Opinion
BEAR, J.
The plaintiff, Robert Simms, appeals from the judgment of the trial court rendered in favor of the defendants Penny Q. Seaman, Susan A. Moch, Kenneth J. Bartschi, Brendon P. Levesque and Karen L. Dowd.1 On appeal, the plaintiff claims that the court improperly struck the claims for fraud and intentional infliction of emotional distress filed against the defendants on the ground of absolute immunity and, thereafter, improperly rendered judgment in favor of the defendants. We affirm the judgment of the trial court.
The following facts as alleged in the plaintiffs amended complaint are relevant to our resolution of the appeal.2 The plaintiff and Donna Simms were married from 1961 until 1979, when they divorced and the plaintiff was ordered to pay periodic alimony. The plaintiff filed a motion to modify the alimony payments on November 29, 2004, which was granted by the court. Donna Simms appealed from that judgment, and, on August 14, 2007, our Supreme Court reversed the judgment and remanded the case to the trial court for further proceedings. Simms v. Simms, 283 Conn. 494, 510, 927 A.2d 894 (2007).
From late 2005 until approximately August 14, 2007, Bartschi, Levesque and Dowd represented Donna Simms in her appeal to the Supreme Court.
[654]*654Moch represented Donna Simms during the years 2006 and 2007. During that time, Moch filed at least one motion for pendente lite counsel fees in the Superior Court on behalf of Donna Simms. Seaman represented Donna Simms in the Superior Court from approximately March, 2007, until October 17, 2008. All defendants failed to disclose the true financial circumstances of Donna Simms.
Throughout the periods that the defendants represented Donna Simms, they affirmatively represented to the Superior Court and to the Supreme Court that Donna Simms “was in highly disadvantaged economic circumstances” and that the plaintiff should “be compelled to pay substantial sums of money to Donna Simms for her necessary support and maintenance.”3 The defendants made such representations despite knowing that Donna Simms had become the beneficiary of a substantial bequest from her uncle, Albert Whittington Hogeland.4 In June, 2006, Donna Simms received approximately $310,000 from Hogeland’s estate, and, in February, 2008, she received another $49,000. Despite the defendants’ affirmative obligation to disclose these assets to the courts, they intentionally concealed this information, until, under orders from the trial court, Seaman, on May 27, 2008, finally disclosed the information.
On October 17, 2008, the trial court ruled that such information concerning the inheritance of Donna [655]*655Simms improperly had been concealed from the court and from the plaintiff. The wrongful concealment of this financial information caused the plaintiff to incur more than $400,000 in legal expenses and other costs and expenses, including travel, medical expenses, loss of income and loss of investment value. Additionally, the plaintiff has suffered severe emotional distress because of these events.
The plaintiff filed an amended complaint in the Superior Court on June 19, 2009. Counts one and four were brought against Seaman for fraud and intentional infliction of emotional distress, respectively. Counts two and five were brought against Moch for fraud and intentional infliction of emotional distress, respectively. Counts three and six were brought against Bartschi, Levesque and Dowd for fraud and intentional infliction of emotional distress, respectively.5 The defendants filed motions to strike these counts of the complaint on the ground of absolute immunity or privilege and on the alternate ground of failure to state a claim. The court, concluding that such claims against attorneys for conduct that occurred during judicial proceedings were barred as a matter of law by the doctrine of absolute immunity, granted the motions. The court upon motion, thereafter, rendered judgment in favor of the defendants. This appeal followed.
On appeal, the plaintiff claims that the court improperly struck the claims for fraud and intentional infliction of emotional distress filed against the defendants on the ground of absolute immunity and, thereafter, improperly rendered judgment in favor of the defendants. Specifically, the plaintiff claims that the court “erred in holding as a matter of law that attorneys are [656]*656absolutely immune to suits for money damages for frauds and extreme and outrageous acts causing severe emotional distress perpetrated in their roles as adversary attorneys.” The defendants argue that the court properly concluded that the claims, which stemmed from alleged misrepresentations and omissions that occurred in connection with judicial proceedings, are barred by the doctrine of absolute immunity. In the alternative, the defendants have presented alternate grounds for affirming the court’s judgment; see Practice Book § 63-4 (a) (1) (A); arguing that the claims fail to state a cause of action for fraud or for the intentional infliction of emotional distress. Bartschi, Levesque and Dowd also raise as alternate grounds for affirmance that they, as appellate counsel for Donna Simms, did not owe a duty to disclose her inheritance and that their alleged conduct did not result in any damages to the plaintiff. After considering the relevant interests, we conclude that the plaintiffs claims against the defendant attorneys are barred by the doctrine of absolute immimity, also known as the litigation privilege.
