Opinion
FREEDMAN, J.
This is an appeal from the judgment of the trial court denying the plaintiffs request for a writ of mandamus to compel the defendant to commence negotiations with the plaintiff pursuant to General Statutes § 47-66h (a).1 We affirm the judgment of the trial court.
[554]*554The following facts are relevant to this appeal. The plaintiff brought this mandamus action alleging that, pursuant to General Statutes § 47-66h (a), the defendant2 is required to enter into a trust agreement with each willing indigenous Indian tribe. The plaintiff alleged that in March, 1991, it informed the defendant of its willingness to enter into a trust agreement pursuant to § 47-66h (a). The plaintiff further alleged that at all times since March, 1991, the defendant has refused to enter into a trust agreement or to institute a process of dialogue and negotiation leading to a trust agreement. The plaintiff claimed that it was therefore deprived of a clear legal right, and sought a writ of mandamus ordering the defendant “to begin negotiation of a trust agreement with the plaintiff [Golden Hill Paugussett Tribe of Indians] as mandated by § 47-66h.”
The defendant filed an answer and three special defenses. The trial court, in denying the request for mandamus, considered only the third special defense, that is, that the Indian Affairs Task Force (task force) failed to issue a final report containing trust agreement recommendations, a condition precedent to the defendant’s entering into a trust agreement according to § 47-66h.3 The trial court rendered judgment for the defendant concluding, in light of the statute, its legislative history and other extrinsic evidence, that (1) the 1991 report of the task force was the final report, (2) this final report did not contain any recommendations as to trust agreements as required by § 47-66h and (3) a writ of mandamus could not issue in the absence of [555]*555trust agreement recommendations in the final report. It is from that judgment that the plaintiff appeals.
Before turning to the specific issues involved, it is important to note that “[a] party seeking a writ of mandamus must establish: (1) that the plaintiff has a clear legal right to the performance of a duty by the defendant; (2) that the defendant has no discretion with respect to performance of that duty; and (3) that the plaintiff has no adequate remedy at law. . . . Even satisfaction of this demanding test does not, however, automatically compel issuance of the requested writ of mandamus. ... In deciding the propriety of a writ of mandamus, the trial court exercises discretion rooted in the principles of equity.” (Citations omitted; internal quotation marks omitted.) Hennessey v. Bridgeport, 213 Conn. 656, 659, 569 A.2d 1122 (1990).
“Even [if] the plaintiff has a legal right to the matter sought, the writ will not issue if that right be nothing more than a naked right. In addition to a bare legal right, he must have a proper interest in, and a proper purpose to be served by, the doing of the act sought to be ordered. ... If the right sought to be enforced is or has become a mere abstract right, the enforcement of which will be of no substantial or practical benefit to the petitioner, the writ will not issue though otherwise the applicant would be entitled to it.” (Internal quotation marks omitted.) Sotire v. Stamford, 19 Conn. App. 505, 514, 563 A.2d 1021, cert. denied, 213 Conn. 805, 567 A.2d 835 (1989).
Section 47-66h (a) provides that the governor shall enter into a trust agreement with each willing indigenous Indian tribe, and that any such trust agreement “shall be consistent with recommendations on trust agreements contained in the final report of the Indian AJfairs Task Force made pursuant to special act 87-103.” (Emphasis added.) It is important to understand [556]*556the history of this statute and the task force prior to analyzing the claim of the plaintiff.
In 1987, the task force was established “to review existing statutes, budgets, agencies and programs affecting Connecticut Indians.” Special Acts 1987, No. 87-103. The task force was given a nonexclusive list of topics for study and recommendation, and was directed to submit a report to the governor and General Assembly on or before January 1, 1989.
In 1989, the task force submitted its first report to the General Assembly. The report recommended, in part, that “the Governor shall pursue a trust agreement with each willing indigenous Tribe; such trust agreement shall define the special nature of the state’s relationship with each particular tribe.” The report also recommended an extension of the task force’s authorization for an additional thirteen months, until February 1, 1990, for further study of several topics including “[fjurther description and review of trust agreements.” By Public Acts 1989, No. 89-368, § 28, the legislature amended Special Acts 1987, No. 87-103, by extending the period for the report of the task force until February 1, 1990. It also added “description and review of trust agreements” to the list of topics for the task force to consider. Section 17 of Public Acts 1989, No. 89-368, was the genesis of § 47-66h,4 presently at issue.
