Opinion
ROGERS, C. J.
The principal issue in this appeal is whether General Statutes § 4-61,
which waives the state’s sovereign immunity with respect to certain
claims arising under public works contracts, permits a general contractor to commence a second arbitration against the state to pursue claims that previously had been, or could have been, arbitrated between the parties in a prior action. The plaintiff, the state department of transportation (department), appeals from the judgment of the trial court denying its claim seeking a permanent injunction barring the named defendant, White Oak Corporation (White Oak),
from arbitrating a claim for delay damages arising under a public works contract. The department claims that the trial court improp
erly refused to issue an injunction because the second arbitration is barred by the doctrine of sovereign immunity, the doctrine of res judicata and the statute of limitations in § 4-61 (b).
We agree with the department’s first claim, and, accordingly, reverse the judgment of the trial court.
The record reveals the following facts and procedural history. On June 6,1994, White Oak and the department executed a public works contract for the construction of the Tomlinson bridge in New Haven. Construction was scheduled to commence on September 4,1994, and to be completed by January 5,1998. After experiencing numerous delays in construction, however, White Oak, the department and White Oak’s surety agreed “that a new contractor [should] be employed to perform the remainder of the [c]ontract” and, accordingly, on April 28, 2000, they executed an assignment agreement whereby Cianbro Corporation (Cianbro) became the successor contractor. Construction of the Tomlinson bridge subsequently was completed on December 31, 2001.
Thereafter, White Oak filed a notice of claim against the department and a demand for arbitration with the American Arbitration Association pursuant to § 4-61 (b) (first arbitration). In its notice of demand, White Oák sought $93,793,891.11 in damages for the department’s alleged wrongful termination of the contract. In response, the state filed an answer, special defenses and various counterclaims seeking, in relevant part, damages for increased costs caused by the delays in construction. The arbitration panel found in favor of the department with respect to White Oak’s wrongful termination claim, concluding that “no termination of
White Oak actually [had] occurred.” The arbitration panel also found in favor of the department with respect to its counterclaims seeking damages for certain increased costs, and awarded the department $1,169,648.33 in damages. The trial court,
Berger, J.,
subsequently confirmed the arbitration award.
Thereafter, WTúte Oak filed a second notice of claim against the department, followed by a second demand for arbitration, seeking $110,314,807 in damages, plus interest, for delays associated with the construction of the Tomlinson bridge (second arbitration). In response, the department filed the present action in the trial court seeking, inter alia, a permanent injunction barring the second arbitration. The department claimed that the second arbitration was barred by: (1) the doctrine of sovereign immunity because § 4-61 waives the state’s sovereign immunity only with respect to a single action or arbitration wherein all disputed claims arising under a public works contract must be resolved; (2) the doctrine of res judicata because White Oak’s claims previously had been arbitrated, or could have been arbitrated, in the first arbitration; and (3) the statute of limitations, which began to run on the date on which the contract had been terminated by virtue of the assignment to Cianbro.
The trial court,
Berger, J.,
denied the department’s request for a permanent injunction.
The trial court concluded that the second arbitration was not barred by the doctrine of sovereign immunity because, to the
extent that § 4-61 requires a singular demand for arbitration, White Oak had fulfilled this requirement in that its “July 25,2001 revised amended demand and companion revised amended notice of claim [in the first arbitration had] included a claim for delay damages . . . .” The trial court noted that “[c]ourts and arbitration panels regularly bifurcate matters as needed and as appropriate. To argue that the process of deciding one issue first forecloses further consideration of other issues, if not waived, and if appropriate, has no merit. In this case, it is clear that while the [first arbitration] panel did make certain findings concerning extensions and delays, it considered its only task—for whatever reason, whether notice deficiencies or stipulations—to be the wrongful termination claim . . . .”