Initially, we set forth the appropriate standard of review. “In an appeal from a judgment granting a motion to strike, we operate in accordance with well established rules. ... A motion to strike challenges the legal sufficiency of a pleading . . . and, consequently, requires no factual findings by the trial court. As a result, our review of the [trial] court's ruling is plenary. . . . We take the facts to be those alleged in the complaint that has been stricken and we construe the complaint in the manner most favorable to sustaining its legal sufficiency. . . . [I]f facts provable in the complaint would support a cause of action, the motion to strike must be denied. . . . Thus, we assume the truth of both the specific factual allegations and any facts fairly provable thereunder. In doing so, moreover, we read the allegations broadly . . . rather than narrowly. [657]*657... If facts provable in the complaint would support a cause of action, the motion to strike must be denied.” (Citations omitted; internal quotation marks omitted.) Sturm v. Harb Development, LLC, 298 Conn. 124, 129-30, 2 A.3d 859 (2010).
In this case, the court, ruling orally, stated: “[T]he law of lawyer immunity as set forth in Petyan v. Ellis, [200 Conn. 243, 245, 510 A.2d 1337 (1986)] ... is that the . . . law of lawyer immunity from the civil process is absolute, and I . . . just don’t see the exception for it that [the plaintiffs counsel] does. And, of course, lawyers have been accused . . . sometimes rightly, sometimes wrongly, of concealing evidence and fraudulently making claims for a very long time, but this rule has been unvarying, and, you know, frankly, my own view, for what it’s worth, is that the courts could not function within it, which is not to say that lawyers may not be subject to appropriate discipline, professional discipline for . . . imposing a fraud on the court. That may veiy well be the case, but that is the path the law has chosen. ... I just view the rule of Petyan v. Ellis as absolute, and what I’m going to do in each case is . . . simply grant the motion[s] citing Petyan v. Ellis
The plaintiff argues that Petyan and the cases related to it concern defamation claims brought against attorneys and that such cases are not relevant here because we are concerned with intentional fraudulent conduct perpetrated on the court and on the plaintiff. He also argues that those cases “concern statements directed against the plaintiff in the subsequent litigation while the present case concerns fraud upon the court, which had the intended result of injuring the plaintiff.” Furthermore, he contends, “there is nothing in the public policy of this state as articulated by the published decisions [that] precludes the imposition of liability upon [658]*658lawyers who engage in the sorts of intentionally fraudulent conduct alleged here.” Finally, the plaintiff argues that this case is less akin to Petyan and more akin to Mozzochi v. Beck, 204 Conn. 490, 497, 529 A.2d 171 (1987), in which our Supreme Court stated that, under certain circumstances, third party abuse of process claims may be brought against attorneys. We are not persuaded by the plaintiffs arguments.
In Mozzochi v. Beck, supra, 204 Conn. 490, the primary case relied on by the plaintiff, our Supreme Court reiterated that it has granted absolute immunity to attorneys who made allegedly defamatory statements in the course of a judicial proceeding. The court noted that “[b]ecause litigants cannot have such access without being assured of the unrestricted and undivided loyalty of their own attorneys, we have afforded to attorneys, as officers of the court, absolute immunity from liability for allegedly defamatory communications in the course of judicial proceedings.” Id., 494-95. The plaintiff relies on one statement in the Mozzochi case to support his position, and he argues that “if any prior case governs the result here, it is Mozzochi v. Beck, [supra, 495] in which the court held: ‘Accordingly, we conclude that an attorney may be sued for misconduct by those who have sustained a special injury because of an unauthorized use of legal process.’ ” He provides no further analysis as to why this case might control and little analysis as to why immunity does not apply to a fraud claim against opposing counsel on the facts of this case other than stating that there is no policy that would prohibit it.6
[659]*659Initially, insofar as the plaintiff argues that the defendants should not be afforded immunity for their “fraud on the court,” our Supreme Court very clearly has held that Connecticut does not recognize a cause of action for “fraud on the court” under the circumstances of this case. As explained in Suffield Development Associates Ltd. Partnership v. National Loan Investors, L.P., 260 Conn. 766, 779, 802 A.2d 44 (2002): “[I]n the context of marital dissolution, the concept of fraud on the court is confined to situations where both parties join to conceal material information from the court. . . . That is not the situation in the present case. Second, in all contexts, when one party has made fraudulent representations to a court, or caused a court to be misled in some way, it could be said generally that the party has committed fraud on the court. . . . The statutory remedy for fraud on the court is that the Superior Court may grant a new trial for reasonable cause; General Statutes § 52-270 (a);7 which includes every cause for which a court of equity could grant a new trial, such as, for example, fraud, accident and mistake.” (Citations omitted; internal quotation marks omitted.) Accordingly, insofar as the plaintiff alleges a fraud on the court in the context of this civil litigation, such a claim is not viable under Connecticut law.
