King. v. Hubbard ( 2023 )


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    LAURA KING ET AL. v. MATTHEW HUBBARD
    (AC 44600)
    Moll, Suarez and Seeley, Js.
    Syllabus
    Pursuant to statute (§ 52-196a), in a civil action in which a party files a
    complaint against an opposing party that is based on the opposing party’s
    exercise of its right of free speech in connection with a matter of public
    concern, the opposing party may file a special motion to dismiss the
    complaint, and, if the trial court grants the motion to dismiss, the oppos-
    ing party is entitled to costs and reasonable attorney’s fees. The plaintiffs,
    L and R, sought the issuance of an injunction against the defendant,
    restraining him from making or publishing any statements about either
    plaintiff, or about a nonprofit charitable foundation for which L served
    as a consultant, or about a private club where R worked as an executive
    chef. The plaintiffs alleged that comments made by the defendant in a
    post on the private club’s Facebook page regarding a fundraising event
    to be held at the club for the foundation constituted defamation and
    an invasion of privacy. The defendant was a cofounder of the foundation
    and a former member of its board of directors. The defendant filed a
    special motion to dismiss the complaint in its entirety pursuant to § 52-
    196a, claiming that each count in the complaint was based on his exercise
    of his right of free speech in connection with a matter of public concern
    and that he should be awarded costs and reasonable attorney’s fees.
    Prior to the deadline for filing opposition filings, the plaintiffs voluntarily
    withdrew the action. Thereafter, the defendant filed a motion to restore
    the case to the docket, arguing that, pursuant to statute (§ 52-80), the
    plaintiffs were required to obtain permission of the court to withdraw
    the action after establishing cause. The plaintiffs objected, asserting,
    inter alia, that they had a unilateral right to withdraw their action pursu-
    ant to § 52-80, as a hearing on the merits or a hearing on an issue of
    fact had not commenced. The trial court denied the defendant’s motion
    to restore, finding that, at the time the plaintiffs withdrew their action,
    the plaintiffs’ time frame for responding to the special motion to dismiss
    had not passed and no consideration of the special motion to dismiss
    or its accompanying affidavit by the presiding authority had begun. The
    court further declined to exercise its discretion to restore the action to
    the active docket. On the defendant’s appeal to this court, held:
    1. The defendant could not prevail on his claim that the trial court abused
    its discretion when it denied his motion to restore the action to the
    active docket:
    a. The defendant’s claim that the plaintiffs’ right to withdraw their action
    unilaterally ceased when he filed the motion to dismiss with an accompa-
    nying affidavit was unavailing as the court did not have an opportunity
    to initiate a formal proceeding in which it would make a substantive
    determination concerning the legal or factual issues presented in the
    special motion to dismiss and, accordingly, the plaintiffs were within
    their rights to unilaterally withdraw the action pursuant to § 52-80.
    b. Contrary to the defendant’s claim, by filing a special motion to dismiss
    pursuant to § 52-196a, he did not acquire a vested right to have the court
    consider that motion and his request for attorney’s fees, this court,
    giving effect to both §§ 52-196a and 52-80, as required by statute (§ 1-
    2z), concluded that the right to a hearing on a defendant’s special motion
    to dismiss is subject to a plaintiff’s absolute right to withdraw an action
    at any time prior to a hearing, and, interpreting § 52-196a in this manner,
    consistent with its plain meaning and its relationship to § 52-80, did not
    yield an absurd or unworkable result; moreover, to the extent that the
    defendant urged this court to consider the legislative intent underlying
    § 52-196a and to construe the statute such that a right to have the court
    consider the merits of a special motion to dismiss is not subject to a
    plaintiff’s unilateral right to withdraw prior to a hearing, such a method
    of statutory analysis runs afoul of § 1-2z, the interpretation suggested
    by the defendant would require this court to insert an exception into
    § 52-80 that is not expressly stated therein, such an exception would
    contravene the broad right to unilaterally withdraw an action that is
    conferred by § 52-80 that applies, by the statute’s plain terms, to any
    action returned to court and entered in the docket, and the plain language
    of § 52-196a requires the court to grant the moving party attorney’s fees
    only if the court considers the merits of the special motion to dismiss
    and the motion itself is granted.
    c. The trial court correctly concluded that the plaintiff’s action was not
    the type of action that § 52-196a was enacted to address, as the plaintiffs
    did not constitute a powerful private interest, nor were they seeking to
    discourage the defendant from petitioning the government, and, even
    assuming, arguendo, that the defendant’s Facebook post related to a
    matter of public concern, the action reasonably was best characterized
    as a dispute between private individuals rather than an attempt to intimi-
    date the defendant for strategic purposes related to the activities of the
    foundation; moreover, the defendant’s characterization of the trial court’s
    reasoning was belied by that court’s admonition that its ruling should
    not be interpreted to suggest that citizens do not have the right to
    challenge the propriety of charitable fundraising practices.
    2. This court declined the defendant’s request to fashion a procedural mecha-
    nism to guide trial courts in the event that an issue similar to the
    issue raised in this appeal arises again and to establish a rebuttable
    presumption that a withdrawal filed in response to a special motion to
    dismiss pursuant to § 52-196a was filed to avoid an adverse ruling
    because, as our established case law recognizes, the issue of whether
    to restore a case to the active docket is best entrusted to the sound
    discretion of the trial court and evaluated on a case-by-case basis.
