Opinion
NORCOTT, J.
The dispositive issue in this appeal involves the viability of the doctrine of superseding cause. The plaintiffs, Neil Barry, Diana Barry, Bernard Cohade and Lynn Cohade,1 appeal2 from the judgment of the trial court in favor of the named defendant, Quality Steel Products, Inc. (Quality Steel), and the defendant Ring’s End, Inc. (Ring’s End). On appeal, the plaintiffs claim that the trial court improperly instructed the jury on the doctrine of superseding cause because: (1) the alleged negligence of the plaintiffs’ employer, DeLuca Construction Company (DeLuca), was not outside the scope of the original risk posed by the defendants’ defective product; and (2) any negligence by DeLuca was not the sole proximate cause of the plaintiffs’ injuries. The defendants claim that the trial court properly instructed the jury on the doctrine of superseding cause because the jury could consider the combined negligence of the plaintiffs, their coworker and DeLuca as a superseding cause of the plaintiffs’ accident. Addi[427]*427tionally, the defendants contend that, if we order a new trial, we should consider whether the trial court improperly: (1) excluded evidence of the absence of prior accidents involving the same product; (2) excluded certain expert testimony; (3) denied the defendants’ motion to bifurcate the liability and damages portions of the trial; and (4) granted summary judgment in favor of DeLuca, which had intervened as a plaintiff in the action.3 As we explain herein, we conclude that the doctrine of superseding cause, as applied in the present case, no longer plays a useful role in our common law of proximate cause. Accordingly, we reverse the judgment of the trial court in favor of the defendants and order a new trial.
The plaintiffs brought this product liability action4 [428]*428pursuant to General Statutes § 52-572m et seq.* ***5 against Quality Steel alleging that it had designed and manufactured a defective product, namely, roof brackets, which were utilized by the plaintiffs in the hanging of shingles, and against Ring’s End, the seller of the brackets.6 Thereafter, the plaintiffs filed a motion in limine asking the trial court to exclude evidence of any alleged negligence on the part of DeLuca, and to deny the defendants’ request to charge the jury on the doctrine of superseding cause. The court denied the motion and, at the end of the testimony, the trial court instructed the jury on the doctrine of superseding cause.7 After [429]*429answering a set of special interrogatories,8 the jury [430]*430returned a verdict in favor of the defendants on ail counts. The trial court denied the plaintiffs’ motion to set aside the verdict and rendered judgment for the defendants. This appeal followed.
The jury reasonably could have found the following facts. The plaintiffs were employed as carpenters by DeLuca. On February 26, 1998, the plaintiffs were putting shingles on the roof of the New Canaan Nature Center when the platform staging on which they were working collapsed, causing the plaintiffs to fall to the ground and sustain severe injuries. Immediately prior to the collapse, the plaintiffs were working on a wooden plank attached to the roof by roof brackets designed and manufactured by Quality Steel and purchased from Ring’s End.
The roof brackets were used as part of a structure that created a platform on which the plaintiffs could [431]*431work. To install the brackets, the plaintiffs nailed them to the roof through three slots on the bracket. After the brackets were attached to the roof, a plank was placed on top of the brackets, which then provided a surface on which the plaintiffs could stand in order to shingle the roof. Although there had been additional pipe scaffolding located around the perimeter of the roof prior to the time the plaintiffs fell, it was taken down before the plaintiffs’ accident.
After working on the planks for several hours in the morning, the plaintiffs returned to the planking after lunch and began shingling the roof on the right side of the building. Shortly after the plaintiffs returned to work on the roof, the planking suddenly fell out from under them and they fell to the ground. Almost immediately after the plaintiffs fell, Gene Marini, the general superintendent at DeLuca, discovered one of the roof brackets used by the plaintiffs in a distorted condition on the ground near where they fell.9
Quality Steel’s instruction label on the roof brackets suggests that the user attach the brackets to the roof using sixteenpenny nails.10 The defendants introduced evidence that some of the brackets were installed by another DeLuca employee, Nate Manizza, using eight-penny nails. The plaintiffs both testified that when they installed roof brackets they used larger, twelvepenny nails. Neither the plaintiffs nor Manizza could remember if they had installed the specific brackets that had [432]*432collapsed causing the plaintiffs to fall. Cohade testified, however, that he saw Manizza installing the brackets in the general area where the plaintiffs fell. There was also testimony from both the plaintiffs’ and the defendants’ experts that the use of a twelvepenny nail would be sufficient to hold the bracket to the roof and would not be causative of the collapse of the planking that occurred in this case.