“[I]n the marital litigation context, [the] difference between a fraud on the court arid a fraud on the adverse party . . . lies ... in the nature of the conduct of the parties.” Billington v. Billington, 220 Conn. 212, 224, 595 A.2d 1377 (1991). “Indeed, whenever one party has submitted a fraudulent financial affidavit with intent to induce the other party to rely thereon, it could be said [660]*660that he intended the court to rely thereon as well and thereby has, in some sense, ‘defrauded’ the court. Applying the ‘fraud on the court’ doctrine in such a case, however, would relieve the moving party from satisfying the remaining limitations on the granting of relief from a marital judgment secured by fraud . . . and would render those limitations superfluous.” (Citation omitted.) Id.
“In Connecticut, the distinction between ‘fraud on the court’ and ‘fraud on an adverse party’ has received little discussion. In Billington . . . the Supreme Court concluded that there exists a distinction between ‘fraud on the court’ and ‘fraud on an adverse party’ in the marital litigation context, in that ‘fraud on the court’ is limited to instances in which ‘both parties join to conceal material information from the court.’ Id., 225. Once outside the marital context, however, the two concepts appear to receive similar treatment. In [Varley v. Varley, 180 Conn. 1, 428 A.2d 317 (1980)], the defendant alleged that ‘the trial was tainted by (a) false testimony; (b) bribery; (c) misconduct of counsel; and (d) misconduct of the state referee.’ [Id., 2 n.10].
“Although these allegations befit the ‘fraud on the court’ doctrine, at least according to federal definition, the Varley court referred only to the defendant’s claim as that of fraud, lux Billington, the court concluded that it was not ‘fraud on the court’ but ‘fraud on an adverse party’ when one party submitted a fraudulent affidavit with the intent to induce the other party to rely on it and that the moving party [seeking to open the judgment] should be required to satisfy the limitations of Varley.8 [661]*661Billington v. Billington, supra, 220 Conn. 224-25.” Duart v. Dept. of Correction, 116 Conn. App. 758, 771-72 n.9, 977 A.2d 670, cert. granted, 293 Conn. 937, 981 A.2d 1078 (2009).
Here, the plaintiff is not seeking to open a judgment allegedly seemed by fraud. Indeed, he admits that the court was aware of the alleged fraud before rendering a final decision on his motion for modification of alimony, after remand from our Supreme Court, and that it “ruled that information concerning the inheritance of Donna Simms had been improperly concealed by counsel from the court and from [the plaintiff].” The plaintiff now has filed a separate common-law action for fraud, seeking, in relevant part, to hold opposing counsel liable for their alleged fraudulent conduct during proceedings related to the plaintiffs motion for modification. The trial court, however, in deciding the defendants’ motions to strike, has determined that such claims are barred by the doctrine of absolute immunity. We agree.9
[663]*663“The doctrine of absolute immunity as applied to statements made in the context of judicial and quasi-judicial proceedings is rooted in the public policy of [665]*665encouraging witnesses, both complaining and testimonial, to come forward and testify in either criminal or civil actions. The purpose of affording absolute immunity to those who provide information in connection with judicial and quasi-judicial proceedings is that in certain situations the public interest in having people speak freely outweighs the risk that individuals will occasionally abuse the privilege by making false and malicious statements.” (Internal quotation marks omitted.) Rioux v. Barry, 283 Conn. 338, 343, 927 A.2d 304 (2007).
“[A]bsolute immunity in defamation . . . presents a conflict or antinomy between two principles equally regarded by the law—the right of the individual, on one hand, to enjoy his reputation unimpaired by defamatory attacks, and, on the other hand, the necessity, in the public interest, of a free and full disclosure of facts in the conduct of the legislative, executive and judicial departments of government. . . . With respect to statements made in the course of a judicial proceeding, it is widely accepted that the public’s interest in the unhampered operation of the government, when exercising [its judicial] functions, outweighs an individual’s interest in the preservation of reputation. . . . Accordingly, we consistently have held that a statement is absolutely privileged if it is made in the course of a judicial proceeding and relates to the subject matter of that proceeding.” (Citations omitted; internal quotation marks omitted.) Gallo v. Barile, 284 Conn. 459, 470, 935 A.2d 103 (2007).