    Argued May 17, 2022—officially released January 10, 2023
    Procedural History
    Action seeking, inter alia, a permanent injunction
    barring the defendant from making or publishing certain
    statements, and for other relief, brought to the Superior
    Court in the judicial district of Stamford-Norwalk,
    where the defendant filed a special motion to dismiss;
    thereafter, the plaintiffs withdrew their action; subse-
    quently, the court, Genuario, J., denied the defendant’s
    motion to restore the case to the docket and rendered
    judgment thereon, from which the defendant appealed
    to this court. Affirmed.
    Anthony R. Minchella, for the appellant (defendant).
    Anthony J. Febles, for the appellees (plaintiffs).
    Opinion
    SUAREZ, J. The defendant, Matthew Hubbard,
    appeals from the judgment of the trial court denying
    his motion to restore to the active docket a civil action
    that was brought against him by the plaintiffs, Laura
    King and Richard King, and later voluntarily withdrawn.
    The defendant claims that (1) the court abused its dis-
    cretion when it denied his motion to restore the action
    to the active docket and (2) this court should fashion
    a procedural mechanism to guide trial courts when a
    plaintiff withdraws an action in response to a special
    motion to dismiss pursuant to General Statutes § 52-
    196a, which affords protection against so-called SLAPP
    lawsuits.1 We affirm the judgment of the court.
    The following procedural history is relevant to the
    claims raised on appeal. On July 9, 2020, the plaintiffs
    filed an application for an ex parte temporary injunction
    and an order to show cause together with a verified
    complaint. The verified complaint alleged the following
    facts. The Catherine V. Hubbard Foundation (CVHF)
    is a nonprofit charitable foundation dedicated to the
    memory of the defendant’s daughter, a child victim of
    the Sandy Hook mass school shooting. Laura King is a
    consultant to CVHF. The Stanwich Club, a nonparty
    private social organization, employed Richard King as
    its executive chef. ‘‘On June 27, 2020, the defendant
    published a publicly viewable statement on the Stan-
    wich Club’s Facebook page commenting on a CVHF
    benefit golf tournament that the Stanwich Club [would]
    be hosting on July 16, 2020.’’ In commenting negatively
    on the event, the defendant posted as follows: ‘‘To make
    this [CVHF event] even more corrupt, Richard King who
    is the chef and [whose] wife [works] for the foundation
    gets paid [$75,000] a year . . . the highest paid consul-
    tant for the foundation. Shame on the club and shame
    on [CVHF] [a]gain for not being transparent. . . .’’
    In count one of the verified complaint, the plaintiffs
    alleged that ‘‘[b]y publicly and falsely describing this
    event as ‘corrupt,’ chastising the Stanwich Club for host-
    ing the event, and wrongfully associating the plaintiff
    Richard King and his wife, the plaintiff Laura King, with
    an event [the defendant] described as ‘corrupt,’ [the
    defendant] has caused or is likely to cause reputational
    harm to each plaintiff in that this statement will lower
    them in the estimation of the community or deter third
    persons from associating or dealing with them.’’ The
    plaintiffs further alleged that the statements made by
    the defendant were not privileged and were published
    to third parties. In count two, Laura King alleged that
    she ‘‘had an expectation of privacy with respect to her
    compensation from CVHF.’’ She further alleged that her
    compensation was confidential information, that the
    defendant ‘‘had a continuing obligation to protect th[at]
    confidential and private information,’’ that its disclo-
    sure was ‘‘not a matter of legitimate public concern,’’
    and that the defendant invaded her privacy ‘‘by publicly
    disclosing’’ this information.2 She alleged irreparable
    harm as the disclosure ‘‘will impact her continued work
    with CVHF as well as her ability to consult for other
    organizations.’’ By way of relief, the plaintiffs requested
    the issuance of ‘‘[a]n ex parte temporary and permanent
    injunction restraining [the defendant] from making or
    publishing any statements about either plaintiff, the
    Stanwich Club or CVHF. . . .’’
    On July 9, 2020, the court denied the application for
    an ex parte temporary injunction and scheduled the
    matter for a hearing at a date to be determined. On July
    15, 2020, the court scheduled a remote hearing on the
    application for a temporary injunction to be held on
    August 11, 2020. On August 10, 2020, the defendant
    filed a caseflow request in which he requested that
    the hearing be converted ‘‘into a status or scheduling
    conference.’’ The court granted the motion and, on
    August 11, 2020, held a remote status conference.
    On August 27, 2020, the defendant filed a special
    motion to dismiss the complaint pursuant to § 52-196a,3
    together with a memorandum of law and a supporting
    affidavit. In his motion to dismiss, the defendant
    asserted that each count in the complaint was ‘‘based
    on [the defendant’s] exercise of rights protected under
    § 52-196a—namely, his right of free speech in connec-
    tion with a matter of public concern—and [that the]
    plaintiffs [could not] show probable cause that they
    [would] prevail upon the merits of their claims.’’ The
    defendant argued that the complaint should be dis-
    missed in its entirety pursuant to § 52-196a (e) (3) and
    the defendant should be awarded costs and reasonable
    attorney’s fees pursuant to § 52-196a (f) (1). In the
    accompanying affidavit, the defendant attested that the
    factual statements he had made concerning the CVHF
    event and the plaintiffs were truthful.
    On August 31, 2020, the court issued a scheduling
    order in which it noted that the defendant had filed
    a special motion to dismiss, and it ordered that any
    opposition briefs, affidavits, or exhibits were to be filed
    on or before September 15, 2020. The court further
    ordered that any reply to the opposition filings was to
    be filed on or before September 21, 2020. The court
    ultimately ordered that a hearing on the defendant’s
    special motion to dismiss was to be held on September
    24, 2020. On September 4, 2020, four days after the court
    issued its scheduling order, the plaintiffs withdrew the
    action.
