Opinion
GRUENDEL, J.
Rule 3.1 of the Rules of Professional Conduct requires in relevant part that attorneys in our state “shall not bring or defend a proceeding, or assert or controvert an issue therein, unless there is a basis in law and fact for doing so that is not frivolous, which includes a good faith argument for an extension, modification or reversal of existing law. . . ,”1 The defendant, the statewide grievance committee, reprimanded the plaintiff attorney, Max F. Brunswick, for violating that rule in the course of his representation of a client in an arbitration proceeding. Pursuant to Practice Book § 2-38, the plaintiff filed a petition for judicial review with the Superior Court, which dismissed the appeal. The plaintiff now challenges the propriety of that determination. We affirm the judgment of the Superior Court.
The record discloses the following facts. The plaintiff is an attorney licensed to practice law in Connecticut who represented a client in an arbitration proceeding. On January 11, 2002, an award adverse to the plaintiffs client entered.2 On January 15, 2002, the plaintiff filed [603]*603a motion to vacate the arbitration award that alleged, inter alia, that the arbitration award was procured by corruption, fraud, undue means or evident partiality on the part of the arbitrators.3 The court, Hon. Anthony V. DeMayo, judge trial referee, held a hearing on the motion to vacate on February 4 and 6, 2002, at the conclusion of which it denied the motion and issued sanctions against the plaintiff and his client for making allegations without reasonable cause.4 The court thereafter referred the matter to the defendant to investigate [604]*604a possible violation of the Rules of Professional Conduct.5
On December 2, 2003, the New Haven judicial district grievance panel filed a decision in which it found probable cause to believe that the plaintiff had violated rules 8.4 (3), 3.3 (a) and 3.1 of the Rules of Professional Conduct. A three person reviewing committee subsequently conducted a hearing on the matter. In its decision, the committee found the following facts by clear and convincing evidence: “The [plaintiff] offered no evidence on the allegation relating to fraud, corruption or undue influence. The [plaintiffs] only evidence of partiality on the part of the arbitrator(s) was a fee bill from the attorney for [John L. Orsini, whose demand against the plaintiffs client was being arbitrated], which reflected a conference with the arbitrator selected by [Orsini] prior to the commencement of evidence in the arbitration. Much of the hearing before Judge DeMayo concerned another issue raised by the [plaintiff] regarding the denial of a continuance request during the arbitration. The [plaintiff] never withdrew or modified any of the allegations in the motion to vacate. In response to direct inquiries from Judge DeMayo as to the evidential basis for the allegations of fraud, corruption or undue influence, the [plaintiff] only stated that he had not yet gotten to that part of the matter. At the conclusion of the hearing on the motion to vacate, Judge DeMayo denied the motion and issued sanctions against the [plaintiff] and his client for making allegations without reasonable cause in violation of Practice Book § 10-5.”
The reviewing committee found by clear and convincing evidence that the plaintiff violated rule 3.1 in two [605]*605ways. It stated: “The allegation of fraud, corruption or undue influence in procuring the arbitration award was clearly frivolous, as the [plaintiff] had no evidence to support the allegation. With nothing more to go on than his client’s statement . . . and with no evidence to offer in court, the [plaintiff] should have withdrawn the allegation. Certainly, by the time of the hearing on the motion to vacate, the [plaintiff] knew that he had no evidence to offer, and no way to prove, the charges he had made of serious misconduct by the arbitrators since he did not have an affidavit to support the allegation. Instead of conceding this upon direct inquiry from the court, the [plaintiff] continued to maintain the allegation despite the absence of any evidence to support it.” The reviewing committee further found that “the allegation of evident partiality or corruption on the part of the arbitrator(s) also violated rule 3.1 ... . The record reflects that the only evidence presented by the [plaintiff] regarding this allegation was the fee bill from [Orsini’s] attorney charging for a conference with the arbitrator [Orsini] selected. We find that this evidence, in and of itself, does not support a good faith claim of partiality on the part of the arbitrator, since there was no evidence regarding the substance of this conference.”
