Soto v. Bushmaster Firearms International, LLC ( 2019 )


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    SOTO v. BUSHMASTER FIREARMS INTERNATIONAL, LLC—DISSENT
    ROBINSON, J., with whom VERTEFEUILLE and
    ELGO, Js., join, dissenting in part. In 2005, Congress
    enacted the Protection of Lawful Commerce in Arms
    Act (arms act), 15 U.S.C. § 7901 et seq., to preempt
    what it had deemed to be frivolous lawsuits against the
    firearms industry arising from the proliferation of gun
    related deaths resulting from criminal activity in cities
    and towns across the country. See 15 U.S.C. § 7901
    (2012) (articulating findings and purposes underlying
    arms act).1 That preemption is not, however, uncondi-
    tional, as there are six exceptions to the definition of
    ‘‘qualified civil liability action’’ set forth in 15 U.S.C.
    § 7903 (5) (A)2 that narrow the category of cases pro-
    scribed by the arms act. See 15 U.S.C. § 7902 (2012).3
    One such exception, for ‘‘an action in which a manufac-
    turer or seller of a [firearm, ammunition, or component
    part] knowingly violated a State or Federal statute appli-
    cable to the sale or marketing of the product, and the
    violation was a proximate cause of the harm for which
    relief is sought’’; 15 U.S.C. § 7903 (5) (A) (iii) (2012);
    ‘‘has come to be known as the ‘predicate exception,’
    because a plaintiff not only must present a cognizable
    claim, he or she also must allege a knowing violation
    of a ‘predicate statute.’ ’’ Ileto v. Glock, Inc., 
    565 F.3d 1126
    , 1132 (9th Cir. 2009), cert. denied, 
    560 U.S. 924
    ,
    
    130 S. Ct. 3320
    , 
    176 L. Ed. 2d 1219
    (2010). In part V of
    its opinion, the majority concludes that the claims made
    by the plaintiffs4 under the Connecticut Unfair Trade
    Practices Act (CUTPA), General Statutes § 42-110a et
    seq., which are founded on a theory that wrongful and
    unscrupulous advertising by the defendants,5 who man-
    ufactured, distributed, and sold the Bushmaster AR-15
    rifle, Model XM15-E2S, was a substantial factor in the
    criminal activity of the shooter at the Sandy Hook
    School on December 14, 2012, are not preempted by
    the arms act because CUTPA is a predicate statute for
    purposes of the predicate exception. Having considered
    the text and legislative history of the arms act, I adopt
    a contrary answer to this national question of first
    impression, and conclude that the predicate exception
    encompasses only those statutes that govern the sale
    and marketing of firearms and ammunition specifically,
    as opposed to generalized unfair trade practices stat-
    utes that, like CUTPA, govern a broad array of commer-
    cial activities. Because the distastefulness of a federal
    law does not diminish its preemptive effect, I would
    affirm the judgment of the trial court striking the plain-
    tiff’s complaint in its entirety. Accordingly, I respect-
    fully dissent from part V of the majority opinion.
    I begin by noting my agreement with the facts, proce-
    dural history, and plenary standard of review as stated
    by the majority. See, e.g., Byrne v. Avery Center for
    Obstetrics & Gynecology, P.C., 
    314 Conn. 433
    , 447, 
    102 A.3d 32
    (2014) (‘‘[w]hether state causes of action are
    preempted by federal statutes and regulations is a ques-
    tion of law over which our review is plenary’’). I also
    assume, without deciding, that the majority properly
    concludes in part IV D of its opinion that, ‘‘at least
    with respect to wrongful advertising claims, personal
    injuries alleged to have resulted directly from such
    advertisements are cognizable under CUTPA.’’ Accord-
    ingly, I now turn to the pivotal question of whether the
    predicate exception saves such claims under CUTPA
    from preemption by the arms act.
    I
    GENERAL PRINCIPLES OF PREEMPTION AND
    STATUTORY CONSTRUCTION
    I recognize that the supremacy clause of the United
    States constitution declares that ‘‘the Laws of the United
    States . . . shall be the supreme Law of the Land . . .
    any Thing in the Constitution or Laws of any State to
    the Contrary notwithstanding.’’ U.S. Const., art. VI, cl. 2.
    ‘‘As a consequence, state and local laws are preempted
    [when] they conflict with the dictates of federal law,
    and must yield to those dictates. . . . Preemption may
    be either express or implied, and is compelled whether
    Congress’ command is explicitly stated in the statute’s
    language or implicitly contained in its structure and
    purpose. . . .