    On October 1, 2020, the defendant filed a motion to
    restore the case to the docket and a memorandum of
    law in support thereof.4 In the defendant’s memoran-
    dum of law, he first asserted that, ‘‘[o]nce [the defen-
    dant] filed his special motion to dismiss, his right to
    attorney’s fees and costs became vested (or, minimally,
    his right to have the court determine his entitlement to
    fees and costs), and the plaintiffs’ unilateral withdrawal
    ‘unduly jeopardized that right and the proper adminis-
    tration of justice.’ ’’
    Additionally, the defendant argued that a hearing on
    an issue of fact had commenced when he filed his
    motion to dismiss, and, therefore, pursuant to General
    Statutes § 52-80, the plaintiffs were required to obtain
    permission of the court to withdraw the action after
    establishing cause.5 He argued that, when ruling on a
    special motion to dismiss pursuant to § 52-196a, the
    court is required to consider the pleadings and support-
    ing and opposing affidavits of the parties attesting to
    the facts upon which liability or a defense, as the case
    may be, is based. Therefore, the defendant claimed that
    the affidavit that he submitted with the special motion
    to dismiss was testimony that the court was required
    to consider under § 52-196a, and, thus, a hearing com-
    menced upon its submission to the court.
    The plaintiffs filed an objection to the motion to
    restore, as well as an accompanying memorandum of
    law. In their memorandum of law, the plaintiffs argued
    that the action was brought to enjoin the defendant
    from further engaging in unprotected speech that was
    injurious to the plaintiffs’ good names and reputations.
    Additionally, they argued that they had a unilateral right
    to withdraw their action pursuant to § 52-80 as a hearing
    on the merits or, alternatively, a hearing on an issue of
    fact, had not commenced. The plaintiffs argued that
    they did not abuse their right to withdraw the action
    only to avoid an adverse ruling. They maintained that,
    had the hearing occurred, they would have ‘‘set forth
    with particularity the circumstances giving rise to the
    complaint and demonstrated probable cause within the
    meaning of . . . § 52-196[a].’’ Finally, the plaintiffs
    asserted that the defendant was not entitled to attor-
    ney’s fees because, under § 52-196a, such fees may only
    be awarded after the granting of a special motion to
    dismiss.
    The court held a hearing on the defendant’s motion
    to restore on December 1, 2020, at which both parties
    presented oral arguments. On March 2, 2021, the court
    issued a memorandum of decision denying the motion
    to restore. In its memorandum of decision, the court
    noted that a hearing of fact does not commence until
    ‘‘the presiding authority begins its consideration of the
    merits of the claim.’’ It also noted that, at the time
    the plaintiffs withdrew their action, ‘‘the plaintiffs’ time
    frame for responding to the special motion to dismiss
    had not passed and no consideration of the special
    motion to dismiss or affidavit by the presiding authority
    had begun.’’ The court concluded that, in light of the
    fact that a hearing on an issue of fact had not com-
    menced, the plaintiffs had a unilateral right to withdraw
    the action.
    Having determined that the plaintiffs were entitled
    to unilaterally withdraw their action, the court then
    considered whether to exercise its discretion to restore
    the action to the active docket. In doing so, the court
    noted that, although ‘‘[i]n many circumstances, [it] . . .
    would be inclined [to] exercise its discretion and restore
    a case to the docket to allow a SLAPP defendant the
    opportunity to recover attorney’s fees and costs,’’ this
    was not such a case. The court concluded that its ‘‘deci-
    sion [was] quite fact specific and not intended to reflect
    a reluctance to restore cases to the docket to provide
    SLAPP defendants with the relief provided by . . . [§]
    52-196a when appropriate’’ and that its ‘‘decision should
    not be construed one way or another to reflect on the
    merits of the underlying case or to suggest that citizens
    do not have the right to challenge the propriety of chari-
    table fundraising practices.’’
    This appeal followed. Additional facts and procedural
    history will be set forth as necessary.
    I
    First, the defendant claims that the court abused its
    discretion when it denied his motion to restore the
    action to the active docket. We interpret the defendant’s
    brief, which is not a model of clarity, to encompass
    four distinct subclaims related to the court’s denial of
    the motion to restore. First, the defendant argues that
    the court should have granted the motion to restore
    because the plaintiffs’ unilateral withdrawal, which was
    intended to avoid an unfavorable ruling, prejudiced his
    vested rights to have the court consider the merits of
    the special motion to dismiss and request for attorney’s
    fees.6 Second, the defendant argues that the court
    should have granted the motion to restore because a
    hearing on an issue of fact had commenced by the time
    of the withdrawal of the action and, thus, the plaintiffs
    did not have a unilateral right to withdraw the action
    but needed leave of court to do so. Third, the defendant
    argues that, in denying the motion to restore, the court
    either misconstrued or misapplied § 52-196a to afford
    protection to those who petition the government but
    not to those who exercise their right to free speech,
    thereby minimizing his constitutional rights as com-
    pared to other SLAPP defendants. Finally, the defendant
    argues that this court should reverse the trial court’s
    judgment and direct the trial court to grant the motion
    to restore, grant the motion to dismiss, and hold a
    hearing on the defendant’s request for attorney’s fees
    and costs.7 We are not persuaded.