On appeal, the department claims that the trial court improperly declined to issue a permanent injunction. We conclude that the waiver of sovereign immunity set forth in § 4-61 requires all existing disputed claims arising under a public works contract to be litigated or arbitrated in a single action. Because White Oak’s claim for delay damages existed at the time its notice of claim had been filed in the first arbitration; see footnote 9 of this opinion; and because White Oak failed to pursue its claim in that proceeding, we conclude that it is barred
by the doctrine of sovereign immunity. Accordingly, we reverse the judgment of the trial court.
Whether § 4-61 waives the state’s sovereign immunity with respect to White Oak’s claim for delay damages presents us with an issue of statutory interpretation, over which our review is plenary.
See
Dept. of Public
Works
v.
ECAP Construction Co.,
250 Conn. 553, 558, 737 A.2d 398 (1999). “General Statutes § 1-2z directs us first to consider the text of the statute itself and its relationship to other statutes. If, after examining such text and considering such relationship, the meaning of such text is plain and unambiguous and does not yield absurd or unworkable results, extratextual evidence of the meaning of the statute shall not be considered. . . . When a statute is not plain and unambiguous, we also look for interpretive guidance to the legislative history and circumstances surrounding its enactment, to the legislative policy it was designed to implement, and to its relationship to existing legislation and common law principles governing the same general subject matter . . . .” (Internal quotation marks omitted.)
Southern New England Telephone Co.
v.
Cashman,
283 Conn.
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Opinion
ROGERS, C. J.
The principal issue in this appeal is whether General Statutes § 4-61,
which waives the state’s sovereign immunity with respect to certain
claims arising under public works contracts, permits a general contractor to commence a second arbitration against the state to pursue claims that previously had been, or could have been, arbitrated between the parties in a prior action. The plaintiff, the state department of transportation (department), appeals from the judgment of the trial court denying its claim seeking a permanent injunction barring the named defendant, White Oak Corporation (White Oak),
from arbitrating a claim for delay damages arising under a public works contract. The department claims that the trial court improp
erly refused to issue an injunction because the second arbitration is barred by the doctrine of sovereign immunity, the doctrine of res judicata and the statute of limitations in § 4-61 (b).
We agree with the department’s first claim, and, accordingly, reverse the judgment of the trial court.
The record reveals the following facts and procedural history. On June 6,1994, White Oak and the department executed a public works contract for the construction of the Tomlinson bridge in New Haven. Construction was scheduled to commence on September 4,1994, and to be completed by January 5,1998. After experiencing numerous delays in construction, however, White Oak, the department and White Oak’s surety agreed “that a new contractor [should] be employed to perform the remainder of the [c]ontract” and, accordingly, on April 28, 2000, they executed an assignment agreement whereby Cianbro Corporation (Cianbro) became the successor contractor. Construction of the Tomlinson bridge subsequently was completed on December 31, 2001.
Thereafter, White Oak filed a notice of claim against the department and a demand for arbitration with the American Arbitration Association pursuant to § 4-61 (b) (first arbitration). In its notice of demand, White Oák sought $93,793,891.11 in damages for the department’s alleged wrongful termination of the contract. In response, the state filed an answer, special defenses and various counterclaims seeking, in relevant part, damages for increased costs caused by the delays in construction. The arbitration panel found in favor of the department with respect to White Oak’s wrongful termination claim, concluding that “no termination of
White Oak actually [had] occurred.” The arbitration panel also found in favor of the department with respect to its counterclaims seeking damages for certain increased costs, and awarded the department $1,169,648.33 in damages. The trial court,
Berger, J.,
subsequently confirmed the arbitration award.
Thereafter, WTúte Oak filed a second notice of claim against the department, followed by a second demand for arbitration, seeking $110,314,807 in damages, plus interest, for delays associated with the construction of the Tomlinson bridge (second arbitration). In response, the department filed the present action in the trial court seeking, inter alia, a permanent injunction barring the second arbitration. The department claimed that the second arbitration was barred by: (1) the doctrine of sovereign immunity because § 4-61 waives the state’s sovereign immunity only with respect to a single action or arbitration wherein all disputed claims arising under a public works contract must be resolved; (2) the doctrine of res judicata because White Oak’s claims previously had been arbitrated, or could have been arbitrated, in the first arbitration; and (3) the statute of limitations, which began to run on the date on which the contract had been terminated by virtue of the assignment to Cianbro.
