Opinion
SCHALLER, J.
The plaintiff in error, Lamar Rowe (plaintiff), brings this writ of error seeking reversal in part of the trial court’s summary judgment of criminal contempt rendered pursuant to General Statutes § 51-33.1 He contends that the trial court improperly found that he had committed a second, separate act of contempt for what was a single, continuing act of contempt in his repeated refusals to provide testimony as a witness in a criminal trial. The plaintiff contends that the second finding of contempt violates the common law, as well as his constitutional rights to due process and to protection against double jeopardy. We agree with the plaintiffs common-law claim, and, accordingly, we grant the writ of error.
[651]*651The record reveals the following undisputed facts. On April 18, 2005, the plaintiff was picked up by the New Haven police department. At that time, he provided a statement to the police regarding the occupants and location of a black Acura on the evening of April 16, 2005, and on the morning of April 17, 2005. The state later brought charges against Hilbert Roberts, whom the plaintiff had identified as one of the occupants of the Acura, for a murder committed on April 17, 2005.
On July 26, 2006, pursuant to a subpoena issued by the state, the plaintiff appeared as a witness at Roberts’ trial. Outside the presence of the jury, the state questioned the plaintiff. After eliciting one word responses to some background questions unrelated to the case,2 the following exchange between the prosecutor and the plaintiff took place:
“Q. Do you know the defendant in this case . . . ?
“A. Plead the fifth.
“Q. On what grounds?
“A. I don’t wanna to talk to you.”
The state explained to the plaintiff that he could not assert a fifth amendment privilege against testifying unless his testimony might expose him to the possibility of criminal liability. The state then represented to the court that none of the questions it had posed, or intended to pose, would give rise to that possibility. The court therefore advised the plaintiff that, if he did not have a valid fifth amendment privilege and refused to testify, the court could find him in contempt, for [652]*652which he could receive jail time. The plaintiff responded: “I refuse to testify.” The court nonetheless gave the state permission to conduct further questioning. The state obtained one word responses to two questions as to whether the plaintiff previously had spoken with the state and whether the state had shown him the statement that he had given to the police. When the state asked the plaintiff to identify the statement, the plaintiff refused to respond, reiterated that he refused to testify, and repeatedly asserted that he did not want to respond to any of the state’s questions. After the state persisted, the plaintiff sought the court’s intervention. The court acquiesced to the state’s request for some leeway, and the state posed another question, to which the plaintiff responded: “What did I just tell you? I ain’t answering no questions, right?” The court declined the state’s request to hold the plaintiff in contempt at that time. Instead, it decided to appoint a public defender to advise the plaintiff and to take the matter up the following morning.
On July 27, 2006, Thomas Farver appeared as the plaintiffs counsel. Farver informed the court that, although he believed that the plaintiff did have a potentially valid fifth amendment privilege, that privilege did not relate directly to the charges in Roberts’ trial and, in any event, the plaintiff did not want to assert the privilege.3 The corut then stated to the plaintiff: “If you don’t claim it, you run the risk of me putting you in jail, and I will tell you, you could be sentenced on each refusal to answer a question for up to six months . . . .” The state then posed the same question that the plaintiff had refused to answer the previous day: “[D]o you know the defendant in this case . . . ?” The plain[653]*653tiff gave no response. The state asked the court to order the plaintiff to respond. After the court asked the plaintiff whether it was correct in understanding that he was not asserting a fifth amendment privilege as to this question, the plaintiff acknowledged that he knew Roberts.
The state next asked: “Did you see him . . . driving a black Acura Integra on April 16, 2005?” The plaintiff thrice stated, the latter two times in response to inquiries by the court, that he refused to answer that question. The court then asked: “Is there anything else you want to say before I impose sentence upon you for refusing to answer a direct order of the court to answer that question?” The plaintiff responded, “Yeah. I don’t want to be asked no more questions.” The court found the plaintiff in contempt and imposed a sentence of six months.
The state then continued questioning the plaintiff: “[D]id you see . . . the man sitting over there, without the glasses at the table, driving a black Acura Integra on Sunday morning, April 17, 2005?” The plaintiff twice refused to answer the question. The court ordered him to answer, explaining that the question “involves a separate date from the first one,” but the plaintiff still refused to answer the question. The court made a second finding of contempt and imposed another six month sentence, consecutive to the sentence previously imposed. The state then asked Farver for the record: “[Although I obviously know the answer to this question, is it your client’s intention to answer no further questions . . . ?” The plaintiff responded affirmatively. The trial court thereafter terminated the proceedings and rendered judgment of guilty on two counts of contempt in accordance with its findings.