In 1990, the task force submitted its second report to the General Assembly. In the section entitled “Recommendations, 1990,” the task force suggested, “[tjhat the language of 17 (a) requiring tribal-state trust [557]*557agreements to be consistent with recommendations developed by the Indian Affairs Task Force be deleted as a potentially unconstitutional delegation of power and an interference with state and tribal sovereignty.” Under the section entitled “Discussion of Issues,” a subsection entitled “What is a trust agreement?” includes a “partial list of matters which might be negotiated in trust agreements.”5 In another subsection entitled “Fiscal Impact of Trust Agreements,” the task force concluded that because only the Golden Hill Paugussett Tribe had expressed readiness to enter into a trust agreement, the part-time efforts of one representative of the state would be fully adequate to negotiate such agreements. The 1990 report concluded by requesting another extension of the task force to consider outstanding issues. In this section of the report, the task force noted that “useful insights may be gained through review of the initial steps of the trust agreement process and that these might be incorporated in future legislation.”
By Special Acts 1990, No. 90-25, the legislature extended the reporting period of the task force until February 1, 1991. Special Acts 1990, No. 90-25, did not change the requirement that trust agreements be consistent with any trust agreement recommendations contained in the final report of the task force. The act specifically provided that “review and analysis of the trust agreement process” be one of the items for the task force to study and make recommendations. In 1991, the task force issued its final report, which did not include any trust agreement recommendations.6
[558]*558I
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Opinion
FREEDMAN, J.
This is an appeal from the judgment of the trial court denying the plaintiffs request for a writ of mandamus to compel the defendant to commence negotiations with the plaintiff pursuant to General Statutes § 47-66h (a).1 We affirm the judgment of the trial court.
[554]*554The following facts are relevant to this appeal. The plaintiff brought this mandamus action alleging that, pursuant to General Statutes § 47-66h (a), the defendant2 is required to enter into a trust agreement with each willing indigenous Indian tribe. The plaintiff alleged that in March, 1991, it informed the defendant of its willingness to enter into a trust agreement pursuant to § 47-66h (a). The plaintiff further alleged that at all times since March, 1991, the defendant has refused to enter into a trust agreement or to institute a process of dialogue and negotiation leading to a trust agreement. The plaintiff claimed that it was therefore deprived of a clear legal right, and sought a writ of mandamus ordering the defendant “to begin negotiation of a trust agreement with the plaintiff [Golden Hill Paugussett Tribe of Indians] as mandated by § 47-66h.”
The defendant filed an answer and three special defenses. The trial court, in denying the request for mandamus, considered only the third special defense, that is, that the Indian Affairs Task Force (task force) failed to issue a final report containing trust agreement recommendations, a condition precedent to the defendant’s entering into a trust agreement according to § 47-66h.3 The trial court rendered judgment for the defendant concluding, in light of the statute, its legislative history and other extrinsic evidence, that (1) the 1991 report of the task force was the final report, (2) this final report did not contain any recommendations as to trust agreements as required by § 47-66h and (3) a writ of mandamus could not issue in the absence of [555]*555trust agreement recommendations in the final report. It is from that judgment that the plaintiff appeals.
Before turning to the specific issues involved, it is important to note that “[a] party seeking a writ of mandamus must establish: (1) that the plaintiff has a clear legal right to the performance of a duty by the defendant; (2) that the defendant has no discretion with respect to performance of that duty; and (3) that the plaintiff has no adequate remedy at law. . . . Even satisfaction of this demanding test does not, however, automatically compel issuance of the requested writ of mandamus. ... In deciding the propriety of a writ of mandamus, the trial court exercises discretion rooted in the principles of equity.” (Citations omitted; internal quotation marks omitted.) Hennessey v. Bridgeport, 213 Conn. 656, 659, 569 A.2d 1122 (1990).