The trial court,
Berger, J.,
denied the department’s request for a permanent injunction.
The trial court concluded that the second arbitration was not barred by the doctrine of sovereign immunity because, to the
extent that § 4-61 requires a singular demand for arbitration, White Oak had fulfilled this requirement in that its “July 25,2001 revised amended demand and companion revised amended notice of claim [in the first arbitration had] included a claim for delay damages . . . .” The trial court noted that “[c]ourts and arbitration panels regularly bifurcate matters as needed and as appropriate. To argue that the process of deciding one issue first forecloses further consideration of other issues, if not waived, and if appropriate, has no merit. In this case, it is clear that while the [first arbitration] panel did make certain findings concerning extensions and delays, it considered its only task—for whatever reason, whether notice deficiencies or stipulations—to be the wrongful termination claim . . . .”
On appeal, the department claims that the trial court improperly declined to issue a permanent injunction. We conclude that the waiver of sovereign immunity set forth in § 4-61 requires all existing disputed claims arising under a public works contract to be litigated or arbitrated in a single action. Because White Oak’s claim for delay damages existed at the time its notice of claim had been filed in the first arbitration; see footnote 9 of this opinion; and because White Oak failed to pursue its claim in that proceeding, we conclude that it is barred
by the doctrine of sovereign immunity. Accordingly, we reverse the judgment of the trial court.
Whether § 4-61 waives the state’s sovereign immunity with respect to White Oak’s claim for delay damages presents us with an issue of statutory interpretation, over which our review is plenary.
See
Dept. of Public
Works
v.
ECAP Construction Co.,
250 Conn. 553, 558, 737 A.2d 398 (1999). “General Statutes § 1-2z directs us first to consider the text of the statute itself and its relationship to other statutes. If, after examining such text and considering such relationship, the meaning of such text is plain and unambiguous and does not yield absurd or unworkable results, extratextual evidence of the meaning of the statute shall not be considered. . . . When a statute is not plain and unambiguous, we also look for interpretive guidance to the legislative history and circumstances surrounding its enactment, to the legislative policy it was designed to implement, and to its relationship to existing legislation and common law principles governing the same general subject matter . . . .” (Internal quotation marks omitted.)
Southern New England Telephone Co.
v.
Cashman,
283 Conn. 644, 650-51, 931 A.2d 142 (2007).
“Our analysis is more specifically illuminated by the well settled principle that when the state waives sovereign immunity by statute a party attempting to sue under the legislative exception must come clearly within its provisions, because [statutes in derogation of sovereignty should be strictly construed in favor of the state, so that its sovereignty may be upheld and not narrowed or destroyed .... Where there is any doubt about
[the] meaning or intent [of a statute in derogation of sovereign immunity, it is] given the effect which makes the least rather than the most change in sovereign immunity. . . . The state’s sovereign right not to be sued may be waived by the legislature, provided clear intention to that effect is disclosed by the use of express terms or by force of a necessary implication.” (Internal quotation marks omitted.)
Dept. of Public Works
v.
ECAP Construction Co.,
supra, 250 Conn. 558-59. Thus, a party who seeks to litigate or arbitrate a disputed claim arising under a public works contract bears the burden of proving that the claim fits precisely within the narrowly drawn reach of § 4-61.
DeFonce Construction Corp.
v.
State,
198 Conn. 185, 188, 501 A.2d 745 (1985).
With these principles in mind, we turn to the language of § 4-61 to determine whether it requires all existing disputed claims arising under a public works contract to be pursued and resolved in a single action or arbitration. Subsection (a) of § 4-61 provides in relevant part that, “[a]ny . . . corporation which has entered into a contract with the state, acting through any of its departments . . . for the design, construction, construction management, repair or alteration of any . . . bridge . . . may, in the event of any disputed claims under such contract . . . bring an action against the state to the superior court for the judicial district of Hartford for the purpose of having such claims determined . . . .” Subsection (b) of § 4-61 provides in relevant part that, “[a]s an alternative to the procedure provided in subsection (a) of this section, any such . . . corporation having a claim under said subsection (a) may submit a demand for arbitration of such claim or claims for determination . . . .”