The defendants also introduced evidence, through expert testimony, that DeLuca had violated the federal Occupational Safety and Health Administration (OSHA) regulations by failing to provide additional fall protection for the plaintiffs while they were working on the New Canaan Nature Center roof. The plaintiffs offered, and the jury reasonably could have found, however, that OSHA, in its investigation of the plaintiffs’ accident, did not find any violations of roofing standards at the project site and that the roof brackets were an acceptable method of providing fall protection.
The jury also reasonably could have found that the roof bracket designed and manufactured by Quality Steel and used by the plaintiffs before the platform collapsed was undersized in comparison to the manufacturing specifications. Specifically, both the plaintiffs’ and the defendants’ experts testified that the platform arm of the roof bracket was thinner than required by Quality Steel’s own specifications.11 Additionally, the [433]*433jury, through their special interrogatories, found that Quality Steel’s product was defective and unreasonably dangerous at the time it was manufactured and sold by the defendants, and that the defective condition of the product was a proximate cause of the plaintiffs’ accident. See footnote 8 of this opinion.
I
The plaintiffs claim that the trial court improperly instructed the jury on the doctrine of superseding cause because: (1) the plaintiffs’ injuries were not outside the scope of the risk created by the defendants’ misconduct in manufacturing and selling a defective product; and (2) any negligence on the part of DeLuca was not the sole proximate cause of the plaintiffs’ injuries. The defendants claim, in response, that the combined negligence of the plaintiffs, DeLuca and Manizza, constituted sufficient evidence of a superseding cause, thereby exonerating the defendants from the plaintiffs’ product liability claim. We need not consider the propriety of the trial court’s instructions on the doctrine of superseding cause because we conclude that the doctrine should be abandoned in a case such as the present one.
We begin our analysis with an examination of the relationship among proximate cause, concurrent cause and superseding cause. “Proximate cause results from a sequence of events unbroken by a superseding cause, so that its causal viability continued until the moment of injury or at least until the advent of the immediate injurious force.” Coburn v. Lenox Homes, Inc., 186 Conn. 370,383,441 A.2d 620 (1982). “[T]he test of proximate cause is whether the defendant’s conduct is a substantial factor in bringing about the plaintiffs injuries.” (Internal quotation marks omitted.) Paige v. St. Andrew’s Roman Catholic Church Corp., 250 Conn. 14, 25, 734 A.2d 85 (1999). A concurrent cause is one that is “contemporaneous and coexistent with the defendant’s [434]*434wrongful conduct and actively cooperates with the defendant’s conduct to bring about the injury.” Wagner v. Clark Equipment Co., 243 Conn. 168, 183, 700 A.2d 38 (1997). Finally, “[a] superseding cause is an act of a third person or other force which by its intervention prevents the actor from being liable for harm to another which his antecedent negligence is a substantial factor in bringing about.”12 (Internal quotation marks omitted.) Id., 179.
“The function of the doctrine of superseding cause is not to serve as an independent basis of liability, regardless of the conduct of a third party whose negligent conduct may have contributed to the plaintiffs loss. The function of the doctrine is to define the circumstances under which responsibility may be shifted entirely from the shoulders of one person, who is determined to be negligent, to the shoulders of another person, who may also be determined to be negligent, or to some other force.” (Emphasis added; internal quotation marks omitted.) Id. “Thus, the doctrine of superseding cause serves as a device by which one admittedly negligent party can, by identifying another’s superseding conduct, exonerate himself from liability by shifting the causation element entirely elsewhere.” (Internal quotation marks omitted.) Id. If a third person’s negligence is found to be the superseding cause of the plaintiffs injuries, that negligence, rather than the negligence of [435]*435the party attempting to invoke the doctrine of superseding cause, is said to be the sole proximate cause of the injury. Miranti v. Brookside Shopping Center, Inc., 159 Conn. 24, 29, 266 A.2d 370 (1969); Virelli v. Benhattie, Inc., 146 Conn. 203, 209, 148 A.2d 760 (1959).
