensation scheme would not be applicable at all.
Of course, a tort choice of law analysis also applies to claims brought by persons who do not meet the definition of “employee” under § 31-275 (9) (B) (vi). See footnote 9 of this opinion.
"In
O’Connor
v.
O’Connor,
supra,
As we noted previously, in
Simaitis,
we were guided by three different tests.
Simaitis
v.
Flood,
supra,
In overruling our prior precedent, we are mindful of the important role that the doctrine of stare decisis plays in our jurisprudence. “The doctrine of stare decisis counsels that a court should not overrule its earlier decisions unless the most cogent reasons and inescapable logic require it. . . . Stare decisis is justified because it allows for predictability in the ordering of conduct, it promotes the necessary perception that the law is relatively unchanging, it saves resources and it promotes judicial efficiency.” (Internal quotation marks omitted.)
Hummel
v.
Marten Transport, Ltd.,
To the extent that the plaintiff contends that Percy Montes negligently entrusted the truck to Vasquez and that Vasquez was permitted to drive the vehicle despite the dangerous condition of its brakes, that conduct occurred in New York.
We note that, because Connecticut’s only apparent connection to the conduct and relationships that gave rise to this action is the fact that the accident and conduct causing it occurred here, the decedent is not entitled to workers’ compensation benefits in this state. See footnote 9 of this opinion. Indeed, that fact alone is a strong indication that this state’s interest in the matter is insufficient to warrant the application of its laws under a tort choice of law test. By contrast, because New York is the situs of the employment relationship and the decedent was a New York resident, New York has an obvious interest in compensating the decedent’s surviving dependents under its workers’ compensation scheme. As we previously noted, the decedent’s children already have been awarded survivor’s benefits in New York.
Under subdivision (a) of § 6 (2), we also must consider the needs of the interstate and international systems. We do not perceive, however, that those needs are implicated in the present case.
The plaintiff also contends that, “[allowing New York’s exclusivity [provision] for fellow employees to prohibit the present action would violate” the open courts provision of article first, § 10, of the constitution of the state of Connecticut, “as well as [this state’s] strong public policy for deterring misconduct on its highways.” Because the plaintiff has failed to provide any substantive analysis of these assertions, we decline to address them.
Vasquez asserts that because both he and the decedent’s dependents sought and received benefits from the New York workers’ compensation board (board), the plaintiff is estopped from raising a claim that, contrary to the board’s finding in connection with the award of those benefits, the accident occurred outside the scope of the employment relationship. We disagree with Vasquez’ contention. “[A]n adjudication by the board that
*357
there was a relationship between accident and employment, unless reversed on . . . direct appeal, would preclude any recovery in a civil action against the employer (Citation omitted.)
O’Rourke
v.
Long,
supra,
We note that, in New York, “[t]he general rule is that injuries sustained during travel to and from the place of employment do not come within the statute .... There are exceptions to this ‘going and coming’ rule, however. For example, an outside employee, such as a [traveling] salesperson who does not have a fixed worksite, may be compensated for injuries sustained
*361
in
the course of travel between home and appointments . . . (Citations omitted.)
Neacosia
v.
New York Power Authority,
Relying on dictum in
Pasquel
v.
Coverly,