The department claims that the plain language of § 4-61 requires all disputed claims that have accrued under a public works contract to be asserted against the state in a single action or, alternatively, in a single arbitration.
In support of this claim, the department relies on the following statutory language: “in the event of any disputed
claims
under such contract ... [a party may] bring
an
action”; (emphasis added) General Statutes § 4-61 (a); or, alternatively, “submit
a demand
for arbitration . . . .” (Emphasis added.) General Statutes § 4-61 (b). Essentially, the department claims that the use of the singular in reference to
“an
action” or “a demand for arbitration,” combined with the use of the plural in reference to “disputed claims,” manifests the legislature’s intent to limit the number of actions or arbitrations that may be filed under § 4-61. (Emphasis added.) White Oak responds, however, that § 4-61 plainly does not limit the number of actions or arbitrations that may be asserted against the state and, therefore, permits a party to pursue such claims concurrently or consecutively in separate and distinct actions and/or arbitrations.
To resolve the department’s claim, we turn to the principles of statutory construction that guide our review. General Statutes § 1-1 (f) provides that, “[w]ords importing the singular number may extend and be applied to several persons or things, and words importing the plural number may include the singular.” As we observed in
Stamford Ridgeway Associates
v.
Board of Representatives,
214 Conn. 407, 430, 572 A.2d 951 (1990), “because § 1-1 (f) uses the word may it is clearly directory and not mandatory. . . . [S]uch statutory expressions are legislative statements of a general principle of interpretation. . . . The principle does not require that singular and plural word forms have interchangeable effect, and discrete applications are favored except where the contrary intent or reasonable understanding is affirmatively indicated.” (Citation omitted; internal quotation marks omitted.) We conclude that it is unclear from the plain language of § 4-61 whether it provides a limited waiver of sovereign immunity that
requires a party to assert all of its existing disputed claims in a single action or arbitration, as the department contends, or whether it provides a blanket waiver of sovereign immunity that permits a party to file an unlimited number of separate actions and/or arbitrations, as White Oak maintains. We therefore conclude that § 4-61 is ambiguous. Accordingly, we turn to extra-textual sources of legislative intent to discern the scope of the waiver of sovereign immunity contained therein.
Prior to the enactment of § 4-61, “suits against the state by contractors were not countenanced because of sovereign immunity. Individualized legislative authorization to sue was required to be sought by petition before an action could be brought against the state.”
Federal Deposit Ins. Corp.
v.
Peabody, N.E., Inc.,
239 Conn. 93, 103, 680 A.2d 1321 (1996). In 1957, the legislature enacted § 4-61 “to reduce the number of petitions for permission to sue the state that it received involving suits over state construction contracts. 7 H.R. Proc., Pt. 4, 1957 Sess., p. 1937.
DeFonce Construction Corp.
v.
State,
[supra, 198 Conn. 189]. Another reason for allowing parties who had contracted with the state to sue the state directly without seeking legislative authorization was the hope that affording contractors the right to sue would reduce the costs of construction projects to the state by eliminating the cost of the lengthy legislative authorization process that was often built into state construction contracts. Conn. Joint Standing Committee Hearings, General Law, Pt. 2,1957 Sess., p. 436, remarks of Representative Merrill S. Dreyfus.” (Internal quotation marks omitted.)
Federal Deposit Ins. Corp.
v.
Peabody, N.E., Inc.,
supra, 103-104. Accordingly, § 4-61 was intended to foster competitive bidding for state construction contracts, “which, in turn, would make it more likely that the cost to the state of such projects will be reduced.”
Dept. of Public Works
v.