In this writ of error that followed, the plaintiff contends that the second finding of contempt violated the [654]*654common law, as well as his constitutional rights to due process and to protection against double jeopardy. We conclude that the plaintiff is entitled to prevail on his common-law claim. Therefore, we need not reach the constitutional issues raised. See State v. Ritrovato, 280 Conn. 36, 50, 905 A.2d 1079 (2006) (recognizing that “[t]his court has a basic judicial duty to avoid deciding a constitutional issue if a nonconstitutional ground exists that will dispose of the case” [internal quotation marks omitted]).
Before turning to the issues presented, we note the parameters of our review. “The present case, which involves a review of a summary criminal contempt proceeding, comes before us on a writ of error which is the sole method of review of such proceedings. . . . The scope of our review reaches only those matters appearing as of record. ... In a review of summary criminal contempt, the inquiry is limited to a determination of the jurisdiction of the court below. . . . Subsumed in this inquiry are three questions, namely, (1) whether the designated conduct is legally susceptible of constituting a contempt ... (2) whether the punishment imposed was authorized by law . . . and (3) whether the judicial authority was qualified to conduct the hearing.” (Citations omitted; internal quotation marks omitted.) Martin v. Flanagan, 259 Conn. 487, 494, 789 A.2d 979 (2002).
I
We first must address a threshold question of mootness, which implicates this court’s jurisdiction to entertain the writ. Monsam v. Dearington, 82 Conn. App. 451, 455, 844 A.2d 927 (2004). While the writ of error was pending before this court, the plaintiff finished serving both sentences for contempt. Although the parties agree that no practical relief can be afforded from the sentence already served, they disagree as to whether [655]*655the collateral consequences doctrine applies to provide a basis for jurisdiction. We conclude that a conviction of criminal contempt warrants application of this doctrine.
“When, during the pendency of an appeal, events have occurred that preclude an appellate court from granting any practical relief through its disposition of the merits, a case has become moot.” (Internal quotation marks omitted.) State v. Preston, 286 Conn. 367, 374, 944 A.2d 276 (2008). “Where there is no direct practical relief available from the reversal of the judgment, as in this case, the collateral consequences doctrine acts as a surrogate, calling for a determination whether a decision in the case can afford the litigant some practical relief in the future.” (Internal quotation marks omitted.) Id., 382-83. Under this doctrine, “the court may retain jurisdiction when a litigant shows that there is a reasonable possibility that prejudicial collateral consequences will occur. . . . [T]he litigant must establish these consequences by more than mere conjecture, but need not demonstrate that these consequences are more probable than not.” (Citation omitted; internal quotation marks omitted.) Id., 382.
This court has not determined whether a record of criminal contempt alone gives rise to a reasonable possibility of prejudicial collateral consequences.4 The [656]*656Appellate Court has recognized, however, the possibility that such consequences may attach. See Monsam v. Dearington, supra, 82 Conn. App. 455. That court appeared to equate the consequences attendant to criminal contempt with those attendant to any other criminal conviction: “The writ of error is not moot in this case because collateral consequences from the judgment of contempt itself may arise in the future.
“ ‘It is well established that since collateral legal disabilities are imposed as a matter of law because of a criminal conviction, a case will not be declared moot even where the sentence has been fully served.’ Barlow v. Lopes, 201 Conn. 103, 112, 513 A.2d 132 (1986). . . . This case is not moot because the collateral consequences of a criminal conviction are legion, involving possible heavier penalties in the event of future convictions, and might affect a wide range of civil rights.” Monsam v. Dearington, supra, 82 Conn. App. 455-56. We generally agree with the Appellate Court’s reasoning.