    Before we address the merits of those subclaims, we
    first set forth our standard of review of a trial court’s
    denial of a motion to restore an action to the active
    docket. ‘‘This court has stated previously that [t]he
    question of whether a case should be restored to the
    docket is one of judicial discretion . . . therefore, we
    review a court’s denial of a motion to restore a case to
    the docket for abuse of that discretion. . . . Discretion
    means a legal discretion, to be exercised in conformity
    with the spirit of the law and in a manner to subserve
    and not to impede or defeat the ends of substantial
    justice. . . . Inherent in the concept of judicial discre-
    tion is the idea of choice and a determination between
    competing considerations. . . . A court’s discretion
    must be informed by the policies that the relevant stat-
    ute is intended to advance. . . . When reviewing
    claims under an abuse of discretion standard, the
    unquestioned rule is that great weight is due to the
    action of the trial court . . . . Under that standard, we
    must make every reasonable presumption in favor of
    upholding the trial court’s ruling, and only upset it for
    a manifest abuse of discretion. . . . [Our] review of
    such rulings is limited to the questions of whether the
    trial court correctly applied the law and reasonably
    could have reached the conclusion that it did.’’ (Cita-
    tions omitted; internal quotation marks omitted.)
    Palumbo v. Barbadimos, 
    163 Conn. App. 100
    , 110–11,
    
    134 A.3d 696
     (2016); see also Doe v. Bemer, 
    215 Conn. App. 504
    , 512–13, 
    283 A.3d 1074
     (2022) (‘‘[t]he question
    of whether a case should be restored to the docket is
    one of judicial discretion’’ (internal quotation marks
    omitted)).
    A
    We first address the defendant’s assertion that a hear-
    ing on an issue of fact had commenced by the time that
    the plaintiffs voluntarily withdrew the action and, thus,
    the plaintiffs did not have a unilateral right to withdraw
    the action but needed leave of court to do so. The
    defendant argues that the plaintiffs’ right to withdraw
    their action unilaterally ceased when he filed his special
    motion to dismiss with the accompanying affidavit. We
    are not persuaded.
    By statute, a ‘‘plaintiff may withdraw any action
    [returned to court] and entered in the docket of any
    court, before the commencement of a hearing on the
    merits thereof. After the commencement of a hearing
    on an issue of fact in any such action, the plaintiff may
    withdraw such action . . . only by leave of court for
    cause shown.’’ General Statutes § 52-80. ‘‘This court
    often has used, without further explication, the phrase
    ‘absolute and unconditional’ to describe a plaintiff’s
    right under § 52-80 to withdraw an action before a hear-
    ing on the merits has occurred. . . . We construe this
    broad language, however, as reflecting only that, prior
    to a hearing on the merits, the withdrawal of an action
    does not require the permission of the court.’’ (Citations
    omitted.) Palumbo v. Barbadimos, supra, 
    163 Conn. App. 111
    –12.
    In Kendall v. Commissioner of Correction, 
    162 Conn. App. 23
    , 
    130 A.3d 268
     (2015), this court, in the context
    of a habeas petition, conducted an extensive statutory
    analysis concerning the issue of when a hearing on the
    merits has commenced pursuant to § 52-80. It reasoned
    that, ‘‘with respect to a hearing on the merits, a party’s
    right to unilaterally withdraw an action or petition
    ceases when the presiding authority begins or initiates
    formally a proceeding in which it will make a substan-
    tive determination concerning the legal or factual issues
    in the case. Both contemporaneous understandings of
    the word ‘hearing’ and the present definition of ‘hearing
    on the merits’ recognize the role of evidence, testimony,
    and argument in the ultimate determination that the
    court is called to make. . . . [A]pplying the word ‘mer-
    its,’ as construed through applicable dictionaries . . .
    to the ‘hearing’ in question demonstrates that the pro-
    ceeding must concern the facts and law governing the
    strict legal rights of the parties as opposed to merely
    procedural or ancillary matters.’’ Id., 42–43.
    As previously noted, in the present case, the defen-
    dant filed his special motion to dismiss on August 27,
    2020. On August 31, 2020, the court issued a scheduling
    order in which it noted that a special motion to dismiss
    was filed and ordered that any opposition briefs, affida-
    vits, and exhibits were to be filed no later than Septem-
    ber 15, 2020. The court further ordered that any reply
    to the opposition was to be filed no later than September
    21, 2020. A hearing on the special motion to dismiss
    was scheduled for September 24, 2020. On September
    4, 2020, four days after the court issued its scheduling
    order, the plaintiffs withdrew the action prior to filing
    any opposition brief or affidavits. The court, therefore,
    did not have an opportunity to initiate a formal proceed-
    ing in which it would make a substantive determination
    concerning the legal or factual issues presented in the
    special motion to dismiss. The court merely had
    addressed a procedural matter. Moreover, the court
    noted in its memorandum of decision that, at the time
    of the withdrawal, ‘‘no consideration of the special
    motion to dismiss or affidavit by the presiding authority
    had begun.’’ In light of the foregoing, we conclude that
    the plaintiffs were within their rights to unilaterally
    withdraw the action pursuant to § 52-80. The defendant
    has failed to demonstrate that the court abused its dis-
    cretion in denying the motion to restore based on an
    improper withdrawal of the action.
    B
    Next, the defendant argues that the court should have
    granted the motion to restore because the plaintiffs’
    unilateral withdrawal, which was intended to avoid an
    unfavorable ruling, prejudiced his vested rights to have
    the court consider the merits of the special motion to
    dismiss and request for attorney’s fees. The defendant
    asserts that, once he filed his special motion to dismiss,
    his rights to attorney’s fees and costs, or, at the very
    least, his right to have the court determine his entitle-
    ment to fees and costs, vested. Relying heavily on
    Palumbo v. Barbadimos, supra, 
    163 Conn. App. 100
    ,
    the defendant argues that the plaintiffs’ unilateral with-
    drawal of the action unduly jeopardized his rights and
    the proper administration of justice. We are not per-
    suaded.