    ‘‘[When] a federal statute expressly preempts state
    or local law, analysis of the scope of the [preemption]
    statute must begin with its text. . . . And, we must
    also start with the assumption that the historic police
    powers of the [s]tates [are] not to be superseded . . .
    unless that was the clear and manifest purpose of Con-
    gress. . . . As such, Congress’ purpose is the ultimate
    touchstone of preemption analysis.’’ (Citation omitted;
    internal quotation marks omitted.) Modzelewski’s Tow-
    ing & Recovery, Inc. v. Commissioner of Motor Vehi-
    cles, 
    322 Conn. 20
    , 28–29, 
    139 A.3d 594
    (2016), cert.
    denied,       U.S.    , 
    137 S. Ct. 1396
    , 
    197 L. Ed. 2d 554
    (2017).
    In determining whether Congress intended the arms
    act to preempt the CUTPA claims in the present case,
    I turn to the principles that govern our ‘‘construction
    and application of federal statutes,’’ under which ‘‘prin-
    ciples of comity and consistency require us to follow
    the plain meaning rule . . . . Moreover, it is well set-
    tled that the decisions of [t]he [United States Court of
    Appeals for the] Second Circuit . . . carry particularly
    persuasive weight in the interpretation of federal stat-
    utes by Connecticut state courts.’’ (Internal quotation
    marks omitted.) CCT Communications, Inc. v. Zone
    Telecom, Inc., 
    327 Conn. 114
    , 140, 
    172 A.3d 1228
    (2017);
    see also, e.g., Modzelewski’s Towing & Recovery, Inc.
    v. Commissioner of Motor 
    Vehicles, supra
    , 
    322 Conn. 32
    .
    ‘‘Accordingly, our analysis of the federal statutes in
    the present case begins with the plain meaning of the
    statute. . . . If the text of a statute is ambiguous, then
    we must construct an interpretation consistent with the
    primary purpose of the statute as a whole. . . . Under
    the plain meaning rule, [l]egislative history and other
    tools of interpretation may be relied upon only if the
    terms of the statute are ambiguous. . . . Thus, our
    interpretive process will begin by inquiring whether the
    plain language of [each] statute, when given its ordinary,
    common meaning . . . is ambiguous.’’ (Citations omit-
    ted; internal quotation marks omitted.) Szewczyk v.
    Dept. of Social Services, 
    275 Conn. 464
    , 476, 
    881 A.2d 259
    (2005). ‘‘The test to determine ambiguity is whether
    the statute, when read in context, is susceptible to more
    than one reasonable interpretation.’’ (Internal quotation
    marks omitted.) State v. Agron, 
    323 Conn. 629
    , 634,
    
    148 A.3d 1052
    (2016); see also, e.g., United States v.
    Peterson, 
    394 F.3d 98
    , 105 (2d Cir. 2005); United States
    v. Dauray, 
    215 F.3d 257
    , 262 (2d Cir. 2000).
    If a federal statute is ambiguous, the federal courts
    do not consider all extratextual sources to be of equal
    value in resolving that ambiguity. Instead, the Second
    Circuit first ‘‘turn[s] to canons of statutory construction
    for assistance in interpreting the statute. . . . [That
    court] resort[s] to legislative history only if, after con-
    sulting canons of statutory instruction, the meaning
    remains ambiguous.’’ (Citation omitted; internal quota-
    tion marks omitted.) United States v. Rowland, 
    826 F.3d 100
    , 108 (2d Cir. 2016), cert. denied,       U.S.     ,
    
    137 S. Ct. 1330
    , 
    197 L. Ed. 2d 517
    (2017).