The circumstances under which a defendant’s liability for negligence shifts entirely to the superseding conduct of a third person has been well defined in our case law. “Even if a plaintiffs injuries are in fact caused by a defendant’s negligence, a superseding cause may break that causal connection if it so entirely supersedes the operation of the defendant’s negligence that it alone, without his negligence contributing thereto in any degree, produces the injury; or it must be the non-concurring culpable act of a human being who is legally responsible for such act. ... If a defendant’s negligence was a substantial factor in producing the plaintiffs injuries, the defendant would not be relieved from liability for those injuries even though another force concurred to produce them.” (Citation omitted; internal quotation marks omitted.) Wagner v. Clark Equipment Co., supra, 243 Conn. 180.
In the present case, the jury’s interrogatories reveal two possible sources of a superseding cause.13 The first possible superseding cause of the plaintiffs’ injuries was DeLuca’s failure to provide additional fall protection for the plaintiffs. The second possible superseding cause was Manizza’s use of eightpenny nails to attach the roof brackets to the roof.14
[436]*436We take this opportunity to clarify our approach to the doctrine of superseding cause and its continuing validity in our tort jurisprudence. As will be discussed in further detail later in this opinion, we conclude that the doctrine of superseding cause no longer serves a useful purpose in our jurisprudence when a defendant claims that a subsequent negligent act by a third party cuts off its own liability for the plaintiffs injuries. We conclude that under those circumstances, superseding cause instructions serve to complicate what is fundamentally a proximate cause analysis. Specifically, we conclude that, because our statutes allow for apportionment among negligent defendants; see General Statutes § 52-572h;15 and because Connecticut is a comparative [437]*437negligence jurisdiction; General Statutes § 52-572o; the [438]*438simpler and less confusing approach to cases, such as [439]*439the present one, where the jury must determine which, among many, causes contributed to the plaintiffs’ injury, is to couch the analysis in proximate cause rather than allowing the defendants to raise a defense of superseding cause.16
We first note that, although nearly every treatise involving the law of torts acknowledges the existence of the doctrine of superseding cause, it is defined differently by various scholars. For example, one treatise notes that the problem of superseding cause is not primarily one of causation but, rather, “one of policy as to imposing legal responsibility.” W. Prosser & W. Keeton, Torts (5th Ed. 1984) § 44, p. 301. Additionally, other treatises support the view that the doctrine of superseding cause is merely a more complicated analysis of whether the defendant’s actions were the proximate cause of the plaintiffs injuries. For example, one treatise states: “[Superseding] cause is merely proximate cause flowing from a source not connected with the party sought to be charged. While the term may have some descriptive value, unduly elaborate discussion of [superseding] cause as such tends to becloud rather [440]*440than clarify the relatively simple idea of causal connection. When it is determined that a defendant is relieved of liability by reason of [superseding] cause, it would appear to mean simply that the negligent conduct of someone else—and not that of the defendant—is the proximate cause of the event.” (Emphasis added.) 1 T. Shearman & A. Redfield, Negligence (Rev. Ed. 1941) § 37, pp. 99-100.
Under this latter approach, the fact finder need only determine whether the allegedly negligent conduct of any actor was a proximate cause, specifically, whether the conduct was a substantial factor in contributing to the plaintiffs injuries. If such conduct is found to be a proximate cause of the plaintiffs foreseeable injury, each actor will pay his or her proportionate share pursuant to our apportionment statute, regardless of whether another’s conduct also contributed to the plaintiffs injury. Put differently, the term superseding cause merely describes more fully the concept of proximate cause when there is more than one alleged act of negligence, and is not functionally distinct from the determination of whether an act is a proximate cause of the injury suffered by the plaintiff. We find this latter approach, that the doctrine of superseding cause is, in essence, a determination regarding proximate cause or causes, persuasive and hereby adopt it in our case law.