Upon the plaintiffs request for review, the defendant affirmed the decision of the reviewing committee. The defendant concurred with the reviewing committee’s findings that the plaintiffs allegation relating to fraud, corruption or undue influence and his allegation of evident partiality or corruption on the part of the arbitrators constituted violations of rule 3.1. With regard to the first allegation, the defendant stated: “The evidence in the record establishes that the only evidence the [plaintiff] had . . . was his client’s statement. Although the [plaintiff] initially may have had a good faith basis to make the allegation in the motion [to vacate the [606]*606arbitration award], he certainly did not have a good faith basis to maintain the allegation before the court once his client refused to supply an affidavit in support of the statement.” The defendant therefore concluded that the plaintiffs violations of rule 3.1 warranted a reprimand.
Pursuant to Practice Book § 2-38, the plaintiff filed a petition for judicial review with the Superior Court. In its March 22, 2006 memorandum of decision, the court found substantial evidence to support the findings of the review committee and the conclusion that the plaintiff violated rule 3.1. It therefore dismissed the plaintiffs appeal. From that judgment, the plaintiff now appeals to this court.
I
STANDARD OF REVIEW
Before considering the plaintiffs particular claims, we address the standard of review applicable to such grievance appeals. The plaintiff argues that the proper standard by which to evaluate the defendant’s finding that he violated rule 3.1 is the clearly erroneous standard. Conversely, the defendant maintains that the applicable standard is the substantial evidence test.6 A review of the case law reveals a degree of confusion as to the appropriate standard, therefore warranting closer examination.7
[607]*607Attorney disciplinary proceedings are “for the purpose of preserving the courts from the official ministration of persons unfit to practise in them.” Ex parte Wall, 107 U.S. 265, 288, 2 S. Ct. 569, 27 L. Ed. 552 (1883). As our Supreme Court explained nearly one century ago, “[a]n attorney at law admitted to practice ... as an officer of the court in the administration of justice, is continually accountable to it for the manner in which he exercises the privilege which has been accorded him. His admission is upon the implied condition that his continued enjoyment of the right conferred is dependent upon his remaining a fit and safe person to exercise it, so that when he, by misconduct in any capacity, discloses that he has become or is an unfit or unsafe person to be entrusted with the responsibilities and obligations of an attorney, his right to continue in the enjoyment of his professional privilege may and ought to be declared forfeited. As important as it is that an attorney be competent to deal with the oftentimes intricate matters which may be entrusted to him, it is infinitely more so that he be upright and trustworthy.” In re Peck, 88 Conn. 447, 450, 91 A. 274 (1914).
In Connecticut, our judges possess the “inherent authority to regulate attorney conduct and to discipline the members of the bar.” Heslin v. Connecticut Law Clinic of Trantolo & Trantolo, 190 Conn. 510, 523, 461 A.2d 938 (1983). They “can and ought to be [held responsible] for the fitness of those who enjoy the privileges of the legal profession under their authority and sanction.” In re Peck, supra, 88 Conn. 451. Accordingly, in [608]*608exercising that responsibility, our judges “have empowered the [defendant] to file presentments in Superior Court seeking judicial sanctions against those claimed to be guilty of misconduct. ... In carrying out these responsibilities, [the defendant acts] as an arm of the court.” (Citation omitted; internal quotation marks omitted.) Sobocinski v. Statewide Grievance Committee, 215 Conn. 517, 526, 576 A.2d 532 (1990). Likewise, it is the Superior Court’s inherent supervisory authority over attorney conduct that vests in it jurisdiction to review an order of the defendant. Pinsky v. Statewide Grievance Committee, 216 Conn. 228, 232, 578 A.2d 1075 (1990).