“Ultimately, however, the issue is whether the public interest is advanced by affording . . . statements absolute immunity .... Indeed, this court candidly has observed that, in determining whether a statement is made in the course of a judicial proceeding, it is important to consider whether there is a sound public [666]*666policy reason for permitting the complete freedom of expression that a grant of absolute immunity provides. ... In other words, whether and what form of immunity applies in any given case is a matter of policy that requires a balancing of interests.” (Citation omitted; internal quotation marks omitted.) Id., 471, quoting Rioux v. Barry, supra, 283 Conn. 346.
In Mozzochi v. Beck, supra, 204 Conn. 490, our Supreme Court stated that attorneys who made allegedly defamatory comments in the course of a judicial proceeding were absolutely immune from suit. The court explained that “[b]ecause litigants cannot have such access without being assured of the unrestricted and undivided loyalty of their own attorneys, we have afforded to attorneys, as officers of the court, absolute immunity from liability for allegedly defamatory communications in the course of judicial proceedings.10 [667]*667. . . For other causes of action, however, the exigencies of the adversary system have not been deemed to require absolute immunity for attorneys. We have assumed, without discussion, that an attorney may be sued in an action for vexatious litigation, arguably because that cause of action has built-in restraints that minimize the risk of inappropriate litigation.” (Citations omitted.) Id., 494-95.
In Rioux, our Supreme Court explained that “in the context of a [judicial or] quasi-judicial proceeding, absolute immunity does not attach to statements that provide the ground for the tort of vexatious litigation, but does bar a suit alleging that those same statements constituted an intentional interference with contractual or beneficial relations.” Rioux v. Barry, supra, 283 Conn. 343. The court explained that it reached this conclusion on the basis of the fundamental purpose that underlies the doctrine of absolute immunity. The court explained: “The doctrine of absolute immunity as applied to statements made in the context of judicial and quasi-judicial proceedings is rooted in the public policy of encouraging witnesses, both complaining and testimonial, to come forward and testify in either criminal or civil actions. The purpose of affording absolute immunity to those who provide information in connection with judicial and quasi-judicial proceedings is that in certain situations the public interest in having people [668]*668speak freely outweighs the risk that individuals will occasionally abuse the privilege by making false and malicious statements. . . . Chadha v. Charlotte Hungerford Hospital, 272 Conn. 776, 786, 865 A.2d 1163 (2005); Petyan v. Ellis, [supra, 200 Conn. 246]. [T]he possibility of incurring the costs and inconvenience associated with defending a [retaliatory] suit might well deter a citizen with a legitimate grievance from filing a complaint. . . . Craig v. Stafford Construction, Inc., 271 Conn. 78, 95, 856 A.2d 372 (2004). Put simply, absolute immunity furthers the public policy of encouraging participation and candor in judicial and quasi-judicial proceedings. This objective would be thwarted if those persons whom the common-law doctrine was intended to protect nevertheless faced the threat of suit. In this regard, the purpose of the absolute immunity afforded participants in judicial and quasi-judicial proceedings is the same as the purpose of the sovereign immunity enjoyed by the state. Chadha v. Charlotte Hungerford Hospital, supra, 787. As a result, courts have recognized absolute immunity as a defense in certain retaliatory civil actions in order to remove this disincentive and thus encourage citizens to come forward with complaints or to testify.” (Internal quotation marks omitted.) Rioux v. Barry, supra, 343-44.
The court then considered whether claims of vexatious litigation and intentional interference with contractual or beneficial relations fall under the absolute immunity doctrine. Id., 344. The court explained that “the fact that the tort of vexatious litigation . . . employs a test that balances the need to encourage complaints against the need to protect the injured party’s interests counsels strongly against a categorical or absolute immunity from a claim of vexatious litigation. . . . Vexatious litigation requires a plaintiff to establish that: (1) the previous lawsuit or action was initiated or procured by the defendant against the plaintiff; (2) the [669]*669defendant acted with malice, primarily for a purpose other than that of bringing an offender to justice; (3) the defendant acted without probable cause; and (4) the proceeding terminated in the plaintiffs favor. . . . [F]or purposes of the tort of vexatious litigation, the previous litigation that terminated in the plaintiffs favor may be an administrative, rather than a judicial, proceeding. . . . These stringent requirements provide adequate room for both appropriate incentives to report wrongdoing and protection of the injured party’s interest in being free from unwarranted litigation. Thus, because the tort of vexatious litigation strikes the proper balance, it is unnecessary to apply an additional layer of protection to would-be litigants in the form of absolute immunity.” (Citations omitted.) Id., 347.