“[O]ur precedents make clear that ‘a proceeding for [criminal] contempt, while it is of a criminal nature, is not a criminal prosecution.’ ” State v. Murray, 225 Conn. 355, 357 n.5, 623 A.2d 60, cert. denied, 510 U.S. 821, 114 S. Ct. 78, 126 L. Ed. 2d 46 (1993); see State v. Jackson, 147 Conn. 167, 169, 158 A.2d 166 (1960) (contempt is “an offense against the court as an organ of public justice and not for a violation of the criminal law”). Nonetheless, ‘‘[c]riminal contempt is a crime in the ordinary sense; Bloom v. Elinois, 391 U.S. 194, 201, 88 S. Ct. 1477, 20 L. Ed. 2d 522 (1968) . . . .” (Internal quotation marks omitted.) Banks v. Thomas, 241 Conn. 569, 590, 698 A.2d 268 (1997). Accordingly, this court [657]*657long has recognized that “[proceedings for the punishment of contempts should generally conform as nearly as possible to proceedings in criminal cases . . . McCarthy v. Hugo, 82 Conn. 262, 266, 73 A. 778 (1909); accord State v. Murray, supra, 357 n.5 (criminal contempt proceeding “requires most of the usual procedural protections inherent in a prosecution for a crime”). Like any other criminal conviction, a finding of criminal contempt results in a criminal record. See Doral Produce Corp. v. Paul Steinberg Associates, Inc., 347 F.3d 36, 44 (2d Cir. 2003). These principles support the conclusion that at least some of the prejudicial collateral consequences that flow from convictions in a criminal prosecution also are reasonably likely to flow from a criminal contempt conviction.5 See State v. Meyer, 31 Or. App. 775, 777 n.1, 571 P.2d 550 (1977) (appeal from contempt conviction not moot after sentence served because conviction had collateral consequences beyond jail term).
The state, however, asserts several arguments for distinguishing criminal contempt generally and the plaintiffs contempt specifically from the rationale for applying the collateral consequences doctrine to other criminal convictions. The state contends that a condemnor may file a motion to stay his contempt sentence to avoid mootness, and that criminal contempt records are not readily accessible. It further contends that the [658]*658plaintiff is unlikely to suffer prejudicial consequences from the challenged contempt order in employment contexts or in other court proceedings beyond any prejudice he would suffer from his other unchallenged contempt conviction and his other criminal convictions. We are not persuaded by the state’s arguments.
First, while it undoubtedly would be in a contemnor’s interest to file for a stay of a contested contempt sentence; see, e.g., State v. Banks, 59 Conn. App. 145, 147-48, 763 A.2d 1046 (2000); the state has pointed us to no authority holding that a party’s efforts to avoid mootness dictate whether the collateral consequences doctrine may apply. Cf. Hall v. Dichello Distributors, Inc., 6 Conn. App. 530, 538 n.9, 506 A.2d 1054 (noting that appellants might have avoided mootness question by filing motion for stay, but not holding that failure to do so bore on mootness determination), cert. denied, 200 Conn. 807, 512 A.2d 230 (1986). Second, even if we were to assume that a record of criminal contempt is not readily accessible to the public, it undoubtedly would be available to the courts in any proceeding in which the contemnor later appeared. See State v. Flanagan, 19 Kan. App. 2d 528, 529-30, 873 P.2d 195 (1994) (“We recognize that the judicial system is an integral part of American life, and a criminal contempt conviction cannot help but affect a defendant’s life if he or she appears before a judge who becomes aware of that conviction. That fact, and other possible collateral consequences of this conviction, are too obvious to declare this appeal moot simply because [the] defendant cannot be subjected to additional jail time.”). In addition, the lack of public access would not relieve the contemnor of the obligation to answer affirmatively to employment applications asking whether he has a criminal record. See Thompson v. United States, 690 A.2d 479, 485 (D.C. 1997) (“[A] criminal contempt conviction has serious consequences for the contemnor. If asked about a crimi[659]*659nal record on an employment application form, [the contemnor] is bound to disclose it.” [Internal quotation marks omitted.]). Third, we will not speculate as to the point at which a contemnor’s past criminal record becomes so weighty that we can assume that one contempt conviction would not tip the scales against the contemnor. Cf. Sibron v. New York, 392 U.S. 40, 56, 88 S. Ct. 1889, 20 L. Ed. 2d 917 (1968) (“It is impossible for this [c]ourt to say at what point the number of convictions on a man’s record renders his reputation irredeemable. And even if we believed that an individual had reached that point, it would be impossible for us to say that he had no interest in beginning the process of redemption with the particular case sought to be adjudicated.”). We therefore conclude that the writ of error is not moot.