Thus, the doctrine of superseding cause no longer serves a useful purpose in our negligence jurisprudence. Historically, the doctrine reflects the courts’ attempt to limit the defendants’ liability to foreseeable and reasonable bounds. See W. Prosser & W. Keeton, supra, § 44, p. 302. In this regard, the doctrine of superseding cause involves a question of policy and foreseeability regarding the actions for which a court will hold a defendant accountable. This aspect of superseding cause is already incorporated in our law regarding proximate [441]*441causation.17 As some commentators have noted, however, the doctrine was also shaped in response to the harshness of contributory negligence and joint and several liability. See T. Christlieb, “Why Superseding Cause Analysis Should Be Abandoned,” 72 Tex. L. Rev. 161, 165-66 (1993). Under this reasoning, in order to avoid what some courts determined was an undue burden on the plaintiff under contributory negligence regimes, courts developed certain ameliorative doctrines, which identified some aspect of the defendant’s negligent act that served as a basis for shifting the plaintiffs negligence to the defendant so that the plaintiff could recover for his losses. Id., 165. Thus, the courts sometimes labeled a defendant’s negligence as an intervening act that cut off any contributory negligence of the plaintiff, which, had it not been superseded by the defendant’s negligence, would have constituted a total bar to recovery. Id.
We conclude that this aspect of the doctrine of superseding cause has no place in our modem system of comparative fault and apportionment. We agree with the author of the previously cited note that it is inconsistent to conclude simultaneously that all negligent par[442]*442ties should pay in proportion to their fault, as § 52-572h requires, but that one negligent party does not have to pay its share because its negligence was somehow “superseded” by a subsequent negligent act. See id., 181. We also find persuasive the author’s criticism of the Restatement (Second) method; see 2 Restatement (Second), Torts §§ 442 through 453, pp. 467-91 (1965); which looks to the nature of the subsequent negligent act to determine whether it somehow supersedes the previous act. T. Christlieb, supra, 72 Tex. L. Rev. 184. This approach gives undue prominence to the temporal order of the allegedly negligent acts. As the author aptly notes, causal contributions do not operate in neat temporal sequences; rather, most events, such as the events giving rise to the plaintiffs injury in the present case, result from a convergence of many conditions. Id., 185. The Restatement (Second) approach, then, has the potential of misleading the fact finder regarding the determination of whether each allegedly tortious act is a proximate cause of the plaintiffs injury by placing too much emphasis on the timing of the acts.
Moreover, it is no longer necessary to utilize doctrines that aid fact finders in making policy decisions regarding how to assign liability among various defendants and the plaintiff because those decisions already are inherent in our modem scheme of comparative negligence and apportionment. Thus, under the approach we adopt herein, the question to be answered by the fact finder is whether the various actors’ allegedly negligent conduct was a cause in fact and a proximate cause of the plaintiffs injury in light of all the relevant circumstances. If found to be both, each actor will be liable for his or her proportionate share of the plaintiffs damages.18
[443]*443At least two other states also have addressed the issue of whether the doctrine of superseding cause continues to play a useful role in their negligence jurisprudence after the advent of comparative fault and apportionment regimes. Because these cases illustrate aspects of the approach we adopt here today, we discuss them in detail.
In Torres v. El Paso Electric Co., 127 N.M. 729, 732, 987 P.2d 386 (1999), the plaintiff was injured when he came into contact with a power line while replacing the roof of his employer’s building. In the negligence action brought by the plaintiff against the electric company, the defendant claimed that the actions of the plaintiff, the plaintiffs employer and various other electrical contractors, constituted a superseding cause of the plaintiffs injuries that relieved the defendant of any liability. Id., 734. The jury ultimately determined that, although the defendant was negligent, its negligence was not the proximate cause of the plaintiffs injuries. Id., 733.