The Rioux court then went on to apply this same analytical framework to the issue of whether absolute immunity bars a claim of intentional interference with contractual or beneficial relations. Rioux v. Barry, supra, 283 Conn. 350. The court explained: “First, the underlying purpose of absolute immunity applies just as equally to [the tort of intentional interference with contractual or beneficial relations] as it does to the tort of defamation. Second, this tort does not contain within it the same balancing of relevant interests that are provided in the tort of vexatious litigation. Third, the elements of intentional interference with contractual or beneficial relations do not provide the same level of protection against the chilling of a witness’ testimony as do the elements of vexatious litigation. A claim for intentional interference with contractual relations requires the plaintiff to establish: (1) the existence of a contractual or beneficial relationship; (2) the defendant’s knowledge of that relationship; (3) the defendant’s intent to interfere with the relationship; (4) that the interference was tortious; and (5) a loss suffered by the plaintiff that was caused by the defendant’s tortious [670]*670conduct. . . . These elements simply do not have the same stringency as those that are the hallmark of the elements of a claim for vexatious litigation. For this reason, insofar as the balancing that applies, this tort is more like defamation than vexatious litigation. Therefore, the same balancing test applies to it as applies to defamatory statements: if made in the course of a judicial or quasi-judicial proceeding, they are absolutely immune.” (Citations omitted.) Id., 350-51.
We conclude that this same reasoning applies in the present case to bar the plaintiffs suit for common-law fraud based on statements or omissions made by counsel in the course of a judicial proceeding. The stringent requirements that are needed to maintain a vexatious litigation suit; see id., 347; or a suit for abuse of process simply are not present in connection with the fraud counts at issue in this case, which are based on alleged misstatements or failures to make required statements during proceedings in court where, in the event of an attorney’s violation of his or her responsibilities to the court, counsel or the parties, the court may impose suitable sanctions. See, e.g., Wyszomierski v. Siracusa, 290 Conn. 225, 234-36, 963 A.2d 943 (2009); Millbrook Owners Assn., Inc. v. Hamilton Standard, 257 Conn. 1, 9-11, 776 A.2d 1115 (2001); CFM of Connecticut, Inc. v. Chowdhury, 239 Conn. 375, 393, 685 A.2d 1108 (1996), overruled in part on other grounds by State v. Salmon, 250 Conn. 147, 154-55, 735 A.2d 333 (1999) (en banc); see also Fattibene v. Kealey, 18 Conn. App. 344, 358-60, 558 A.2d 677 (1989). As explained in Taylor v. McNichols, 243 P.3d 642 (Idaho 2010), “a lack of civil redress does not mean immunity from consequence and punishment. . . . [0]ur Rules of Civil Procedure, our Rules of Professional Conduct, and the court’s inherent authority provide adequate safeguards to protect against abusive and frivolous litigation tactics.” (Internal quotation marks omitted.) Id., 658.
[671]*671Public policy does not bar by absolute immunity claims of vexatious litigation against opposing counsel because there are built-in hurdles and restraints in that cause of action that minimize the risk of inappropriate litigation; see Mozzochi v. Beck, supra, 204 Conn. 495; while still providing incentives to report wrongdoing. See Rioux v. Barry, supra, 283 Conn. 347. This balance is crucial. Before a potential plaintiff may bring a claim for vexatious litigation, he must have been the defendant in a previous suit that was initiated with malice and without probable cause, and that suit must have been decided in his favor. See id. The tort of abuse of process has similar stringent requirements. Such restraints against inappropriate litigation are not present in connection with the fraud counts alleged in this case.