II
We now turn to the issue presented in the writ, namely, whether it violated the common law for the trial court to find a second contempt. The plaintiff claims that his refusals to testify constituted one continuous act that was punishable only by a single finding of contempt. He contends that this continuous act was established by his blanket refusal to answer any questions. Alternatively, he claims that this continuous act was, at a minimum, an “area of refusal” that he had carved out with respect to testimony regarding his knowledge of Roberts’ activities around the time of the incident for which he was being tried. If narrower consideration is required, he points to his refusals to answer questions on the same subject—Roberts’ connection to a black Acura or his connection to the Acura on or about April 17, 2005—contending that the state cannot compound contempts by asking additional questions relating to the same subject on which the plaintiff already had refused to testify. The plaintiff contends that he preserved this claim for review, but requests [660]*660plain error review in the event that this court concludes otherwise. In response, the state asserts that this claim was not preserved and that plain error review is not appropriate because the issue is one of first impression under Connecticut common law. The state also contends that the plaintiff cannot prevail on the merits because his conduct was ambiguous, and he did not establish clearly the parameters of a purported area of refusal. We conclude that review of this claim is appropriate and that the trial court improperly found a second contempt.
A
We begin with the state’s objection to review of this claim on the ground that the plaintiff failed to raise it at trial. It is well settled that “[o]ur case law and rules of practice generally limit this court’s review to issues that are distinctly raised at trial. See, e.g., Ajadi v. Commissioner of Correction, 280 Conn. 514, 550, 911 A.2d 712 (2006) (declining to consider claim not raised before habeas court); State v. Fagan, 280 Conn. 69, 85-89, 905 A.2d 1101 (2006) (declining to review claim not preserved at trial) [cert. denied, 549 U.S. 1269, 127 S. Ct. 1491, 167 L. Ed. 2d 236 (2007)]; Practice Book § 60-5 (court not bound to consider claim unless distinctly raised at trial).” State v. Canales, 281 Conn. 572, 579, 916 A.2d 767 (2007). We conclude that the plaintiff preserved his claim for review.
Before the trial court rendered its second finding of contempt, Farver stated the following objection: “I understand that the likelihood is that the court will find us in contempt, but I think that . . . this question basically, it’s essentially the same fact scenario and it is just rewording the question, and under those circumstances I would ask the court not to impose a sentence that is consecutive to the prior contempt because it’s all one set of circumstances that’s being questioned [661]*661about, and obviously [the state] can ask the question fifteen different ways or more, and—it would be unfair to impose . . . any additional time for that." (Emphasis added.) The court responded: “I agree with that except we haven’t reached that point .... This is a separate date than the first question. They are both relevant. They are independently relevant, and while I am concerned about the possibility . . . you raise, this is not that situation.”
Although the objection was not stated particularly artfully and can be read to be internally inconsistent,6 [662]*662the plaintiff did assert the narrowest theory of the claim that he raises in this writ of error—namely, that he should not be punished for multiple contempts when the state was seeking to elicit essentially the same information, or information on the same subject, by posing the question differently. The trial court appears to have understood and rejected this argument because, in its view, multiple contempts were proper as long as the questions sought to elicit information that had any independent relevance. Under such circumstances, we can[663]*663not conclude that the plaintiff has ambushed the trial court by seeking reversal of an issue that he had failed to raise at trial. See State v. Fabricatore, 281 Conn. 469, 482, 915 A.2d 872 (2007) (“[t]o allow [a] defendant to seek reversal now that his trial strategy has failed would amount to allowing him to induce potentially harmful error, and then ambush the state [and the trial court] with that claim on appeal” [internal quotation marks omitted]). Although we are mindful that the plaintiff did not raise all of the theories that he raises in his writ as to why his conduct should be deemed a single act of contempt, those theories are related to a single legal claim. See State v. Mitchell, 169 Conn. 161, 168, 362 A.2d 808 (1975) (reaching ground not raised at trial because it was related to preserved claim raised on appeal), overruled in part on other grounds by State v. Higgins, 201 Conn. 462, 472, 518 A.2d 631 (1986); In re Jason S., 9 Conn. App. 98, 107-108, 516 A.2d 1352 (1986) (same); cf. Vine v. Zoning Board of Appeals, 281 Conn. 553, 569, 916 A.2d 5 (addressing alternate ground for affirmance not raised at trial because, inter alia, issue was “closely intertwined” with certified question), on remand, 102 Conn. App. 863, 927 A.2d 958 (2007); State v. Bethea, 24 Conn. App. 13, 17 n.2, 585 A.2d 1235 (reviewing issue not raised at trial but subsumed within issue raised), cert. denied, 218 Conn. 901, 588 A.2d 1076 (1991). Indeed, as the discussion in part IIB of this opinion demonstrates, there is substantial overlap between these theories under the case law. Therefore, the plaintiff has preserved this claim for review.