Attorney grievance proceedings are governed by the General Statutes and the rules of practice. See General Statutes § 51-90 et seq.; Practice Book § 2-29 et seq. Those provisions provide methods of procedure that complement, but do not confine, a court’s inherent power to discipline its officers. Pinsky v. Statewide Grievance Committee, supra, 216 Conn. 233; In re Peck, supra, 88 Conn. 457.
Adopted by the judges of this state, our rules of practice expressly consider the standard of review appropriate to an appeal from the decision of the defendant. They nevertheless provide little clarity to the clouded question before us. Practice Book § 2-38 (f) provides: “Upon appeal, the court shall not substitute its judgment for that of the [defendant] or reviewing committee as to the weight of the evidence on questions of fact. The court shall affirm the decision of the [defendant] unless the court finds that substantial rights of the respondent have been prejudiced because the [defendant’s] findings, inferences, conclusions, or decisions are: (1) in violation of constitutional, rules of practice or statutory provisions; (2) in excess of the authority of the [defendant]; (3) made upon unlawful procedure; (4) affected by other error of law; (5) clearly erroneous [609]*609in view of the reliable, probative, and substantial evidence on the whole record; or (6) arbitrary or capricious or characterized by abuse of discretion or clearly unwarranted exercise of discretion. If the court finds such prejudice, it shall sustain the appeal and, if appropriate, rescind the action of the [defendant] or take such other action as may be necessary. For purposes of further appeal, the action taken by the superior court hereunder is a final judgment.” That rule contains multiple, seemingly interchangeable, standards of review. Under Practice Book § 2-38 (f), a court reviewing an order of the defendant finding a violation of rule 3.1, for instance, could evaluate that finding under the clearly erroneous standard or the abuse of discretion standard.8
Notably, the standard articulated in Practice Book § 2-38 (f) “tracks the language of the corresponding provision of the Uniform Administrative Procedure Act [UAPA], General Statutes § 4-183 (j) . . . .” Shelton v. Statewide Grievance Committee, 277 Conn. 99, 108 n.7, 890 A.2d 104 (2006). Indeed, “judicial review of [the defendant’s] decision to reprimand an attorney, like judicial review of an agency determination under UAPA, is limited, both with respect to the [defendant’s] factual findings and its determination regarding the suitability of a reprimand as the sanction to be imposed. . . . Such deferential judicial review reflects the view of the rulemaking authorities that the [defendant] and its subcommittees are to play an integral role in the attorney grievance process.” (Citations omitted.) Johnson v. Statewide Grievance Committee, 248 Conn. 87, 100-101, 726 A.2d 1154 (1999). At the same time, the defendant patently is not an administrative agency as defined [610]*610in General Statutes § 4-166 (1) of our UAPA. Sobocinski v. Statewide Grievance Committee, supra, 215 Conn. 526. Our Supreme Court has held that the defendant “is not a body in which the legislature has reposed general powers of administration of a particular state program with which it has been given statutory authority to act for the state in the implementation of that program.” Id. Rather, the defendant remains “an arm of the court . . . .” (Internal quotation marks omitted.) Id.
In light of the foregoing, two principles emerge. First, appellate review of an attorney disciplinary proceeding is deferential. See Johnson v. Statewide Grievance Committee, supra, 248 Conn. 101; Weiss v. Statewide Grievance Committee, 227 Conn. 802, 811, 633 A.2d 282 (1993) (“[although the [defendant] is not an administrative agency . . . the court’s review of its conclusions is similar to the review afforded to an administrative agency decision” [citation omitted]). Likewise, the standards enumerated in Practice Book § 2-38 (f) all are characterized by a degree of deference. The second principle stems from the defendant’s unique status as an arm of the court. As a result, the applicable standard of appellate review, while deferential, cannot unduly restrict a reviewing court’s inherent power “to inquire into the conduct of their own officers, and to discipline them for misconduct.” In re Peck, supra, 88 Conn. 457.