    In Palumbo, this court noted that ‘‘[t]he broad lan-
    guage used by this court to describe a plaintiff’s right
    to withdraw an action must be read in conjunction with
    other cases that make clear that the right of withdrawal
    may be trumped in certain circumstances by another
    party’s right to restore the case to the docket. . . . Any
    lack of authority of the court to stop the withdrawal
    of an action prior to a hearing on the merits in the
    first instance, for example, in no way extends to or
    diminishes the court’s power to restore a previously
    withdrawn action to the docket. . . . This is particu-
    larly true if restoration of the action is necessary to
    vindicate a right acquired by another party during the
    course of the withdrawn litigation. . . .
    ‘‘[O]ur Supreme Court [has] stated that [e]very action
    may be withdrawn prior to verdict or final judgment,
    whenever it can be done without injuriously affecting
    rights of the defendant acquired by reason of the action.
    . . . Our Superior Courts have relied on that language
    as a basis for restoring cases to the docket in which a
    plaintiff’s voluntary withdrawal threatened a right that
    was acquired by the defendant in the withdrawn litiga-
    tion or was done to undermine an adverse court rul-
    ing. . . .
    ‘‘Although this court previously has affirmed a trial
    court’s denial of a defendant’s motion to restore a volun-
    tarily withdrawn action to the docket, in doing so, it
    also recognized the trial court’s inherent authority to
    restore such an action to the docket if necessary to
    vindicate a right vested in the defendant. . . .
    ‘‘A plaintiff should never be permitted to abuse its
    right to voluntarily withdraw an action. Such abuse may
    be found if, in executing its right of withdrawal, the
    plaintiff unduly prejudices the rights of an opposing
    party or the withdrawal interferes with the court’s abil-
    ity to control its docket or to enforce its rulings.’’ (Cita-
    tions omitted; emphasis in original; footnotes omitted;
    internal quotation marks omitted.) 
    Id.,
     112–15.
    In Palumbo, the plaintiff brought a personal injury
    action but later ‘‘had withdrawn the action unilaterally
    and filed a second, identical action to avoid a bench
    trial that was the consequence of the plaintiff having
    missed the statutorily prescribed deadline for claiming
    the action to the jury trial list.’’ 
    Id., 102
    . The defendant
    filed a motion to restore the original action to the
    docket, which the trial court denied. 
    Id., 106, 109
    . This
    court, after recognizing that a plaintiff enjoys a right
    to withdraw litigation unilaterally prior to a hearing
    on an issue of fact, ‘‘nonetheless conclude[d] that the
    procedural chicanery engaged in by the plaintiff . . .
    cannot be sanctioned because it offends the orderly and
    due administration of justice. At the time the plaintiff
    withdrew the original action, she effectively had waived
    her right to elect a jury trial, and thereby vested in the
    defendant the right to have the parties’ dispute tried to
    the court. The plaintiff was not entitled to abuse her
    right of unilateral withdrawal in order to pursue a sec-
    ond, identical action to avoid the consequences of her
    waiver.’’ 
    Id.,
     103–104. Accordingly, in Palumbo, this
    court concluded that the trial court’s denial of the defen-
    dant’s motion to restore reflected an abuse of its discre-
    tion, reversed the judgment of the trial court, and
    remanded the case to the trial court with direction to
    grant the defendant’s motion to restore the original
    action to the docket. 
    Id., 121
    .
    In the present case, the defendant’s claim is not that
    the plaintiffs have engaged in similar procedural chica-
    nery. Rather, it is reasonable to interpret the defendant’s
    claim to be that, upon his filing of a special motion to
    dismiss, § 52-196a, in and of itself, afforded him a vested
    right to have the court consider the merits of the special
    motion to dismiss and attorney’s fees. The defendant’s
    argument is premised on his belief that the underlying
    purpose of § 52-196a is to ‘‘provide relief, including
    financial relief, to persons who have been victimized
    by meritless lawsuits’’ and that ‘‘allowing the plaintiffs
    to withdraw their lawsuit before a hearing on the defen-
    dant’s special motion to dismiss essentially weaponizes
    the anti-SLAPP statute against the party it is intended
    to protect.’’8
    The plaintiffs argue that, under § 52-196a, attorney’s
    fees are awarded ‘‘only ‘[i]f the court grants [the] special
    motion to dismiss . . . .’ ’’ (Emphasis in original.) The
    plaintiffs contend that, in light of the fact that a hearing
    was not held on the special motion to dismiss, the
    defendant was unable to satisfy the requirements of
    either § 52-196a (e) (3) or (f) (1), and he could not
    reasonably be found to have any right, vested or other-
    wise, in his attorney’s fees. Additionally, the plaintiffs
    assert that their action is not ‘‘intended to quell conduct
    consistent with constitutional rights nor [is it] a mer-
    itless retaliatory suit . . . .’’ Therefore, they argue, the
    suit is not the type of action the legislature sought to
    prevent when it enacted § 52-196a.
    Whether the act of filing a special motion to dismiss
    pursuant to § 52-196a vests in a defendant the right to
    have the court consider the merits of the special motion
    to dismiss and the right to attorney’s fees is an issue
    of statutory construction and, therefore, ‘‘subject to
    plenary review and well established principles.’’ (Inter-
    nal quotation marks omitted.) Canton v. Cadle Proper-
    ties of Connecticut, Inc., 
    188 Conn. App. 36
    , 45, 
    204 A.3d 62
     (2019). General Statutes § 1-2z instructs that
    ‘‘[t]he meaning of a statute shall, in the first instance,
    be ascertained from the text of the statute itself and
    its relationship to other statutes. If, after examining
    such text and considering such relationship, the mean-
    ing of such text is plain and unambiguous and does
    not yield absurd or unworkable results, extratextual
    evidence of the meaning of the statute shall not be
    considered.’’