ECAP Construction Co.,
supra, 250 Conn. 560.
In 1986, the legislature amended § 4-61 by adding subsection (b), which provides that a party may file a demand for arbitration with the American Arbitration Association in lieu of filing a complaint in the Superior Court. See Public Acts 1986, No. 86-253. The purpose of this amendment was to provide an alternative forum in which disputed claims arising under public works contracts could be resolved in a simpler, speedier and more efficient manner. See 29 H. Proc., Pt. 13, 1986 Sess., p. 4811, remarks of Representative Elinor Wilber (“We believe that [the amendment] would simplify the process. That it would make the process speedier and that it would reduce probably the number of court cases.”).
Notably, the legislative history of § 4-61 is silent with respect to whether the statute implements a singular or a blanket waiver of the state’s sovereign immunity. The legislative history does reflect, however, that at the time § 4-61 was enacted, it was the common practice for contractors to accumulate their claims and wait until after the completion of the construction project before seeking legislative permission to sue the state. See Conn. Joint Standing Committee Hearings, General Law, Pt. 2, 1957 Sess., p. 441, testimony of Elwood T. Nettlewood (contractor typically must wait approximately two years for next legislative session
after completion of construction project
to seek permission to sue from legislature); id., p. 442 (fourteen potential future claims against state, which “have not, at the present time, [been submitted because the contractors]
have not completed their jobs”
[emphasis added]); id., testimony of Eaton Clod, p. 444 (Detailing disputed claim concerning adjustment to contract price and noting that
“at the completion of the job,
each side had records [documenting the dispute]. We had permission to sue the [s]tate.” [Emphasis added.]). In light of this common practice, there is no indication that the legisla
ture took into account the situation in which a contractor might file multiple actions against the state to resolve disputed claims arising under a single public works contract.
As we repeatedly have observed, § 4-61 was intended to carve out a narrow and limited exception to sovereign immunity.
Federal Deposit Ins. Corp.
v.
Peabody, N.E., Inc.,
supra, 239 Conn. 103 (legislative history of § 4-61 “reflects the narrow and limited purpose for the exception to sovereign immunity contained in § 4-61 [a], and indicates that impleaders like that in the present appeal were not contemplated”);
DeFonce Construction Corp.
v.
State,
supra, 198 Conn. 189 (“[t]he legislative history [of § 4-61] makes no mention of contracts involving nonstate facilities . . . [and] [i]n the absence of evidence of legislative intent to waive its immunity in cases such as this, we presume that the legislature meant to exclude such contracts from the operation of the statute”), superseded by statute as stated in
Ducci Electrical Contractors, Inc.
v.
Dept. of Transportation,
28 Conn. App. 175, 177-78, 611 A.2d 891 (1992);
Berger, Lehman Associates, Inc.
v.
State,
178 Conn. 352, 357, 422 A.2d 268 (1979) (construing term “ ‘design’ ” in § 4-61 narrowly and noting that, “[t]here is no expression of legislative intent to the contrary”). The scope of this exception must be construed strictly, and “is not to be extended, modified, repealed or enlarged in its scope by the mechanics of [statutory] construction.” (Internal quotation marks omitted.)
Spears
v.
Garcia,
263 Conn. 22, 28, 818 A.2d 37 (2003). In light of the ambiguous language of the statute, and the dearth of any extratextual evidence indicating an affirmative legislative intent to enact a blanket waiver of sovereign immunity permitting a contractor to file multiple actions against the state, we are constrained to conclude that § 4-61 waives the state’s sovereign immunity only with respect to a single action or arbitration wherein all existing disputed
claims arising under a public works contract must be pursued and resolved.
See, e.g., id.
Our construction of § 4-61 finds further support in the legislative policies that the statute was designed to implement, namely, increasing the quality of construction in the state while, at the same time, reducing its cost by permitting contractors to sue the state directly to resolve disputed claims arising under public works contracts quickly and efficiently. If we were to construe § 4-61 as a blanket waiver of sovereign immunity that permits a contractor to file multiple actions against the state, the cost to the state of public works contracts effectively would increase while, at the same time, the speed and efficiency with which such claims are resolved effectively would decrease. In light of the spirit and purpose of § 4-61, we cannot conclude that the legislature intended such a result. See
BEC Corp.
v.
