DiNapoli v. Cooke

682 A.2d 603, 43 Conn. App. 419, 1996 Conn. App. LEXIS 487
CourtConnecticut Appellate Court
DecidedOctober 1, 1996
Docket14290
StatusPublished
Cited by42 cases

This text of 682 A.2d 603 (DiNapoli v. Cooke) is published on Counsel Stack Legal Research, covering Connecticut Appellate Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
DiNapoli v. Cooke, 682 A.2d 603, 43 Conn. App. 419, 1996 Conn. App. LEXIS 487 (Colo. Ct. App. 1996).

Opinions

FOTI, J.

The defendants1 appeal from the judgment

of the trial court rendered in favor of the plaintiffs2 on their complaint and on the defendants’ counterclaim. The plaintiffs’ complaint alleges that the defendants tortiously interfered with their sale of the land to the state of Connecticut. The defendants’ counterclaim alleges that the plaintiffs breached a contract with the defendants with respect to a portion of the subject land and that the plaintiffs violated the Connecticut Unfair Trade Practices Act (CUTPA), General Statutes § 42-110a et seq.3 The defendants assert that the trial court (1) improperly found that the plaintiffs proved the malice and proximate cause elements of the tort of intentional interference with a business relationship, and that the plaintiffs had not breached their agreement and had not engaged in unfair or deceptive trade practices, and (2) abused its discretion in awarding punitive damages. The plaintiffs cross appeal, claiming that the trial court improperly (1) found that the plaintiffs did not prove damages and, consequently awarded only nominal damages, and (2) limited punitive damages to [421]*421attorney’s fees. We affirm the judgment on the complaint and on the counterclaim.

The relevant facts and procedural history are as follows. The plaintiffs owned a forty-nine acre tract of land situated on Nod Hill and Old Branchville Roads in Ridgefield. On November 18, 1986, they obtained approval from the Ridgefield planning and zoning commission for a planned residential development on the property. As a condition of the approval, the plaintiffs were required to convey approximately eighteen acres of the subdivision to the town of Ridgefield to be dedicated as open space. The plaintiffs conveyed the eighteen acres to the town on November 20, 1986.

On January 30,1987, the state department of transportation advised the plaintiffs that the state was going to acquire a portion of their property for the reconstruction of Route 7. Prior to conveying the eighteen acres to the town, the plaintiffs had inquired of the department of transportation on two occasions whether there were planned condemnation proceedings against their property. In each instance, they were told that the plans for Route 7 were dormant. The plaintiffs ceased their construction activities on the subdivision roadway after the notice of the forthcoming condemnation.

In March, 1988, the state informed the plaintiffs that the plan to acquire a portion of their property had been postponed indefinitely. The plaintiffs initiated an inverse condemnation action against the state that ultimately was settled by way of a stipulated judgment. The terms of the stipulation required the state to pay to the plaintiffs the sum of $2,800,000. In return, the plaintiffs were to convey two noncontiguous parcels to the state totaling eighteen acres. One of the parcels (parcel A) consisted of approximately ten acres from the open space portion of the subdivision. The stipulation necessitated a reacquisition of the ten acre parcel [422]*422that the plaintiffs had previously conveyed to the town and the substitution of another ten acre parcel (parcel B) to meet the open space requirement. The other parcel to be conveyed to the state (parcel C) was eight acres from another portion of the subdivision. The stipulation provided that the entire $2,800,000 was to be paid for parcel C and that parcel A was to be transferred for “no consideration.” The town approved the plaintiffs’ proposal to substitute parcel B for parcel A as open space to comply with a condition of the subdivision approval. This approval took place at a town meeting on February 22, 1989.

The defendants own a parcel of land that partially abuts the plaintiffs’ property. They entered into an agreement with the plaintiffs on November 6, 1986, in which they agreed not to oppose the development of the subdivision, and the plaintiffs agreed, inter alia, to give the defendants an option to purchase lot 1 of the subdivision for a price equal to 85 percent of the fair market value of the lot.

The defendants opposed the substitution of parcel B for parcel A at the February 22, 1989 town meeting. Thereafter, Torrey Cooke brought an action to preclude the property exchange, claiming that such an exchange violated certain statutory provisions regarding public and charitable uses. The case was subsequently dismissed because Cooke lacked standing to bring the action. While this matter was in litigation, the state and the plaintiffs opened the stipulated judgment in the inverse condemnation case and agreed to substitute parcel B for parcel A, thereby leaving the town with parcel A as open space. Title closed on the substituted parcel B and parcel C on January 6, 1990.