    Section 52-196a (e) (1) provides in relevant part that
    ‘‘[t]he court shall conduct an expedited hearing on a
    special motion to dismiss . . . not later than sixty days
    after the date of filing of such special motion to dismiss
    . . . .’’ The plain and unambiguous language of the stat-
    ute affords a party a right to a hearing within sixty days.
    As previously noted, § 52-80 provides in relevant part
    that a ‘‘plaintiff may withdraw any action [returned to
    court] and entered in the docket of any court, before
    the commencement of a hearing on the merits thereof.
    After the commencement of a hearing on an issue of
    fact in any such action, the plaintiff may withdraw such
    action, or any other party thereto may withdraw any
    cross complaint or counterclaim filed therein by him,
    only by leave of court for cause shown.’’
    Under the directive of § 1-2z, in interpreting § 52-
    196a, this court must not only be mindful of § 52-80 but
    also must interpret § 52-196a in a manner that does
    not conflict with § 52-80. ‘‘[T]he legislature is always
    presumed to have created a harmonious and consistent
    body of law . . . . [T]his tenet of statutory construc-
    tion . . . requires [this court] to read statutes together
    when they relate to the same subject matter . . . .
    Accordingly, [i]n determining the meaning of a statute
    . . . we look not only at the provision at issue, but also
    to the broader statutory scheme to ensure the coher-
    ency of our construction.’’ (Internal quotation marks
    omitted.) 500 North Avenue, LLC v. Planning Commis-
    sion, 
    199 Conn. App. 115
    , 130, 
    235 A.3d 526
    , cert. denied,
    
    335 Conn. 959
    , 
    239 A.3d 320
     (2020). ‘‘[W]hen construing
    a statute, we do not interpret some clauses in a manner
    that nullifies others, but rather read the statute as a
    whole and so as to reconcile all parts as far as possible.’’
    (Internal quotation marks omitted.) Vibert v. Board of
    Education, 
    260 Conn. 167
    , 171, 
    793 A.2d 1076
     (2002);
    see also Perun v. Danbury, 
    143 Conn. App. 313
    , 317,
    
    67 A.3d 1018
     (2013).
    Because we are bound to give effect to both statutes,
    we construe the right to a hearing on a defendant’s
    special motion to dismiss, which is afforded by § 52-
    196a, as being subject to a plaintiff’s absolute right to
    withdraw an action at any time prior to a hearing, as
    afforded by § 52-80. Interpreting § 52-196a in this man-
    ner, consistent with its plain meaning and its relation-
    ship to § 52-80, does not yield an absurd or unworkable
    result. We conclude, therefore, that, at the time of the
    plaintiffs’ withdrawal of their action in the present case,
    the defendant did not have the right to have the court
    consider the merits of the special motion to dismiss.
    To the extent that the defendant urges us to consider
    the legislative intent underlying § 52-196a and to con-
    strue the statute such that a right to have the court
    consider the merits of a special motion to dismiss is
    not subject to a plaintiff’s unilateral right to withdraw
    prior to a hearing, such a method of statutory analysis
    runs afoul of § 1-2z. Moreover, to follow the interpreta-
    tion suggested by the defendant would require us to
    insert an exception into § 52-80 that is not expressly
    stated therein. This exception would contravene the
    broad right to unilaterally withdraw an action that is
    conferred by § 52-80 that applies, by the statute’s plain
    terms, to ‘‘any action returned to court and entered in
    the docket . . . .’’ (Emphasis added.) ‘‘It is the duty of
    the court to interpret statutes as they are written . . .
    and not by construction read into statutes provisions
    which are not clearly stated.’’ (Internal quotation marks
    omitted.) Garvey v. Valencis, 
    177 Conn. App. 578
    , 586–
    87, 
    173 A.3d 51
     (2017).
    With respect to the defendant’s alleged vested right
    to attorney’s fees, § 52-196a (f) (1) provides in relevant
    part that, ‘‘[i]f the court grants a special motion to dis-
    miss under this section, the court shall award the mov-
    ing party costs and reasonable attorney’s fees . . . .’’
    It can hardly be disputed that the plain language of the
    statute requires the court to grant the moving party
    attorney’s fees only if the court considers the merits
    of the special motion to dismiss and the motion itself
    is granted. Construing the statute according to its plain
    meaning does not yield an absurd or unworkable result.
    We conclude that the defendant did not acquire a vested
    right to attorney’s fees by merely filing a special motion
    to dismiss pursuant to § 52-196a.
    For the foregoing reasons, we conclude that the
    defendant has not demonstrated that the court’s ruling
    prejudiced a vested right such that the court abused its
    discretion by denying his motion to restore.
    C
    Next, the defendant challenges the court’s denial of
    the motion to restore on the ground that, in denying
    the motion to restore, the court either misconstrued or
    misapplied § 52-196a to afford protection to those who
    petition the government but not to those who exercise
    their right to free speech, thereby minimizing his consti-
    tutional rights as compared to other SLAPP defendants.
    We are not persuaded.
    As stated previously in this opinion, we review the
    court’s exercise of discretion in denying the motion to
    restore mindful that ‘‘[d]iscretion means a legal discre-
    tion, to be exercised in conformity with the spirit of
    the law and in a manner to subserve and not to impede
    or defeat the ends of substantial justice’’ and that ‘‘[a]
    court’s discretion must be informed by the policies that
    the relevant statute is intended to advance.’’ (Internal
    quotation marks omitted.) Palumbo v. Barbadimos,
    supra, 
    163 Conn. App. 110
    –11.