The New Mexico Supreme Court, in Torres, began its analysis of the plaintiffs appeal by explaining that New Mexico previously had adopted a pure comparative negligence system and, as a natural corollary, subsequently had abolished joint and several liability. Id., 734—35. The court went on to explain that, prior to the adoption of comparative negligence, courts had used [444]*444the doctrine of superseding cause to avoid the contributory negligence bar that some deemed to be unfair. Id., 735-36. The court determined that this application of the doctrine of superseding cause was inconsistent with New Mexico’s comparative fault laws. Id., 736. Moreover, when analyzing the doctrine, the court appropriately stated: “A finding of an independent [superseding] cause represents a finding against the plaintiff on proximate cause or, in other words, a finding that the defendant’s act or omission did not, in a natural and continuous sequence, produce the injury.” Id. Thus, the court determined that, the doctrine was no longer appropriate in cases where the defendant alleged that the plaintiffs negligence superseded its own liability, because the use of the doctrine created an unacceptable risk that the jury would inadvertently apply the common-law rule of contributory negligence. Id.
Additionally, with respect to cases in which the superseding cause doctrine is used by defendants to attempt to shift their fault to other intervening tortfeasors, the New Mexico Supreme Court concluded that a jury instruction based on superseding cause would “unduly emphasize the conduct of one tortfeasor over another and would potentially conflict with the jury’s duty to apportion fault.” Id., 737. The court explained that there were cases in which the unforeseeable negligence of a third party could break the chain of causation. Id. In such a case, however, the defendant’s act or omission simply would not be a proximate cause of the plaintiffs injury. Id. Because, as the New Mexico Supreme Court determined, the issue of superseding cause adds a complex layer of analysis to the jury’s determination of proximate cause, the appropriate analysis is merely that of proximate cause. Id., 738. Finally, the court concluded that, “consistent with our prior cases discussing the effect of comparative negligence on traditional negligence principles, we believe that the instruction on [445]*445[superseding] cause is sufficiently repetitive of the instruction on proximate cause and the task of apportioning fault that any potential for jury confusion and misdirection outweighs its usefulness.” Id. Ultimately, based on the foregoing analysis, the court determined that the doctrine of superseding cause could not apply to the defendant’s acts, therefore resulting in a new trial. Id., 739.
In Control Techniques, Inc. v. Johnson, 762 N.E.2d 104 (Ind. 2002), the Indiana Supreme Court analyzed the relationship between that state’s comparative fault act and the doctrine of superseding cause. In Control Techniques, Inc., the plaintiff sustained serious injuries while measuring the voltage of a circuit breaker. Id., 106. The jury allocated 5 percent of the fault to the defendant. Id. On appeal, the defendant contended that the negligence of another company that had installed the circuit breaker constituted a superseding cause of the accident and foreclosed any liability on its part for defective design and manufacture. Id., 107.
After an analysis of that state’s common-law doctrine of superseding cause, the court in Control Techniques, Inc., concluded that the doctrines of causation and foreseeability impose the same limitations on liability as the superseding cause doctrine. Id., 108. As the court aptly noted: “Causation limits a negligent actor’s liability to foreseeable consequences. A superseding cause is, by definition, one that is not reasonably foreseeable. As a result, the doctrine in today’s world adds nothing to the requirement of foreseeability that is not already inherent in the requirement of causation.” Id. Ultimately, the Indiana Supreme Court concluded that it was proper for the trial court to instruct only on proximate causation because the substance of the doctrine of superseding cause was fully explained in the instruction on proximate cause. Id., 110.
[446]*446We find these two cases persuasive and conclude that the rationale supporting the abandonment of the doctrine of superseding cause outweighs any of the doctrine’s remaining usefulness in our modem system of torts. Specifically, as the New Mexico Supreme Court determined, we believe that the instruction on superseding cause complicates what is essentially a proximate cause analysis and risks jury confusion. The doctrine also no longer serves a useful purpose in our tort jurisprudence, especially considering our system of comparative negligence and apportionment, where defendants are responsible solely for their proportionate share of the injury suffered by the plaintiff. Thus, it is no longer appropriate to give an instruction of the doctrine of superseding cause in cases involving multiple acts of negligence. Instead, under the approach we adopt herein, if the defendant was both the cause in fact and a proximate cause of the plaintiffs injury, the defendant will be hable for his or her proportionate share of the damages, notwithstanding other acts of negligence that also may have contributed to the plaintiffs injury.