B
Accordingly, we now turn to the merits of the plaintiffs claim that his refusal to answer the question that led to the second contempt was part of a single, continuous act of contempt. Although we have not addressed this precise issue, we are guided by jurisprudence developed in the federal and state courts. The seminal case [664]*664in this area is Yates v. United States, 355 U.S. 66, 78 S. Ct. 128, 2 L. Ed. 2d 95 (1957). In that case, while testifying in her own defense on June 26, 1952, the petitioner was adjudged guilty of civil contempt after refusing to answer questions about whether a nonparty and a codefendant were members of the Communist party. Id., 68. The trial court ordered the petitioner to be committed to jail through the remainder of her trial unless she purged herself of the contempt by answering the questions. Id., 68-69. Prior to the court’s finding of contempt, the petitioner had explained that she could not be responsible for causing harm to others and that, “[h]ow-ever many times [she was] asked and in however many forms, to identify a person as a communist, [she could not] bring [her]self to do it . . . .” (Internal quotation marks omitted.) Id., 68. During further testimony on June 30, 1952, the petitioner refused to answer eleven questions that would have caused her to identify nine persons as members of the Communist party. Id., 69. She reiterated her previously stated rationale, but expressed willingness to answer similar questions as to others who would not be hurt by such identification and in fact provided such testimony. Id. The trial court treated each of the eleven refusals as a separate contempt and imposed one year terms of imprisonment for each, to run concurrently. Id., 70. On appeal, the petitioner claimed, inter aha, that “her several refusals to answer on both June 26 and June 30 constituted but a single contempt which was total and complete on June 26, so that imposition of contempt sentences for the June 30 refusals was in violation of due process.”7 [665]*665Id., 71. Specifically, she contended that she had “ ‘carved out’ ” an “area of refusal,” i.e., identifying others as communists. Id., 73.
In reversing ten of the eleven criminal contempt convictions, the United States Supreme Court explained: “A witness, of course, cannot ‘pick and choose’ the questions to which an answer will be given. The management of the trial rests with the judge and no party can be permitted to usurp that function. . . . However, it is equally clear that the prosecution cannot multiply contempts by repeated questioning on the same subject of inquiry within which a recalcitrant witness already has refused answers. See United States v. Orman, 207 F.2d 148 [(3d Cir. 1953)].8
[666]*666“Even though we assume the [government correct in its contention that the [eleven] questions in this case covered more than a single subject of inquiry, it appears that every question fell within the area of refusal established by [the] petitioner on the first day of her cross-examination. The [g]ovemment admits, pursuant to the holding of United States v. Costello, 198 F.2d 200 [(2d Cir.), cert. denied, 344 U.S. 874, 73 S. Ct. 166, 97 L. Ed. 677 (1952)], that only one contempt would result if [the petitioner] had flatly refused on June 26 to answer any questions and had maintained such a position. We deem it a fortiori true that where a witness draws the lines of refusal in less sweeping fashion by declining to answer questions within a generally defined area of interrogation, the prosecutor cannot multiply contempts by further questions within that area. The policy of the law must be to encourage testimony; a witness willing to testify freely as to all areas of investigation but one, should not be subject to more numerous charges of contempt than a witness unwilling to give any testimony at all.
“Having once carved out an area of refusal, [the] petitioner remained within its boundaries in all her sub[667]*667sequent refusals. The slight modification on June 30 of the area of refusal did not carry beyond the boundaries already established. Whereas on June 26 the witness refused to identify other persons as [c]ommunists, on June 30 she refused to do so only if those persons would be hurt by her identification. Although the latter basis is not identical to the former, the area of refusal set out by it necessarily fell within the limits drawn on June 26. We agree with [the] petitioner that only one contempt is shown on the facts of this case.