“Even [if] the plaintiff has a legal right to the matter sought, the writ will not issue if that right be nothing more than a naked right. In addition to a bare legal right, he must have a proper interest in, and a proper purpose to be served by, the doing of the act sought to be ordered. ... If the right sought to be enforced is or has become a mere abstract right, the enforcement of which will be of no substantial or practical benefit to the petitioner, the writ will not issue though otherwise the applicant would be entitled to it.” (Internal quotation marks omitted.) Sotire v. Stamford, 19 Conn. App. 505, 514, 563 A.2d 1021, cert. denied, 213 Conn. 805, 567 A.2d 835 (1989).
Section 47-66h (a) provides that the governor shall enter into a trust agreement with each willing indigenous Indian tribe, and that any such trust agreement “shall be consistent with recommendations on trust agreements contained in the final report of the Indian AJfairs Task Force made pursuant to special act 87-103.” (Emphasis added.) It is important to understand [556]*556the history of this statute and the task force prior to analyzing the claim of the plaintiff.
In 1987, the task force was established “to review existing statutes, budgets, agencies and programs affecting Connecticut Indians.” Special Acts 1987, No. 87-103. The task force was given a nonexclusive list of topics for study and recommendation, and was directed to submit a report to the governor and General Assembly on or before January 1, 1989.
In 1989, the task force submitted its first report to the General Assembly. The report recommended, in part, that “the Governor shall pursue a trust agreement with each willing indigenous Tribe; such trust agreement shall define the special nature of the state’s relationship with each particular tribe.” The report also recommended an extension of the task force’s authorization for an additional thirteen months, until February 1, 1990, for further study of several topics including “[fjurther description and review of trust agreements.” By Public Acts 1989, No. 89-368, § 28, the legislature amended Special Acts 1987, No. 87-103, by extending the period for the report of the task force until February 1, 1990. It also added “description and review of trust agreements” to the list of topics for the task force to consider. Section 17 of Public Acts 1989, No. 89-368, was the genesis of § 47-66h,4 presently at issue.
In 1990, the task force submitted its second report to the General Assembly. In the section entitled “Recommendations, 1990,” the task force suggested, “[tjhat the language of 17 (a) requiring tribal-state trust [557]*557agreements to be consistent with recommendations developed by the Indian Affairs Task Force be deleted as a potentially unconstitutional delegation of power and an interference with state and tribal sovereignty.” Under the section entitled “Discussion of Issues,” a subsection entitled “What is a trust agreement?” includes a “partial list of matters which might be negotiated in trust agreements.”5 In another subsection entitled “Fiscal Impact of Trust Agreements,” the task force concluded that because only the Golden Hill Paugussett Tribe had expressed readiness to enter into a trust agreement, the part-time efforts of one representative of the state would be fully adequate to negotiate such agreements. The 1990 report concluded by requesting another extension of the task force to consider outstanding issues. In this section of the report, the task force noted that “useful insights may be gained through review of the initial steps of the trust agreement process and that these might be incorporated in future legislation.”
By Special Acts 1990, No. 90-25, the legislature extended the reporting period of the task force until February 1, 1991. Special Acts 1990, No. 90-25, did not change the requirement that trust agreements be consistent with any trust agreement recommendations contained in the final report of the task force. The act specifically provided that “review and analysis of the trust agreement process” be one of the items for the task force to study and make recommendations. In 1991, the task force issued its final report, which did not include any trust agreement recommendations.6
[558]*558I
We first consider whether the trial court properly concluded that the 1991 report constituted the final report of the task force, and that this final report did not contain trust agreement recommendations as required by § 47-66h. The plaintiff contends that the legislative intent would best be served by finding that the necessary recommendations were contained in the 1989 report and were supplemented in the 1990 report and that, therefore, the 1990 report constituted the “final report” on the issue.
In support of its argument, the plaintiff notes that the legislature allowed for serial reporting by the task force. Specifically, although Special Acts 1987, No. 87-103, provided that the task force was to submit its report to the governor and General Assembly on or before January 1, 1989, the act further stated that “[t]he task force may report recommendations, in whole or in part, at any time prior to said date.” This language is reiterated in § 28 (c) of Public Acts, 1989, No. 89-368, which extended the reporting period of the task force until February 1, 1990, and subsection (c) of Special Acts 1990, No. 90-25, which extended the reporting period until February 1, 1991. We disagree with the plaintiff, however, and conclude that the statutory language, the legislative history and the factual record support the trial court’s conclusion that the final report for proposes of § 47-66h was the report issued in 1991.