This analysis leads to the conclusion that the doctrine of superseding cause should not have been presented to the jury in the present case. Upon retrial, therefore, the fact finder must determine if the defendants’ manufacture and sale of a defective product was a cause in fact and a proximate cause of the plaintiffs’ injuries, without reference to the doctrine of superseding cause. See also footnote 4 of this opinion.
II
The defendants next claim19 that the trial court improperly excluded the expert testimony concerning evidence of a “drop hammer” load test performed by [447]*447George Kyanka, an accident reconstruction expert.20 “It is well established that [t]he trial court has broad discretion in ruling on the admissibility of evidence. . . . The trial court’s ruling on evidentiary matters will be overturned only upon a showing of a clear abuse of the court’s discretion.” (Internal quotation marks omitted.) Claveloux v. Downtown Racquet Club Associates, 246 Conn. 626, 628, 717 A.2d 1205 (1998). We conclude that the trial court did not abuse its broad discretion in excluding testimony regarding the “drop hammer” test performed by Kyanka.
As this court stated in Rullo v. General Motors Corp., 208 Conn. 74, 80, 543 A.2d 279 (1988), “[t]he admission of evidence of experiments, demonstrations, or tests . . . rests in the sound discretion of the trial court . . . [448]*448and this discretion will not be interfered with on appeal unless it is apparent that it has been abused. . . . [T]he question of the similarity of conditions prevailing at the time of the experiment or test to those which prevailed at the time of the occurrence in question is one that lies within the sound discretion of the trial court, to be decided in the light of all the surrounding facts and circumstances . . . .” (Internal quotation marks omitted.) The conditions under which testing takes place does not need to be identical, but they should be “essentially similar” to the conditions at the time of the accident. Id., 81.
The defendants claim that the “drop hammer” test established that the damage done to the roof bracket found on the ground near where the plaintiffs fell was caused as a result of the collapse, rather than, as the plaintiffs claimed, that it was the original cause of the collapse. The plaintiffs, in their motion in limine to exclude the evidence, asserted that the conditions under which the testing was performed were not sufficiently similar to the conditions to which the bracket was subjected on the day of the plaintiffs’ accident. The trial court agreed and excluded the evidence. Specifically, the court determined that the ground on which the bracket was found was not sufficiently similar to the flat steel surface on which Kyanka performed the test. Although the conditions of the test do not have to be identical to the conditions under which this accident occurred, we see nothing in the record that rises to the level of abuse of discretion. The trial court’s exclusion of Kyanka’s “drop hammer” test was, therefore, not improper.
The defendants next claim that the trial court improperly denied their motion to bifurcate the liability and damages portions of the trial. Pursuant to General Stat[449]*449utes § 52-20521 and Practice Book § 15-1,22 the trial court may order that one or more issues that are joined be tried before the others. “The interests served by bifurcated trials are convenience, negation of prejudice and judicial efficiency. . . . Bifurcation may be appropriate in cases in which litigation of one issue may obviate the need to litigate another issue.” (Citation omitted.) Reichhold Chemicals, Inc. v. Hartford Accident & Indemnity Co., 243 Conn. 401, 423, 703 A.2d 1132 (1997). The bifurcation of trial proceedings lies solely within the discretion of the trial court. Id. Nothing in the record here persuades us that the trial court abused its broad discretion.
Ill
Finally, the defendants claim that the trial court improperly granted DeLuca’s motion for summary judgment. DeLuca, in its intervening complaint, asserted a claim against the defendants seeking to recover the amounts that it had paid to the plaintiffs in workers’ compensation benefits. The defendants, byway of counterclaim, alleged that DeLuca owed them a duty of indemnification for all costs arising out of the plaintiffs’ claims. The trial court rendered summary judgment for DeLuca on the defendants’ counterclaim.