“That conclusion, however, does not establish [the] petitioner’s contention that no contempt whatsoever was committed by her refusal to answer the [eleven] questions of June 30. The contempt of this case, although single, was of a continuing nature: each refusal on June 30 continued the witness’ defiance of proper authority. Certainly a party who persisted in refusing to perform specific acts required by a mandatory injunction would be in continuing contempt of court. We see no meaningful distinction between that situation and [the] petitioner’s persistent refusal to answer questions within a defined area.” (Citation omitted.) Yates v. United States, supra, 355 U.S. 73-74.
To summarize, Yates recognized three circumstances in which multiple refusals to testify may be punished only as a single act of contempt: when the witness refuses to give any testimony at the outset and adheres to that refusal (blanket refusal); when the witness refuses to give testimony “within a generally defined area of interrogation” (area of refusal); id., 73; and when the witness refuses to answer questions relating to the same fact or subject of inquiry (subject of inquiry). Id. Although in Yates, the witness expressly had identified the subject matter on which she would not testify; id., 68; the court did not indicate whether such express identification is a necessary predicate to establishing [668]*668a single, continuous contempt for which only one punishment could be assessed.
The case law that has developed subsequent to Yates reflects that the courts have found these circumstances established under widely varied facts. For example, a court will conclude that a witness has established an area of refusal when she expressly has identified at the outset the subject on which she refuses to testify, as in Yates. See, e.g., United States v. Coachman, 752 F.2d 685, 689 (D.C. Cir. 1985); In re Keller, 49 Cal. App. 3d 663, 665-66, 123 Cal. Rptr. 223 (1975); In re Contempt Findings Against Schultz, 428 N.E.2d 1284, 1290-91 (Ind. App. 1981); People v. Riela, 7 N.Y.2d 571, 576-78, 166 N.E.2d 840, 200 N.Y.S.2d 43, appeal dismissed and cert. denied, 364 U.S. 474, 81 S. Ct. 242, 5 L. Ed. 2d 221 (1960). Some courts also appear to have concluded, however, that an area of refusal can be established when a witness makes no such express statement but her refusals to answer questions pertaining to the same subject matter gradually carve out an area of refusal. See, e.g., People v. Fields, 177 Ill. App. 3d 129, 136, 533 N.E.2d 48 (1988) (“[N]o absolute refusal to testify to any question occurred until [the] contemnor was ordered to state who accompanied him in the El Paso burglary. The court and the prosecutor were not required to assume that because [the] contemnor was willing to subject himself to contempt sanctions for refusal to answer that question, he was also willing to subject himself to punishment for refusal to [answer] a question as to how he entered the El Paso building. However, when [the] contemnor refused to testify as to whether [the defendant] participated in the El Paso burglary and later refused to tell how many people were with him in committing that burglary, [the] contemnor was refusing to answer questions encompassed by an area which had been ‘carved out’ by his previous refusals.”) (modified and reh. denied January 13, 1989); People v. Dercole, [669]*66972 App. Div. 2d 318, 335-36, 424 N.Y.S.2d 459 (1980) (“as each defendant refused to answer the questions ... as to whether he knew the named individuals he commenced carving out an area of refusal with reference to those persons and their activities, for having refused to acknowledge his acquaintance with them, it was obvious that he would decline to acknowledge familiarity with their alleged criminal dealings”), appeal dismissed, 52 N.Y.2d 956, 419 N.E.2d 869, 437 N.Y.S.2d 966 (1981); see also Baker v. Eisenstadt, 456 F.2d 382, 393 (1st Cir.) (“[t]he petitioner having refused to say whether he had met [the informant] in the fall of 1961 ... it seems clear a fortiori that he would continue to refuse to answer questions getting closer and closer to the target” [citation omitted; internal quotation marks omitted]), cert. denied, 409 U.S. 846, 93 S. Ct. 118, 34 L. Ed. 2d 87 (1972).