Dept. of Environmental Protection,
256 Conn. 602, 622, 775 A.2d 928 (2001) (“[statutes are to be construed in a manner that will not thwart [their] intended purpose” [internal quotation marks omitted]).
The scope of the waiver of sovereign immunity delineated in § 4-61 should not be confused, however, with the principles of res judicata, also known as claim preclusion, or collateral estoppel, also known as issue preclusion.
To assess whether a subsequent action is
barred by § 4-61, a reviewing court need not undertake an inquiry into the prior claims that actually had been litigated or arbitrated between the parties, or apply the “transactional test”;
Powell
v.
Infinity Ins. Co.,
282 Conn. 594, 604, 922 A.2d 1073 (2007); to determine whether the current claims form a part of the same transaction, or series of connected transactions, out of which the prior claims arose.
Rather, the court simply must ascertain whether the parties previously had litigated or arbitrated
any
disputed claims arising under the same public works contract at issue in the current proceeding, and whether the current claims had existed at the time of the earlier action. See footnote 9 of this
opinion. If so, then the current claims are barred by the doctrine of sovereign immunity.
With this background in mind, we turn to the facts of the present case. It is undisputed that White Oak’s claim for delay damages fully had accrued prior to the commencement of the first arbitration and, consequently, that White Oak could have arbitrated its claim in that proceeding if it had chosen to do so. Our thorough review of the record reveals, however, that the sole claim arbitrated by White Oak in the first arbitration was a claim for wrongful termination.
Throughout the hearings in the first arbitration, White Oak repeat
edly characterized its claim as one for wrongful termination.
Additionally, in its posthearing brief, White Oak
represented to the arbitration panel that there were only two issues to be decided: (1) “whether the termination was justified”; and (2) “calculation of damages to the aggrieved party.” Although White Oak presented extensive evidence of delays,
our review of the record reveals that this evidence was submitted to support White Oak’s claim that the department’s alleged termination of the contract was unjustified and wrongful, and to establish the reasonable value of the work performed under the contract as an element of damages.
See footnotes 12 and 13 of this opinion. Because § 4-61 waives the state’s sovereign immunity only with respect to a single action or arbitration wherein all existing disputed claims must be pursued and resolved, and because White Oak’s claim for delay damages existed at the time of the first arbitration but was not pursued in that proceeding, we conclude that it is barred by the doctrine of sovereign immunity.
White Oak asserts, however, that the trial court found that its claim for delay damages had been set aside or bifurcated in the first arbitration and, therefore, was not barred by the limited waiver of sovereign immunity in § 4-61.
After thoroughly reviewing the transcripts of the forty-two days of hearings conducted before the first arbitration panel, and the parties’ lengthy posttrial and reply briefs in that proceeding, we conclude that the trial court’s factual finding is unsupported by the record. See
Lydall, Inc.
v.
Ruschmeyer,
282 Conn. 209, 221, 919 A.2d 421 (2007) (“A finding of fact is clearly erroneous when there is no evidence in the record to support it ... or when although there is evidence to support it, the reviewing court on the entire evidence is left with the definite and firm conviction that a mistake has been committed. ... In making this determination, every reasonable presumption must be given in
favor of the trial court’s ruling.” [Internal quotation marks omitted.]). Simply stated, there is no evidence in the record to indicate that White Oak had articulated a claim for delay damages in the first arbitration, and that that claim subsequently had been set aside or bifurcated. See footnote 13 of this opinion. Accordingly, we conclude that the trial court’s factual finding is clearly erroneous.
The judgment is reversed and the case is remanded to the trial court with direction to render judgment in favor of the department on its claim for a permanent injunction.
In this opinion the other justices concurred.