The defendants contend that an independent legal relationship existed between the defendants and DeLuca by virtue of an implicit agreement that the use of the roof brackets purchased by DeLuca would be in compliance with OSHA regulations. Additionally, the defendants assert, DeLuca breached that independent [450]*450legal duty by, inter alia, failing to provide additional fall protection for the plaintiffs while working on the New Canaan Nature Center roof. DeLuca moved for summary judgment, claiming that the defendants’ claim for indemnification was barred by the exclusive remedy provisions of the Workers’ Compensation Act, General Statutes § 31-284. The court granted DeLuca’s motion, stating that “[t]he defendant[s] . . . fail, however, to cite any authority recognizing a duty arising under OSHA that may be imposed on a plaintiffs employer for the benefit of manufacturers or distributors sued for personal iryury allegedly sustained from on-the-job use of an alleged defective product.” We agree with the trial court and affirm the judgment granting DeLuca’s motion for summary judgment.
The standard of review of a trial court’s decision to grant a motion for summary judgment is well established. 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.” Practice Book § 17-49. “In deciding a motion for summary judgment, the trial court must view the evidence in the light most favorable to the nonmoving party.” (Internal quotation marks omitted.) Home Ins. Co. v. Aetna Life & Casualty Co., 235 Conn. 185, 202, 663 A.2d 1001 (1995). “Our review of the trial court’s decision to grant [a] motion for summary judgment is plenary.” LaFlamme v. Dallessio, 261 Conn. 247, 250, 802 A.2d 63 (2002).
Section 31-284 provides that an employer that complies with the requirements of the workers’ compensation laws shall not be liable for any action for damages on account of personal injuries sustained by an employee arising out of and in the course of employment.[451]*45123 “Under the Workers’ Compensation Act, both the employer and the employee have relinquished certain rights to obtain other advantages. The employee no longer has to prove negligence on the part of the employer, but, in return, he has to accept a limited, although certain, recovery. . . . The employer, in turn, guarantees compensation to an injured employee in return for the exclusivity of the workers’ compensation liability to its employees.” (Citation omitted.) Bouley v. Norwich, 222 Conn. 744, 752, 610 A.2d 1245 (1992).
Because of the importance of the exclusivity provisions of the Workers’ Compensation Act, this court has limited a third party’s right to seek indemnification from an employer to those situations where there is an independent legal relationship between the third party and the employer, thereby generating a legal duty from the employer to the third party seeking indemnification. Ferryman v. Groton, 212 Conn. 138, 144-45, 561 A.2d 432 (1989). In Ferryman, we stated that a third party’s right to seek indemnity from an employer is “clear when the obligation springs from a separate contractual relation, such as an employer-tenant’s express agreement to hold the third-party landlord harmless, or a bailee’s [452]*452obligation to indemnify a bailor, or a contractor’s obligation to perform his work with due care; but when the indemnity claim rests upon the theory that a primary wrongdoer impliedly promises to indemnify a secondary wrongdoer, the great majority of jurisdictions disallow this claim.” (Internal quotation marks omitted.) Id., 145.
This court addressed similar allegations in Therrien v.Safeguard Mfg. Co., 180 Conn. 91,429 A.2d 808(1980). In Therrien, an employee brought an action against a product manufacturer that allegedly had manufactured a defective machine guard. Id., 93. The manufacturer subsequently filed a third party complaint against the plaintiffs employer claiming that the employer owed the manufacturer a duty to maintain and inspect the guard properly. Id., 94. This court affirmed the trial court’s grant of the employer’s motion to strike, concluding that “[t]he law does not independently impose a quasi-contractual duty upon a buyer to indemnify a manufacturer for injuries sustained by the buyer’s employees in the use of a defective product.” Id., 95.
On the basis of the principles we articulated in Therrien, we conclude that an implied agreement to abide by OSHA regulations does not create any independent legal duty owed by DeLuca to the defendants. Furthermore, even if such a duty were to have existed, it would not give rise to a duty of indemnification that would circumvent the exclusivity provisions of the Workers’ Compensation Act. We, therefore, affirm the trial court’s grant of summary judgment rendered in favor of DeLuca.
The judgment for the defendants is reversed and the case is remanded for a new trial; the judgment is affirmed with respect to the granting of DeLuca’s motion for summary judgment.
In this opinion the other justices concurred.