Most often, however, when the witness has not identified a subject on which she will not testify, the courts have considered whether the questions that the witness has refused to answer relate to the same subject of inquiry. The courts agree that only one contempt may be found when the questioner seeks to establish the same fact by repeating or rewording the question. See, e.g., United States v. Orman, supra, 207 F.2d 160; cf. People v. Saperstein, 2 N.Y.2d 210, 219, 140 N.E.2d 252, 159 N.Y.S.2d 160 (affirming conviction of five separate counts of contempt when defendant had refused to identify speakers in five separate telephone conversations), cert. denied, 353 U.S. 946, 77 S. Ct. 825, 1 L. Ed. 2d 856 (1957). Similarly, most courts seem to agree that only one contempt may be found when the questions could establish the same fact directly or by inference. See, e.g., United States v. Kamin, 135 F. Sup. 382 (D. Mass. 1955); Chance v. State, 382 So. 2d 801 (Fla. App. 1980); Fawick Airflex Co. v. United Electrical, Radio & Machine Workers of America, Local 735, C.I.O., 56 [670]*670Ohio L. Abs. 419, 426, 92 N.E.2d 431, appeal dismissed, 154 Ohio St. 206, 93 N.E.2d 480 (1950). Other courts conclude that only one contempt may be found even when the questions relate to a broadly defined incident or interconnected but independently relevant facts. See, e.g., In re Contempt of Armentrout, 480 N.W.2d 685, 689 (Minn. App. 1992); State v. Case, 100 N.M. 173, 175, 667 P.2d 978 (App. 1983); State v. Urioste, 95 N.M. 712, 715-16, 625 P.2d 1229 (App. 1980). The United States Court of Appeals for the First Circuit has criticized the varying applications of the subject of inquiry approach, noting: “The rationale of the decided cases is most often descriptive of the result reached rather than of prescriptive value for future cases. . . .
“While such a conclusory formulation as single subject or single line of inquiry, or same subject matter may be sufficient to describe the disposition of cases in which a prosecutor has simply reframed in various forms a question addressed to whether the witness was a [c]ommunist, it is less helpful when different but additionally relevant and interconnected facts are sought to be elicited. The concept of a single subject is frastratingly open-ended, there being infinite ways of categorizing information in terms of time, place, incident, transaction, people, etc. Moreover, the use of such phrases as single subject as the basis for defining a contumacious refusal to testify involves the invocation of a wooden rubric devoid of any relation to policy.” (Citations omitted; internal quotation marks omitted.) Baker v. Eisenstadt, supra, 456 F.2d 390-91.
We agree with the aforementioned policy considerations. Although a witness cannot pick and choose which questions to answer, repeated refusals to testify in the course of the same proceeding should not be treated as more than a single act of criminal contempt when the witness refuses to answer any questions at all or, alternatively, multiple questions that relate to a single [671]*671subject. We also agree with the First Circuit’s criticism, however, that a retrospective identification of a subject of inquiry is too elastic a concept. That approach undermines two policy considerations. First, it could lead to inconsistent results and implicate the often voiced concerns about the potential for abuse of the contempt power. See Bloom v. Illinois, supra, 391 U.S. 202 (“The court has long recognized the potential for abuse in exercising the summary power to imprison for contempt .... [C]are is needed to avoid arbitrary or oppressive conclusions.” [Citation omitted; internal quotation marks omitted.]); Banks v. Thomas, supra, 241 Conn. 588 (“[T]he United States Supreme Court has indicated that it is wary of the [summary contempt] power and cognizant of its potential for abuse. It, therefore, became established early in American jurisprudence that contempt limits a court in such cases to the least possible power adequate to the end proposed.” [Internal quotation marks omitted.]). Second, it is unfair to the trial courts to apply a standard that can be viewed effectively only in retrospect. The proponent of the questions knows the subjects on which she intends to elicit testimony, and the witness knows the subjects on which he will refuse to testify. The trial court, however, does not have the benefit of such knowledge as the questions and refusals take place. Unlike the trial courts, appellate courts have the advantage of a perspective gained in hindsight, viewing in concert the totality of the unanswered questions.