The parties to the present appeal disagree as to the applicable deferential standard of review by which to evaluate the finding that the plaintiff violated rule 3.1. The plaintiff claims it is the clearly erroneous standard, while the defendant insists the applicable standard is the substantial evidence test. In separate appeals decided last year, our Supreme Court applied both standards.9
[611]*611In Shelton v. Statewide Grievance Committee, supra, 277 Conn. 109, the court framed the applicable standard of review as follows: “[0]ur review of the [defendant’s] decision is confined to determining whether it was supported by substantial evidence.” The substantial evidence standard applied in Shelton has been described as a test that “is highly deferential and permits less judicial scrutiny than a clearly erroneous or weight of the evidence standard of review.” (Internal quotation marks omitted.) New England Cable Television Assn., Inc. v. Dept. of Public Utility Control, 247 Conn. 95, 118, 717 A.2d 1276 (1998). Plainly, then, substantial evidence and clearly erroneous are not synonymous standards.10 See Dickinson v. Zurko, 527 U.S. 150, 153, 119 S. Ct. 1816, 144 L. Ed. 2d 143 (1999) (clearly erroneous standard stricter than substantial evidence standard); Case v. Morrisette, 475 F.2d 1300, 1307 n.35 (D.C. Cir. 1973) (substantial evidence and clearly erroneous not synonymous); W.R.B. Corp. v. Geer, 313 F.2d 750, 753 (5th Cir. 1963) (same), cert. denied, 379 U.S. 841, 85 S. Ct. 78, 13 L. Ed. 2d 47 (1964). One week after Shelton was decided, the court published Notopoulos v. Statewide Grievance Committee, 277 Conn. 218, 890 A.2d 509, cert. denied, 549 U.S. 823, 127 S. Ct. 157, 166 L. Ed. 2d 39 (2006). Like Shelton, Notopoulos arose from the defendant’s finding of a violation of the Rules of Professional Conduct. In Notopoulos, however, the standard of review applied was whether “the [defendant’s] finding [was] clearly erroneous.” Id., 226.
The distinction between the clearly erroneous and substantial evidence standards is not an academic one. [612]*612The clearly erroneous standard of review provides that “[a] court’s determination is clearly erroneous only in cases in which the record contains no evidence to support it, or in cases in which there is evidence, but the reviewing court is left with the definite and firm conviction that a mistake has been made.” (Internal quotation marks omitted.) Considine v. Waterbury, 279 Conn. 830, 858, 905 A.2d 70 (2006); see also United States v. United States Gypsum Co., 333 U.S. 364, 395, 68 S. Ct. 525, 92 L. Ed. 746 (1948). The substantial evidence standard is even more deferential. Under the substantial evidence standard, a “reviewing court must take into account [that there is] contradictory evidence in the record . . . but the possibility of drawing two inconsistent conclusions from the evidence does not prevent an administrative agency’s finding from being supported by substantial evidence . . . .” (Internal quotation marks omitted.) Tarullo v. Inland Wetlands & Watercourses Commission, 263 Conn. 572, 584, 821 A.2d 734 (2003). Significantly, substantial evidence is something less than the weight of the evidence.11 Rogers v. Board of Education, 252 Conn. 753, 768, 749 A.2d 1173 (2000). The substantial evidence standard “imposes an important limitation on the power of the courts to overturn a decision of an administrative agency . . . and [provides] a more restrictive standard of review than [the] clearly erroneous [standard of review].” (Internal quotation marks omitted.) Sweetman v. State Elections Enforcement Commission, 249 Conn. 296, 331, 732 A.2d 144 (1999).
[613]*613Under the clearly erroneous standard, a reviewing court retains authority to reverse a determination that finds some support in the record if it has a definite and firm conviction that a mistake has been made. No comparable exception exists under the substantial evidence standard.12 Yet, it is that exception—that rare circumstance where, despite the evidence in the record, a reviewing court nevertheless is left with a definite and firm conviction that a mistake has been made— which preserves and vindicates the court’s inherent authority to discipline its officers. For that reason, the clearly erroneous standard, itself veiy deferential, is the preferable standard of review in attorney grievance appeals.