    Accordingly, I begin with a review of the text of the
    relevant provisions of the arms act. The preemption
    provision provides that ‘‘[a] qualified civil liability action
    may not be brought in any Federal or State court.’’ 15
    U.S.C. § 7902 (a) (2012); see also 15 U.S.C. § 7902 (b)
    (2012) (‘‘[a] qualified civil liability action that is pending
    on October 26, 2005, shall be immediately dismissed by
    the court in which the action was brought or is currently
    pending’’). The arms act defines a ‘‘qualified civil liabil-
    ity action’’ in relevant part as ‘‘a civil action or proceed-
    ing . . . brought by any person against a manufacturer
    or seller of a qualified product,6 or a trade association,
    for damages, punitive damages, injunctive or declara-
    tory relief, abatement, restitution, fines, or penalties,
    or other relief, resulting from the criminal or unlawful
    misuse of a qualified product by the person or a third
    party . . . .’’ (Footnote added.) 15 U.S.C. § 7903 (5) (A)
    (2012). The arms act then provides six exceptions to the
    definition of qualified civil liability action; see footnote
    2 of this dissenting opinion; including the predicate
    exception, which is defined as ‘‘an action in which a
    manufacturer or seller of a qualified product knowingly
    violated a State or Federal statute applicable to the sale
    or marketing of the product, and the violation was a
    proximate cause of the harm for which relief is
    sought, including—
    ‘‘(I) any case in which the manufacturer or seller
    knowingly made any false entry in, or failed to make
    appropriate entry in, any record required to be kept
    under Federal or State law with respect to the qualified
    product, or aided, abetted, or conspired with any person
    in making any false or fictitious oral or written state-
    ment with respect to any fact material to the lawfulness
    of the sale or other disposition of a qualified product; or
    ‘‘(II) any case in which the manufacturer or seller
    aided, abetted, or conspired with any other person to
    sell or otherwise dispose of a qualified product, know-
    ing, or having reasonable cause to believe, that the
    actual buyer of the qualified product was prohibited
    from possessing or receiving a firearm or ammunition
    under subsection (g) or (n) of section 922 of title 18
    . . . .’’ 15 U.S.C. § 7903 (5) (A) (iii) (2012).
    Resolving whether CUTPA is a state statute ‘‘applica-
    ble to the sale or marketing of [firearms]’’; 15 U.S.C.
    § 7903 (5) (A) (iii) (2012); begins with the plain meaning
    of the word ‘‘applicable,’’ which Congress did not define
    within the arms act. ‘‘In the absence of a definition of
    terms in the statute itself, [w]e may presume . . . that
    the legislature intended [a word] to have its ordinary
    meaning in the English language, as gleaned from the
    context of its use. . . . Under such circumstances, it
    is appropriate to look to the common understanding
    of the term as expressed in a dictionary.’’ (Internal
    quotation marks omitted.) Middlebury v. Connecticut
    Siting Council, 
    326 Conn. 40
    , 49, 
    161 A.3d 537
    (2017).
    Merriam Webster’s Collegiate Dictionary defines ‘‘appli-
    cable’’ as ‘‘capable of or suitable for being applied:
    appropriate.’’ Merriam-Webster’s Collegiate Dictionary
    (11th Ed. 2003), p. 60; see 
    id., p. 61
    (defining ‘‘appro-
    priate’’ as ‘‘especially suitable or compatible’’). Consid-
    ering this definition, I agree with the plaintiffs’ argument
    that CUTPA reasonably could be deemed ‘‘applicable’’
    to the ‘‘sale or marketing of [firearms]’’; 15 U.S.C. § 7903
    (5) (A) (iii) (2012); insofar as it is a broad statute that
    is ‘‘capable of’’ being applied to that—and nearly every
    other—business. The reasonableness of this reading is
    bolstered by Congress’ use of the word ‘‘including’’ to
    set off its list of example predicate statutes, insofar as
    ‘‘the word ‘including’ may be used either as a word of
    enlargement or of limitation.’’ Wood v. Zoning Board
    of Appeals, 
    258 Conn. 691
    , 700 n.11, 
    784 A.2d 354
    (2001);
    see also, e.g., State v. DeFrancesco, 
    235 Conn. 426
    , 435,
    
    668 A.2d 348
    (1995) (‘‘ ‘[t]here is some ambiguity con-
    cerning whether the word ‘‘including’’ . . . was
    intended as a word of limitation . . . or one of enlarge-
    ment’ ’’); accord Samantar v. Yousuf, 
    560 U.S. 305
    , 317,
    
    130 S. Ct. 2278
    , 
    176 L. Ed. 2d 1047
    (2010) (stating that
    ‘‘use of the word ‘include’ can signal that the list that
    follows is meant to be illustrative rather than exhaus-
    tive,’’ but noting that ‘‘ ‘[a] word may be known by the
    company it keeps’ ’’); but see Mahoney v. Lensink, 
    213 Conn. 548
    , 569, 
    569 A.2d 518
    (1990) (suggesting that
    phrase ‘‘shall include’’ is limiting, but use of word
    ‘‘include’’ or ‘‘including’’ omitting word ‘‘shall’’ is
    intended to be broader, with ‘‘the listed rights . . . a
    vehicle for enlargement rather than limitation,’’ given
    purpose of statutory patients’ bill of rights).