In a related context, this court cautioned: “Although endowed with the authority to impose consecutive sentences of contempt for consecutive incidents of misconduct, the trial court should ordinarily temper its recourse to that power with the exercise of judicial restraint. Whenever possible, the trial court should rely on its superior ability to defuse confrontation in lieu of invoking its power to impose sanctions for contempt.” [672]*672Jackson v. Bailey, 221 Conn. 498,512-13, 605 A.2d 1350, cert. denied, 506 U.S. 875, 113 S. Ct. 216, 121 L. Ed. 2d 155 (1992).9 Therefore, we conclude that, in order to avoid arbitrary results, encourage testimony and defuse confrontation, the trial court should conduct an inquiry when a witness refuses to provide testimony, whether that refusal is by way of a blanket refusal, an area of refusal or a single refusal that ultimately may relate to a broader subject of inquiry. By first determining the subjects on which the proponent intends to question the witness and then the extent to which the witness refuses to testify as to those matters, the court has information at the outset to assess the ensuing proceedings. If the witness states an intention to refuse to answer any questions or questions relating to a particular subject of inquiry, and acts consistently with that position, only one contempt may be found. A witness may not, however, pick and choose questions or subjects of inquiry to answer. If the witness’ testimony is [673]*673not consistent with her initial representations to the court, the trial court properly may consider the refusals as separate acts of contempt to the extent necessary to manage the courtroom proceedings. Moreover, trial courts still have the remedy of civil contempt available to them. See General Statutes § 51-35 (a) (“[a]ny court or family support magistrate may commit to a community correctional center any person legally summoned who refuses to appear and testify before it in any case, there to remain at his own expense until he so testifies”); see also Ullmann v. State, 230 Conn. 698, 706, 647 A.2d 324 (1994) (“a refusal to testify may, at the discretion of the trial judge, be the ground for finding either civil or criminal contempt depending on the exigencies of a particular situation”).
Turning to the present case, although the trial court did not inquire as to the state’s intent, the court did conduct an inquiry of the plaintiff, who declared at the outset that he did not intend to provide any testimony relative to the criminal charges against Roberts. At the July 26 hearing, after the trial court informed the plaintiff that he likely did not have a valid fifth amendment privilege and therefore could be subjected to a finding of contempt, the plaintiff responded to the state’s questions that he “refuse [d] to testify” and did not want to answer “none of your questions.” In the exchange that immediately followed, the plaintiff emphasized that he previously had informed the state that he wanted nothing to do with “this,” which clearly meant the case being brought against Roberts, and still held that position. Upon questioning by the court, the plaintiff plainly indicated that he did not intend to answer any questions.10
[675]*675The next day, the plaintiff refused to answer eveiy question posed to him except to affirm that he knew Roberts. We note that this response was obtained only after the court incorrectly instructed the plaintiff that he could be sentenced up to six months for every question that he refused to answer. More significantly, however, that one response was entirely consistent with the plaintiffs stated intention not to answer any questions related to the case against Roberts. Before the court made the first finding of contempt, the plaintiff unequivocally reiterated his position: “I don’t want to be asked no more questions.” He then refused to answer the next question that resulted in the second finding of contempt.
Because the subject on which the plaintiff refused to provide testimony was the only subject matter on which the state sought to elicit substantive testimony, the plaintiffs refusals can be viewed broadly—as either a blanket refusal or as an area of refusal regarding testimony relating to the case against Roberts. In this case, it is a distinction without a difference. Cf. State v. Verdugo, 124 Ariz. 91,94,602 P.2d 472 (1979) (“Although [the contemnor’s] refusals to answer propounded questions were contemptuous, his actions constituted only one contempt. It was known to counsel before [the contemnor] was called that he would refuse to testify. ”); [676]*676In re Keller, supra, 49 Cal. App. 3d 668 (witness “specifically advised the judge, as he had advised the prosecutor before trial, that he was not going to testify ‘regarding the incident,’ which can only reasonably be interpreted to be a refusal to testify as to any matter concerning his perceptions of the crime for which the defendant was being tried”). Indeed, the issue is not whether the two unanswered questions that led to the contempts had independent relevance because they related to different days, as the trial court concluded. Rather, it is whether, after the plaintiff refused to answer the question seeking to link Roberts to the Acura the day before the shooting, the state reasonably could have believed that he would answer the question seeking to link Roberts to the Acura the day of the shooting. The state reasonably should have known, however, that the plaintiff “would . . . refuse to answer questions getting closer and closer to the target.” Baker v. Eisenstadt, supra, 456 F.2d 393. We conclude that the trial court improperly found two contempts for a single, continuous act of contempt.
The writ of error is granted, the judgment is reversed in part, and the case is remanded with direction to vacate the second judgment of contempt.
In this opinion ROGERS, C. J., and KATZ, J., concurred.