That conclusion finds further support in the plain language of Practice Book § 2-38 (f), which indicates that, in attorney grievance appeals, substantial evidence review itself is subject to a clearly erroneous consideration. Section 2-38 (f) provides in relevant part that a reviewing court “shall affirm the decision of the [defendant] unless the court finds that substantial rights of the respondent have been prejudiced because the [defendant’s] findings, inferences, conclusions, or decisions are ... (5) clearly erroneous in view of the reliable, probative, and substantial evidence on the whole record . . . .” (Emphasis added.) That provision suggests that the ultimate determination is whether a given [614]*614finding is clearly erroneous, as informed by the substantial evidence in the record. A court reviewing an attorney disciplinary proceeding, therefore, retains its inherent authority over the discipline of its officers in those instances when, despite the evidence in the record, it nevertheless is left with a definite and firm conviction that a mistake has been made.13 With that standard in mind, we turn to the plaintiffs claims.
II
THE DEFENDANT’S FINDING
The plaintiff claims that the defendant’s finding that he violated rule 3.1 in two distinct ways is clearly erroneous. We address each finding in turn.
A
We consider first the defendant’s finding that the plaintiffs allegation of evident partiality or corruption on the part of the arbitrators violated rule 3.1. Rule 3.1 requires in relevant part that attorneys “shall not bring or defend a proceeding, or assert or controvert an issue therein, unless there is a basis in law and fact for doing so that is not frivolous . . . .” In Texaco, Inc. v. Golart, 206 Conn. 454, 538 A.2d 1017 (1988), our Supreme Court adopted the test for frivolousness set forth in the comment to rule 3.1. Accordingly, a claim or defense is frivolous (a) if maintained primarily for the purpose of harassing or maliciously injuring a person, (b) if the lawyer is unable either to make a good faith argument on the merits of the action, or (c) if the lawyer is unable to support the action taken by a good faith argument for an extension, modification or reversal of existing law. Id., 464. In Schoonmaker v. Lawrence Brunoli, Inc., 265 Conn. 210, 255, 828 A.2d 64 (2003), the court [615]*615indicated that the test is an objective one.14 Accord 2 G. Hazard & W. Hodes, The Law of Lawyering (3d Ed. Sup. 2007) § 27.12 (“[r]ule 3.1 adopts an objective as opposed to a subjective standard”); J. MacFarlane, “Frivolous Conduct Under Model Rule of Professional Conduct 3.1,” 21 J. Legal Prof. 231 (1997) (same); 2 Restatement (Third), Law Governing Lawyers § 110, comment (d), p. 172 (2000) (“frivolous position is one that a lawyer of ordinary competence would recognize as so lacking in merit that there is no substantial possibility that the tribunal would accept it”). On appeal, the defendant contends that a reasonable lawyer could not make a good faith allegation of evident partiality or corruption on the part of the arbitrators in the present case.
At the hearing on the motion to vacate the arbitration award, the plaintiff introduced into evidence the affidavit of attorney’s fees from Vincent McManus, Jr., the attorney for Orsini, the plaintiff in the underlying arbitration. That document contained a charge for a one and one-half horn" conference with an arbitrator prior to the commencement of the arbitration proceedings. The plaintiff informed the court that the document related to the third allegation of the motion to vacate regarding partiality on the part of the arbitrators.15 The [616]*616plaintiff subsequently asked the arbitrator in question, attorney J. Michael Sulzbach, whether the one and one-half hour conference ever occurred. Sulzbach testified that it did not. Following that single question, the plaintiff stated, “That’s all I have.” Opposing counsel at that point interjected: “That’s it? That’s the only question he was asked? This is the corruption?” The plaintiff then opined to the court: “The point of my argument is not that the conversation occurred, but that Mr. McManus billed for it to his client, and then submitted the bill with his application for attorney’s fees to impose that charge on us. And if he claims that it occurred, and he billed for it, then it’s our argument that he should be estopped from claiming that it did not occur. The argument is not that it occurred.” (Emphasis added.) The plaintiff later reiterated that sentiment, stating that “I didn’t say [McManus] spoke to [Sulzbach]. I never claimed that. I claimed he billed an hour and one half speaking to him.”