    The defendants’ reading of the predicate exception
    is, however, equally reasonable, particularly given the
    more technical definition of ‘‘applicable’’ in Black’s Law
    Dictionary as it relates to laws or regulations. See
    Black’s Law Dictionary (10th Ed. 2014) (defining ‘‘appli-
    cable’’ in references to ‘‘a rule, regulation, law, etc.,’’
    as ‘‘affecting or relating to a particular person, group,
    or situation; having direct relevance’’). The principle of
    noscitur a sociis, namely, that the ‘‘meaning of a statu-
    tory word may be indicated, controlled or made clear
    by the words with which it is associated in the statute’’;
    (internal quotation marks omitted) State v. 
    Agron, supra
    , 
    323 Conn. 635
    –36; allows us to view the example
    predicates, which describe statutes specifically applica-
    ble to the firearms trade, as cabining the more expan-
    sive reading of the word ‘‘applicable.’’ See also, e.g.,
    Bilski v. Kappos, 
    561 U.S. 593
    , 604, 
    130 S. Ct. 3218
    , 
    177 L. Ed. 2d 792
    (2010). Consistent with the two United
    States Courts of Appeal that have considered the mean-
    ing of the predicate exception; see Ileto v. Glock, 
    Inc., supra
    , 
    565 F.3d 1133
    –34; New York v. Beretta U.S.A.
    Corp., 
    524 F.3d 384
    , 401 (2d Cir. 2008), cert. denied,
    
    556 U.S. 1104
    , 
    129 S. Ct. 1579
    , 
    173 L. Ed. 2d 675
    (2009);
    I conclude that there is more than one reasonable read-
    ing of the predicate exception, rendering it ambiguous.
    I turn, therefore, to extratextual evidence, namely, the
    canons of statutory construction and, if necessary, the
    legislative history, to answer the question of whether
    CUTPA constitutes a predicate statute for purposes of
    15 U.S.C. § 7903 (5) (A) (iii).
    II
    REVIEW OF FEDERAL CIRCUIT COURT PRECEDENT
    In determining whether CUTPA is a predicate statute
    under the arms act, I do not write on a blank slate. Two
    of the United States Circuit Courts of Appeal, including
    the Second Circuit that we ordinarily find especially
    persuasive in deciding questions of federal law; see,
    e.g., CCT Communications, Inc. v. Zone Telecom, 
    Inc., supra
    , 
    327 Conn. 140
    ; have considered whether state
    statutes of general applicability may be predicate
    statutes.
    In New York v. Beretta U.S.A. 
    Corp., supra
    , 
    524 F.3d 389
    –91, the city of New York claimed that the defen-
    dants, certain firearms manufacturers and distributors,
    ‘‘market[ed] guns to legitimate buyers with the knowl-
    edge that those guns [would] be diverted through vari-
    ous mechanisms into illegal markets’’ and sought
    injunctive relief requiring those defendants ‘‘to take
    assorted measures that would effectively inhibit the
    flow of firearms into illegal markets.’’ The Second Cir-
    cuit considered whether a state criminal public nui-
    sance statute; see N.Y. Penal Law § 240.45 (McKinney
    2008);7 constituted a predicate statute that would allow
    the city’s claim to avoid preemption under the arms
    act. New York v. Beretta U.S.A. 
    Corp., supra
    , 399; see
    also 
    id. (‘‘[i]t is
    not disputed that [the criminal nuisance
    statute] is a statute of general applicability that has
    never been applied to firearms suppliers for conduct
    like that complained of by the [c]ity’’). The city argued
    that the predicate exception saved its action ‘‘because
    [the criminal nuisance statute] is a statute ‘applicable
    to the sale or marketing of [firearms].’ The [defendants]
    disagree[d], arguing that the predicate exception was
    intended to include statutes that specifically and
    expressly regulate the firearms industry.’’ 
    Id. After engaging
    in a contextual analysis of the predi-
    cate exception and, in particular, the meaning of the
    term ‘‘applicable,’’ the Second Circuit concluded that
    the predicate exception ‘‘does not encompass’’ the crim-
    inal nuisance statute, but ‘‘does encompass statutes [1]
    that expressly regulate firearms, or [2] that courts have
    applied to the sale and marketing of firearms; and . . .
    [3] that do not expressly regulate firearms but that
    clearly can be said to implicate the purchase and sale
    of firearms.’’ 