After the Superior Court dismissed Torrey Cooke’s action, the plaintiffs instituted this action against the defendants alleging intentional and malicious interfer[423]*423ence with the plaintiffs’ business expectations and business relations.4 The defendants’ counterclaim alleges that the transfer by the plaintiffs to the state breached the November 6, 1986 agreement between the plaintiffs and the defendants, and that the breach precluded the defendants from acquiring lot 1 at a price below the fair market value. In the second count of the counterclaim, the defendants allege that the plaintiffs violated CUTPA by misleading the defendants as to their intent and as to any threat of condemnation of the open space property.

The trial court found for the plaintiffs on the complaint, reciting numerous acts of deliberate and malicious interference with the plaintiffs’ land transfer to the state. The court stated, however, that “in view of the lack of persuasive evidence on the measure of damages, the court finds certainly that [the plaintiffs] are entitled to nominal damages and awards the sum of one ($1) dollar.” The court thereafter held a separate hearing and awarded punitive damages in the amount of $21,080. This appeal and cross appeal followed.

I

The defendants first allege that the trial court made incorrect findings of fact. We view this as a wholesale attack on the court’s findings based on a claim that the court could not have reasonably concluded as it did on the bases of the subordinate facts found and the reasonable inferences drawn from those facts. Our review of the record discloses that the trial court reasonably and logically concluded as it did, and that the decision of the trial court was not clearly erroneous in light of the evidence and pleadings in the record as a [424]*424whole. See Dalia v. Lawrence, 226 Conn. 51, 71-72, 627 A.2d 392 (1993).

“On appeal, the function of this court is limited solely to the determination of whether the factual findings of the trial court are clearly erroneous or whether the decision is otherwise erroneous in law. . . .

Free access — add to your briefcase to read the full text and ask questions with AI

Related

Stubbs v. Gerken
D. Connecticut, 2022
Soto v. Bushmaster Firearms International, LLC
Supreme Court of Connecticut, 2019
Wellswood Columbia, LLC v. Town of Hebron
171 A.3d 409 (Supreme Court of Connecticut, 2017)
Iacurci v. Sax
139 Conn. App. 386 (Connecticut Appellate Court, 2012)
American Diamond Exchange, Inc. v. Alpert
920 A.2d 357 (Connecticut Appellate Court, 2007)
Andreason v. Felsted
2006 UT App 188 (Court of Appeals of Utah, 2006)
Goodyear v. Discala
849 A.2d 791 (Supreme Court of Connecticut, 2004)
Gagne v. Vaccaro
835 A.2d 491 (Connecticut Appellate Court, 2003)
Esposito v. Kahn, No. Cv01-0447427 (Dec. 13, 2002)
2002 Conn. Super. Ct. 16124 (Connecticut Superior Court, 2002)
Handex Environmental, Inc. v. Hardman, No. Cv01 016 64 62 (Nov. 18, 2002)
2002 Conn. Super. Ct. 14688 (Connecticut Superior Court, 2002)
State v. Ortiz
804 A.2d 937 (Connecticut Appellate Court, 2002)
Precision Computer Serv. v. McIlmurray, No. Cv00 37 83 94 S (Feb. 7, 2002)
2002 Conn. Super. Ct. 1507 (Connecticut Superior Court, 2002)
Gagne v. Vaccaro, No. 95-0372611-S (Dec. 10, 2001)
2001 Conn. Super. Ct. 16054 (Connecticut Superior Court, 2001)
State v. Fitzgerald
777 A.2d 580 (Supreme Court of Connecticut, 2001)
State v. Wright
772 A.2d 739 (Connecticut Appellate Court, 2001)
Hi-Ho Tower, Inc. v. Com-Tronics, Inc.
761 A.2d 1268 (Supreme Court of Connecticut, 2000)
Delgado v. Achieve Global, No. Cv99 036 27 20 S (Nov. 15, 2000)
2000 Conn. Super. Ct. 13922 (Connecticut Superior Court, 2000)
Meola v. Eagle Snacks Corporation, No. Cv 96 0384760 (Sep. 6, 2000)
2000 Conn. Super. Ct. 10876 (Connecticut Superior Court, 2000)
Collins v. Meisler, No. Cv99-71793s (Jul. 27, 2000)
2000 Conn. Super. Ct. 9211 (Connecticut Superior Court, 2000)
Suffield v. Nat'l Loan, No. Cv 99 0590031-S (Jul. 20, 2000)
2000 Conn. Super. Ct. 8945 (Connecticut Superior Court, 2000)

Cite This Page — Counsel Stack

Bluebook (online)
682 A.2d 603, 43 Conn. App. 419, 1996 Conn. App. LEXIS 487, Counsel Stack Legal Research, https://law.counselstack.com/opinion/dinapoli-v-cooke-connappct-1996.