The plaintiff presented no evidence in support of his allegation that “[t]here has been evident partiality or corruption on the part of an arbitrator or arbitrators in violation of [General Statutes] § 52-418 (a) (2)” other than the aforementioned affidavit of attorney’s fees. Although all three arbitrators were compelled to testify at the hearing, the plaintiff asked them no questions concerning his allegation of evident partiality or corruption.16 Following a hearing, the reviewing committee concluded that the plaintiff lacked a good faith basis [617]*617for his allegation. It stated: “The record reflects that the only evidence presented by the [plaintiff] regarding this allegation was the fee bill from [McManus] charging for a conference with the arbitrator [Orsini] selected. We find that this evidence, in and of itself, does not support a good faith claim of partiality on the part of the arbitrator, since there was no evidence regarding the substance of this conference.”
The first question to be decided is whether, armed with the affidavit of attorney’s fees concerning the conference with Sulzbach, the filing of the plaintiffs motion to vacate the arbitration award violated rule 3.1. We conclude that it did not. The commentary to rule 3.1 provides in relevant part that “[t]he filing of an action . . . for a client is not frivolous merely because the facts have not first been fully substantiated or because the lawyer expects to develop vital evidence only by discovery.” Attorneys in Connecticut are not required, at the time a pleading is filed, to substantiate the allegations contained therein with evidentiary support. Practice Book § 10-1 requires only that each pleading “contain a plain and concise statement of the material facts on which the pleader relies, but not of the evidence by which they are to be proved . . . .’’In light of the conference with the arbitrator detailed in the affidavit of attorney’s fees, a reasonable lawyer could maintain a good faith allegation of partiality or corruption on the part of an arbitrator.
That determination does not end our inquiry. The defendant contends that the stricture of rule 3.1 is not limited to pleadings. We agree. Rule 3.1 proscribes not only the commencement of a frivolous proceeding, but also the assertion of frivolous issues therein. By its plain language, it prohibits an attorney from asserting or controverting at any time in the course of a given proceeding a claim on which the attorney is unable to maintain a good faith argument on the merits. See [618]*618Annotated Model Rules of Professional Conduct (4th Ed. 1999) p. 301 (rule 3.1 prohibits “frivolous or baseless conduct in the course of litigation”). It is axiomatic that, when an attorney continues to pursue a legal claim at trial, that attorney is asserting a legal claim. We see no practical reason why the requirement of rule 3.1 should be confined to the pleading stage of the proceedings, particularly when the rule itself contains no such restriction.17 Moreover, our analysis is informed by rule 3.4 of the Rules of Professional Conduct, which provides in relevant part that “[a] lawyer shall not . . . (5) [i]n trial, allude to any matter that . . . will not be supported by admissible evidence . . . .”