“The essential elements of an action in common law fraud . . . are that: (1) a false representation was made as a statement of fact; (2) it was untrue and known to be untrue by the party making it; (3) it was made to induce the other party to act upon it; and (4) the other party did so act upon that false representation to his injury. . . . Under a fraud claim of this type, the party to whom the false representation was made claims to have relied on that representation and to have suffered harm as a result of the reliance.” (Citation omitted; internal quotation marks omitted.) Suffield Development Associates Ltd. Partnership v. National Loan Investors, L.P., supra, 260 Conn. 777-78. Much like the claim for intentional interference with contractual or beneficial relations in Rioux, the common-law fraud counts in the present case are more like defamation causes of action than vexatious litigation causes of action. Applying the Rioux balancing test to this case, there are not sufficient built-in restraints to prevent unwarranted litigation while, at the same time, encouraging attorneys to provide full and robust representation of their clients and to provide such clients with [672]*672their unrestricted and undivided loyalty. See Mozzochi v. Beck, supra, 204 Conn. 497. Although the dissent argues that the built-in restraint for claims of fraud against opposing counsel arising from acts or omissions during litigation is the heightened burden of proof required to prove the case; the burden of proof, whatever it might be for a particular cause of action, does not minimize the risk of unwarranted litigation, which is one of the key policy reasons for applying the immunity doctrine. See Rioux v. Barry, supra, 283 Conn. 348.
Were a cause of action for fraud against opposing counsel for alleged acts or omissions during the course of litigation permitted, it is foreseeable that in virtually every case a lawyer would know something about his client or the case that the opposing party would think is important to the case. If opposing counsel is not protected by immunity as explained in Rioux, there would be little or no disincentive to stop a disgruntled or unhappy opposing party from suing counsel for fraud for failing to disclose this information. As with the tort of defamation, there are no safeguards to prevent unwarranted ligation, and it certainly is foreseeable that allowing such a cause of action to commence would have a chilling effect on the attorney-client relationship and on an attorney’s zealous representation of his or her client. Therefore, we conclude in this case, much like our Supreme Court did when considering the claim for intentional interference with contractual or beneficial relations in Rioux, that the result of the balancing test applied to the fraud claims at issue is that the defendants’ misstatements or omissions in making required statements are more akin to defamatory statements, and, thus, “if made in the course of a judicial or quasi-judicial proceeding, they are absolutely immune.”11 Id., 351.
[673]*673Furthermore, we also note: “While no civil remedies can guard against lies, the oath and the fear of being charged with perjury are adequate to warrant an absolute privilege for a witness’ statements. Parties or their counsel who behave outrageously are subject to punishment for contempt of the court. Parties and their counsel who abuse the process by bringing unfounded actions for personal motives are subject to civil liability for vexatious suit or abuse of process.” DeLaurentis v. New Haven, 220 Conn. 225, 264, 597 A.2d 807 (1991). Additionally, attorneys who engage in fraudulent acts or other similarly serious acts of misconduct during the course of their in-court representation of clients may be subject to a number of possible sanctions, including disbarment. See, e.g., Statewide Grievance Committee v. Burton, 282 Conn. 1, 5, 917 A.2d 966 (2007); Burton v. Mottolese, 267 Conn. 1, 16-17, 835 A.2d 998 (2003), cert. denied, 541 U.S. 1073, 124 S. Ct. 2422, 158 L. Ed. 2d 983 (2004); Briggs v. McWeeny, 260 Conn. 296, 335-36, 796 A.2d 516 (2002); Henry v. Statewide Grievance Committee, 111 Conn. App. 12, 21, 957 A.2d 547 (2008); Statewide Grievance Committee v. Egbarin, 61 Conn. App. 445, 450, 767 A.2d 732, cert. denied, 255 Conn. 949, 769 A.2d 64 (2001); Statewide Grievance Committee v. Fountain, 56 Conn. App. 375, 379-80, 743 A.2d 647 (2000).
In summary, the essence of the plaintiffs allegations is that in the postjudgment court proceedings between the plaintiff and his former spouse, the defendant attorneys misstated or failed to state material facts in circumstances when required to do so, and that such conduct [674]*674resulted in the defrauding of the plaintiff. The actions complained of thus are quite similar to the making of statements in court proceedings that are alleged to be defamatory. A misstatement in court in a pending case, or an omission when information should be provided to the court, is different in scope from the filing of counts in a complaint with malice and without probable cause or from the abuse of process in connection with initiating such a suit and, thus, improperly invoking the power of the court against an adversary. There is a strong public policy that seeks to ensure that attorneys provide full and robust representation to their clients and that they provide such clients with their unrestricted and undivided loyalty. See Mozzochi v. Beck, supra, 204 Conn. 497. A cause of action that might inhibit such representation must have built-in restraints to prevent unwarranted litigation. See Rioux v. Barry, supra, 283 Conn. 348. Such restraints are not present in this case.
On the basis of the foregoing analysis, we conclude that the court properly granted the defendants’ motions to strike.
The judgment is affirmed.
In this opinion STOUGHTON, J., concurred.