As previously noted, § 47-66h provides that a trust agreement “shall be consistent with recommendations . . . contained in the final report” of the task force. [559]*559(Emphasis added.) The task force issued three reports, in 1989, 1990 and 1991. The first report, in 1989, recommended that the governor enter into a trust agreement with each willing indigenous tribe. It also requested an extension until February 1,1990, for the study of several topics including “further description and review of trust agreements.” The 1990 report contained a section about trust agreements, including a “partial list of subjects which might be negotiated in trust agreements.”7 It did not, however, contain any specific recommendations regarding trust agreements as required by § 47-66h.
[560]*560The 1990 report requested that the task force be extended again, noting that it believed that “useful insights may be gained through review of the initial steps of the trust agreement process and that these might be incorporated in future legislation.” This language supports the inference that the task force did not view its work as complete with regard to trust agreements. Special Acts 1990, No. 90-25, again extended the life of the task force until February 1, 1991. Pursuant to this act, among the topics that the task force was to continue to study was the “review and analysis of the trust agreement process.” As the trial court noted, this language supports the inference that the work of the task force was not yet complete as far as trust agreements were concerned. The legislative history of Special Acts 1990, No. 90-25, further supports this conclusion. Specifically, the Senate proceedings reflect that in addition to extending the life of the task force, one of the purposes of the act was to enable the task force to continue to study certain issues, including trust agreements.8
. The plaintiff claims that the trial court improperly relied on evidence outside of the legislative record in support of its conclusion that the final report was the 1991 report. Specifically, the trial court relied on a series of internal task force documents from the summer and fall of 1991 that discuss the continuing need for a final report. Further, in a July 20, 1990 memorandum from Senior Attorney David Keith Leff of the office of legislative research to Representative John W. Thompson, [561]*561chairman of the task force, responding to the question of when trust agreements may be negotiated, Leff concluded that there was no final report.9 The trial court also relied on the plaintiffs responses to interrogatories, in which the plaintiff stated that the final report of the task force was not submitted to the governor and General Assembly until November 21, 1991. The plaintiff does not claim that these materials were irrelevant, only that it was not necessary for the court to consider them. The plaintiff cites no authority in support of this proposition and we conclude that the court properly considered these items in arriving at its decision.
The trial court correctly determined that the final report of the task force was the 1991 report, and that this report did not contain any trust agreement recommendations. Even if we were to agree that all of the reports collectively constitute the final report, our conclusion that the task force failed to issue a final report containing trust agreement recommendations would remain unchanged. In so ruling, we disagree with the plaintiff that the trial court should have given greater weight to a letter dated February 22, 1991, from Representative Thompson to Governor Weicker.10 This letter [562]*562indicated, in part, that a final report would be forthcoming. It specifically stated that the task force had not changed its previous recommendations, and therefore did not see a need to restate them. The trial court provided several reasons why it deemed this letter insufficient to prove that “final” as used in § 47-66h denotes “decisive” or “conclusive” as the plaintiff had argued.* 11 The trial court’s ruling in this regard is fully supported by the other evidence that it considered.
II
Having concluded that the task force did not issue recommendations regarding trust agreements in its final report, we next consider whether the trial court properly denied the plaintiffs request for a writ of mandamus.
As previously noted, a writ of mandamus will not issue for the enforcement of a naked or abstract right. See Sotire v. Stamford, supra, 19 Conn. App. 514. According to § 47-66h, any trust agreement entered into between the governor and a willing indigenous Indian tribe shall be consistent with recommendations of the task force regarding trust agreements. Because the task [563]*563force did not issue a final report containing trust agreement recommendations, the plaintiff possesses a mere naked or abstract right. As such, the trial court properly concluded that the writ of mandamus could not lie because the enforcement of the right to have the defendant enter into negotiations would be of no substantial or practical benefit to the plaintiff.12 Id.
The judgment is affirmed.
In this opinion the other judges concurred.