    In the present case, in its memorandum of decision,
    the court stated that ‘‘[t]he legislative history [of § 52-
    196a] and [this court’s discussion of SLAPP lawsuits in
    Field v. Kearns, 
    43 Conn. App. 265
    , 
    682 A.2d 148
    , cert.
    denied, 
    239 Conn. 942
    , 
    684 A.2d 711
     (1996)] reflect a
    desire to prevent those who use litigation strategically
    to quell conduct consistent with a party’s constitutional
    rights from doing so with impunity. A frequent example
    of the wrong sought to be addressed is the hypothetical
    developer with substantial resources trying to discour-
    age average citizens from contesting a proposal before
    a local or state governmental entity. SLAPP suits are
    most insidious when a powerful private interest seeks
    to discourage or intimidate citizens from petitioning
    their government or impacting public opinion. The
    instant case is not such a case. While this court believes
    that a citizen such as the defendant has every right to
    bring to the attention of the public concerns about the
    legitimacy of fundraising by a not-for-profit entity, in
    this case the defendant in so doing seemed to implicate
    the plaintiffs, one of [whose] only connection to the
    controversy was his long-term employment with the
    entity providing a venue for the event. The other plain-
    tiff is a private contractor, who is not a principal of the
    charitable organization about which the defendant has
    expressed concern. This case does not seem to have
    any of the indicia of the type of strategic litigation that
    the legislature expressed a desire to address. There is
    no indication of an attempt to intimidate the defendant
    by the plaintiffs who seem to have been unfortunately
    drawn into an ongoing dispute between CVHF and the
    defendant. Upon further consideration, the plaintiffs
    have simply elected to withdraw their action in a man-
    ner consistent with the long-established policy of
    allowing plaintiffs to unilaterally withdraw cases and
    put an end to litigation that they had previously initi-
    ated. From the court’s point of view, sometimes it is
    just better to let litigation end quickly, and this is one
    such situation. . . .
    ‘‘In denying this motion to restore the case to the
    docket, the court wishes to emphasize two things. First,
    this decision is quite fact specific and not intended to
    reflect a reluctance to restore cases to the docket to
    provide SLAPP defendants with the relief provided by
    [§] 52-196a when appropriate; and second, this decision
    should not be construed one way or another to reflect
    on the merits of the underlying case or to suggest that
    citizens do not have the right to challenge the propriety
    of charitable fundraising practices.’’
    The defendant argues that the court improperly inter-
    preted his action as being essentially a private dispute
    between him and the plaintiffs instead of an action
    related to the charitable fundraising activities of CVHF,
    which is an issue of public concern. The defendant also
    argues that the court misconstrued the policy that the
    legislature sought to promote by reasoning that § 52-
    196a did not afford the same protection to his right to
    free speech that it affords to defendants who petition
    the government.
    As we have stated previously in this opinion, our
    Supreme Court has delineated the elements of a SLAPP
    action, ‘‘the distinctive elements of [which] are (1) a
    civil complaint (2) filed against a nongovernment indi-
    vidual (3) because of their communications to govern-
    ment bodies (4) that involves a substantive issue of
    some public concern. . . . The purpose of a SLAPP
    suit is to punish and intimidate citizens who petition
    state agencies and have the ultimate effect of chilling
    any such action.’’ (Internal quotation marks omitted.)
    Lafferty v. Jones, 
    336 Conn. 332
    , 337 n.4, 
    246 A.3d 429
    (2020), cert. denied,      U.S.      , 
    141 S. Ct. 2467
    , 
    209 L. Ed. 2d 529
     (2021). In the present case, the court
    correctly concluded that the plaintiff’s action was not
    the type of action § 52-196a was enacted to address.
    The court aptly observed that, in the present action,
    the plaintiffs did not constitute a powerful private inter-
    est, nor were they seeking to discourage the defendant
    from petitioning the government. There appears to be
    no dispute that neither plaintiff was a principal of CVHF,
    had standing to protect the interests of CVHF, or had
    initiated the present action in response to the defen-
    dant’s communication to a governmental body. The
    communications at issue were made publicly on a social
    network service, not to a governmental body. Even
    assuming, arguendo, that the defendant’s Facebook
    post concerning the CVHF event related to a matter of
    public concern, the action reasonably is best character-
    ized as a dispute between private individuals rather
    than an attempt to intimidate the defendant for strategic
    purposes related to the activities of CVHF. We note,
    further, that the defendant’s characterization of the
    court’s reasoning is belied by the court’s admonition
    that its ruling should not be interpreted ‘‘to suggest that
    citizens do not have the right to challenge the propriety
    of charitable fundraising practices.’’
    In light of the foregoing, we conclude that the court
    did not abuse its broad discretion in denying the motion
    to restore.
    II
    Last, the defendant claims that this ‘‘court can fashion
    a procedural mechanism to guide trial courts’’ in the
    event that an issue similar to the issue raised in this
    appeal arises again. Specifically, he suggests that we
    ‘‘should adopt a rebuttable presumption that [a] with-
    drawal [filed in response to a special motion to dismiss
    pursuant to § 52-196a] was filed to avoid an adverse
    ruling.’’ We conclude that such a presumption is unnec-
    essary. As our established case law recognizes, the issue
    of whether to restore a case to the active docket is best
    entrusted to the sound discretion of the trial court and
    evaluated on a case-by-case basis.
    The judgment is affirmed.
    In this opinion the other judges concurred.