We find instructive the decision of the Supreme Court of Missouri in In re Caranchini, 956 S.W.2d 910 (Mo. 1997) (en banc), cert. denied, 524 U.S. 940, 118 S. Ct. 2347, 141 L. Ed. 2d 717 (1998). Sitting en banc, that court held that “[a] claim is not frivolous merely because the facts have not first been fully substantiated. . . . However, continuing to pursue a claim once it becomes apparent that there is no factual basis to support that claim is clearly contrary to the requirements of the rule.” (Citation omitted; internal quotation marks omitted.) Id., 916. The court concluded, stating that “[b]y pursuing [the client’s] slander claim even after it became apparent that there was no factual basis for that claim, [the attorney] violated [Missouri’s version of rule 3.1].” Id.; see also Lawyers Manual on Professional Conduct, § 61-106 (“even if a claim or contention was not frivolous at the outset, the lawyer may not stick to that position once it becomes apparent that there is no factual basis for it”). The Supreme Court of Indiana reached a similar result in Kahn v. Cundiff, 543 N.E.2d 627 (Ind. 1989). It stated: “Commencing an action against a particular party will less often be frivolous, [619]*619unreasonable, or groundless than continuing to litigate the same action. Because of the system of notice pleading and pre-trial discovery, commencement of an action may often be justified on relatively insubstantial grounds. Thorough representation will sometimes require a lawyer to proceed against some parties solely for the purpose of investigation through pre-trial discovery. In such cases, counsel is expected to determine expeditiously the propriety of continuing such action and to dismiss promptly claims found to be frivolous, unreasonable, or groundless.” Id., 629. Accordingly, we conclude that rule 3.1 prohibits an attorney from asserting at any time a claim on which the attorney reasonably is unable to maintain a good faith argument on the merits.
The present case involves such a situation. At the hearing on the plaintiffs motion to vacate, Sulzbach testified that the one and one-half hour conference noted in McManus’ affidavit never occurred. Even more significantly, the plaintiff represented to the court that he was not alleging that the conference occurred. That admission is remarkable. If it was undisputed at the hearing that the alleged one and one-half hour conference between McManus and Sulzbach never transpired, it defies logic to nevertheless maintain that an affidavit referencing that conference evinces partiality or corruption on the part of an arbitrator. Without any other evidence, a reasonable attorney would not have persisted with an allegation of partiality or corruption. Indeed, a critical variable in the frivolousness calculus is the evidentiary support of a given allegation. In Schoonmaker v. Lawrence Brunoli, Inc., supra, 265 Conn. 210, the court concluded that certain claims were frivolous “because they were not supported by a scintilla of evidence . . . .” (Internal quotation marks omitted.) Id., 255; see also Western United Realty, Inc. v. Isaacs, 679 P.2d 1063, 1069 (Colo. 1984) (“a claim or [620]*620defense is groundless if the allegations in the complaint . . . are not supported by any credible evidence at trial”); Kahn v. Cundiff, 533 N.E.2d 164, 171 (Ind. App.) (claim frivolous “if no facts exist which support the legal claim relied on and presented”), aff'd, 543 N.E.2d 627 (Ind. 1989); cf. Tautic v. Pattillo, 41 Conn. Sup. 169, 173, 561 A.2d 988 (1988) (“case maintained solely on the basis of mere speculation is one that is maintained in bad faith, and where such a claim is pursued through time consuming litigation, or never is investigated minimally to determine its merits, a finding of bad faith is all but mandatory” [internal quotation marks omitted]). Likewise, rule 11 of the Federal Rules of Civil Procedure, the federal counterpart to rule 3.1, focuses on the existence of evidence, providing that “the allegations and other factual contentions have evidentiary support” or, if identified, the allegations are “likely to have evidentiary support” after a reasonable opportunity for further investigation or discovery.18 Fed. R. Civ. P. 11 (b) (3).
We are mindful that “[a]dministration and interpretation of prohibitions against frivolous htigation should be tempered by concern to avoid overenforcement.” 2 Restatement (Third), supra, § 110, comment (b), p. 171. For that reason, “[t]ribunals usually sanction only extreme abuse.” Id. Rule 3.1 should be applied cautiously in light of its potential for chilling legitimate but difficult advocacy.19 “Danger exists that courts or [621]*621disciplinaiy authorities might punish as frivolous or dilatory conduct that is the result of simple negligent error that was perceived as deliberate misconduct or deliberate indifference to the circumstances. Punishment should be imposed only if the lawyer persists in the error . . . .” (Emphasis in original.) 2 G. Hazard & W. Hodes, supra, § 27.12. It is not that the plaintiff alleged partiality or corruption consistent with § 52-418 in the motion to vacate,20 but rather that he persisted in that allegation despite having not a scintilla of evidence to support it. For that reason, we agree that the plaintiff lacked a good faith basis to maintain his allegation of evident partiality or corruption on the part of the arbitrators.