    1
    Section 52-196a provides statutory protection against what has become
    known in our jurisprudence as a SLAPP lawsuit. ‘‘SLAPP is an acronym for
    strategic lawsuit against public participation, the distinctive elements of
    [which] are (1) a civil complaint (2) filed against a nongovernment individual
    (3) because of their communications to government bodies (4) that involves
    a substantive issue of some public concern. . . . The purpose of a SLAPP
    suit is to punish and intimidate citizens who petition state agencies and
    have the ultimate effect of chilling any such action.’’ (Internal quotation
    marks omitted.) Lafferty v. Jones, 
    336 Conn. 332
    , 337 n.4, 
    246 A.3d 429
    (2020), cert. denied,       U.S.      , 
    141 S. Ct. 2467
    , 
    209 L. Ed. 2d 529
     (2021).
    ‘‘Under this statutory scheme, a party may file a special motion to dismiss
    when the opposing party’s complaint is based on the moving party’s exercise
    of, among other things, the right of free speech or the right to petition the
    government in connection with a matter of public concern. See General
    Statutes § 52-196a (b); see also General Statutes § 52-196a (e) (3) (describing
    circumstances under which trial court must grant party’s special motion to
    dismiss). Although the statutory protection against SLAPP lawsuits does
    not create a substantive right, the procedural mechanism that § 52-196a
    establishes, namely, the special motion to dismiss, provides a moving party
    with the opportunity to have the lawsuit dismissed early in the proceeding
    and stays all discovery, pending the trial court’s resolution of the special
    motion to dismiss. See General Statutes § 52-196a (d). If the court grants
    the special motion to dismiss, the moving party is also entitled to costs and
    reasonable attorney’s fees.’’ Priore v. Haig, 
    344 Conn. 636
    , 659, 
    280 A.3d 402
     (2022).
    2
    The defendant is a cofounder and a former member of the CVHF board
    of directors.
    3
    General Statutes § 52-196a provides in relevant part: ‘‘(b) In any civil
    action in which a party files a complaint, counterclaim or cross claim against
    an opposing party that is based on the opposing party’s exercise of its right
    of free speech, right to petition the government, or right of association under
    the Constitution of the United States or the Constitution of the state in
    connection with a matter of public concern, such opposing party may file
    a special motion to dismiss the complaint, counterclaim or cross claim. . . .
    ‘‘(e) (1) The court shall conduct an expedited hearing on a special motion
    to dismiss. The expedited hearing shall be held not later than sixty days
    after the date of filing of such special motion to dismiss . . . .
    ‘‘(2) When ruling on a special motion to dismiss, the court shall consider
    pleadings and supporting and opposing affidavits of the parties attesting to
    the facts upon which liability or a defense, as the case may be, is based. . . .’’
    4
    Attached to the defendant’s memorandum in support of his motion to
    restore was a letter, purportedly sent by his counsel to the plaintiffs’ counsel
    via email on July 31, 2020, stating that, if the plaintiffs did not withdraw
    the action, the defendant would file a special motion to dismiss the action
    pursuant to § 52-196a.
    5
    General Statutes § 52-80 provides in relevant part: ‘‘The plaintiff may
    withdraw any action so returned to and entered in the docket of any court,
    before the commencement of a hearing on the merits thereof. After the
    commencement of a hearing on an issue of fact in any such action, the
    plaintiff may withdraw such action, or any other party thereto may withdraw
    any cross complaint or counterclaim filed therein by him, only by leave of
    court for cause shown.’’
    6
    We note that, at various points in his brief, the defendant asserts that
    he had a right to a ‘‘hearing’’ and a right to have the court ‘‘rule’’ on the special
    motion to dismiss. We interpret the substance of his appellate argument to
    implicate his right to have the court consider the merits of the special motion
    to dismiss.
    7
    We will address these subclaims in a different order than the one in
    which they appear in the defendant’s brief. We observe that the fourth
    subclaim relates to the remedy sought by the defendant should he prevail
    on the merits of his claim. In light of our conclusion that the court did not
    abuse its discretion in not restoring the action to the active docket, we need
    not address the merits of this subclaim.
    8
    The defendant relies on a California Court of Appeal case, Liu v. Moore,
    
    69 Cal. App. 4th 745
    , 
    81 Cal. Rptr. 2d 807
     (1999), in which the court reversed
    a trial court’s decision not to award attorney’s fees to an individual who
    was named as a defendant in a third-party cross complaint after the cross
    complaint plaintiffs withdrew their complaint following the individual’s filing
    of a special motion to strike pursuant to California’s anti-SLAPP statute.
    Specifically, the defendant points out that the California Court of Appeal
    reasoned that ‘‘SLAPP plaintiffs could achieve most of their objective with
    little risk—by filing a SLAPP suit, forcing the defendant to incur the effort
    and expense of preparing a special motion to strike, then dismissing the
    action without prejudice. The specter of the action being refiled . . . would
    continue to have a significant chilling effect on the defendant’s exercise of
    its [f]irst [a]mendment rights.’’ (Internal quotation marks omitted.) Id., 753.
    The defendant urges us to follow this approach in the present case, and he
    argues that the court’s decision was not ‘‘ ‘informed by the policies that the
    relevant statute is intended to advance.’ Vargas v. Doe, 
    96 Conn. App. 399
    ,
    409 [
    900 A.2d 525
    , cert. denied, 
    280 Conn. 923
    , 
    908 A.2d 546
     (2006)].’’
    We are not persuaded to follow Liu, which is not binding on this court.
    Nor do we analyze the issue before us by first considering the legislative
    policy underlying § 52-196a. Rather, as is reflected in our discussion of this
    subclaim, we are able to resolve the present issue by undertaking an analysis
    of the plain meaning of the statutes at issue pursuant to General Statutes
    § 1-2z.