B
We next consider the defendant’s finding that the plaintiffs allegation of fraud, corruption or undue influence in procuring the arbitration award violated rule 3.1. The plaintiff presented no evidence in support of that allegation at the hearing on the motion to vacate the arbitration award.
The sole basis for the plaintiffs allegation of fraud, corruption or undue influence was an out-of-court statement of his client. As the reviewing committee stated: “In his testimony before this reviewing committee, the [plaintiff] stated that the charges of fraud, corruption or undue influence stemmed from a comment by his client, who claimed to have been told, by a staff person in the office of her former counsel, that the former [622]*622counsel had received money from [Orsini]. The [plaintiff] stated that he informed his client that he would need an affidavit to support these allegations. The client initially indicated that she would obtain such an affidavit, but never did. The [plaintiff] testified that since he had only thirty days to file the motion to vacate, he decided to include the allegations even without the affidavit. The [plaintiff] subpoenaed the former counsel to the hearing on the motion to vacate, but without an affidavit the [plaintiff] did not go forward on the issue. The [plaintiff] further testified that his client refused to authorize the [plaintiff] to withdraw the allegations.”
As in part II A, there is little doubt that the plaintiff possessed a good faith basis to allege fraud, corruption or undue influence in procuring the arbitration in the motion to vacate the arbitration award.21 In its memorandum of decision, the defendant conceded as much, noting that “the [plaintiff] initially may have had a good faith basis to make the allegation in the motion . . . .” The defendant nevertheless found that the plaintiff “certainly did not have a good faith basis to maintain the allegation before the court once his client refused to supply an affidavit in support of the statement.” The dispositive issue, then, is whether it may be said that a reasonable lawyer clearly would have ceased to pursue the fraud, corruption or undue influence allegation at trial when the client refused to provide an affidavit. The answer is yes.
Although the plaintiff initially was entitled to rely on his client’s representation that she would furnish an affidavit in alleging fraud, corruption or undue influence in the motion to vacate, his obligation as an officer of the court required him to reconsider that allegation when his client subsequently refused to do so. Without [623]*623that affidavit, the allegation was rendered baseless.22 The plaintiff testified before the reviewing committee that he informed his client that he could not proceed on the allegation without the affidavit. That testimony confirms that the plaintiff, at the time of trial, was aware that he lacked a good faith basis to continue to pursue the allegation.
The plaintiff further testified that his client refused to authorize him to withdraw the allegation.23 That is no excuse for his continued pursuit of the allegation. The commentary to rule 1.2 (a) of the Rules of Professional Conduct (2002) states in relevant part that “a lawyer is not required to pursue objectives or employ means simply because a client may wish that the lawyer do so.”24 When an attorney is aware that a good faith basis is lacking, his duty as a minister of justice every time must trump a client’s desire to continue an untenable allegation.
At the time of the hearing, the plaintiffs client refused to furnish an affidavit in support of her allegation. As the plaintiff then informed her and later acknowledged [624]*624in his testimony before the reviewing committee, he knew he could not reasonably proceed on the allegation that the arbitration award was procured by corruption, fraud or undue means without that affidavit. At that juncture, his conduct in continuing the allegation ran afoul of the stricture of rule 3.1.
Ill
CONCLUSION
The record before us contains ample support for the defendant’s finding that the plaintiff violated rule 3.1 by persisting in the allegations that the arbitration award was procured by corruption, fraud or undue means and that evident partiality or corruption on the part of an arbitrator or arbitrators existed once he knew that he had no evidence to support those allegations at trial. Moreover, we are not left with a definite and firm conviction that a mistake has been made. We therefore conclude that the defendant’s finding that the plaintiff violated rule 3.1 is not clearly erroneous.
The judgment is affirmed.
In this opinion McLACHLAN, J., concurred.