    Id., 404. In
    reaching that conclusion, the
    court stated that it found ‘‘nothing in the [arms act]
    that requires any express language regarding firearms
    to be included in a statute in order for that statute to
    fall within the predicate exception’’ and declined ‘‘to
    foreclose the possibility that, under certain circum-
    stances, state courts may apply a statute of general
    applicability to the type of conduct that the [c]ity com-
    plains of, in which case such a statute might qualify as
    a predicate statute.’’ 
    Id., 399–400. Accordingly,
    the court
    concluded that ‘‘while the mere absence in [the criminal
    nuisance statute] of any express reference to firearms
    does not, in and of itself, preclude that statute’s eligibil-
    ity to serve as a predicate statute under the [arms act,
    the criminal nuisance statute] is a statute of general
    applicability that does not encompass the conduct of
    firearms manufacturers of which the [c]ity complains.
    It therefore does not fall within the predicate exception
    to the claim restricting provisions of the [arms act].’’
    
    Id., 400. My
    review of the relevant statutory text and legisla-
    tive history reveal no support for the Second Circuit’s
    expansive holding that the predicate exception includes
    statutes ‘‘that courts have applied to the sale and mar-
    keting of firearms’’ and ‘‘that do not expressly regulate
    firearms but that clearly can be said to implicate the
    purchase and sale of firearms.’’ 
    Id., 404. This
    ultimate
    conclusion is simply inconsistent with the court’s more
    detailed analysis of the relevant statutory text and legis-
    lative history, which suggests a narrower reading of
    that exception. Specifically, the court considered the
    statements of purpose, as well as the list of example
    predicate statutes set forth in 15 U.S.C. § 7903 (5) (A)
    (iii) (I) and (II), which are ‘‘said to include statutes
    regulating [record keeping] and those prohibiting par-
    ticipation in direct illegal sales,’’ and stated that ‘‘con-
    struing the term ‘applicable to’ to mean statutes that
    clearly can be said to regulate the firearms industry
    more accurately reflects the intent of Congress.’’ 
    Id., 402. The
    court also rejected the dictionary definition
    of ‘‘applicable’’ as ‘‘lead[ing] to a far [too] broad reading
    of the predicate exception’’ that ‘‘would allow the predi-
    cate exception to swallow the statute . . . .’’ 
    Id., 403. Finally,
    the court cited the legislative history of the
    arms act as ‘‘support [for] the view that the predicate
    exception was meant to apply only to statutes that
    actually regulate the firearms industry, in light of the
    statements’ consistency amongst each other and with
    the general language of the statute itself.’’ 
    Id., 404. In
    deed, Judge Robert Katzmann authored a dis-
    senting opinion aptly criticizing the majority’s analysis
    as inconsistent with the plain language of the statute,
    particularly with respect to recognizing those statutes
    that courts had previously applied to the sale and manu-
    facture of firearms, and further observed that the major-
    ity had provided no guidance with respect to when a
    statute of general applicability could, in fact, be deemed
    applicable to firearms, rendering that aspect of the
    majority opinion entirely unpersuasive.8 See 
    id., 406. Accordingly,
    I decline to follow the analysis of the Sec-
    ond Circuit’s ultimately unpersuasive decision, particu-
    larly given that any concerns regarding different
    outcomes in federal court; see Turner v. Frowein, 
    253 Conn. 312
    , 341, 
    752 A.2d 955
    (2000) (declining to follow
    Second Circuit precedent would create ‘‘bizarre result’’
    when federal district court, located ‘‘only a few blocks
    away,’’ would be bound under same facts); as a result
    of such a departure would be minimized because that
    case did not specifically involve a claim raised under
    a state unfair trade practices law.9
    Although it too is not directly on point, my review
    of the predicate exception’s text and legislative history
    indicates that the analysis of the United States Court
    of Appeals for the Ninth Circuit in Ileto v. Glock, 
    Inc., supra
    , 
    565 F.3d 1126
    , is more instructive.10 In Ileto, the
    Ninth Circuit considered whether the predicate excep-
    tion saved the plaintiff’s claims of ‘‘knowing violations’’
    of negligence, nuisance, and public nuisance under
    ‘‘California’s general tort law [that] is codified in its
    civil code.’’ 
    Id., 1132–33. Observing
    ‘‘that the term ‘appli-
    cable’ has a spectrum of meanings, including the two
    poles identified by the parties,’’ the Ninth Circuit consid-
    ered the context of Congress’ use of the word ‘‘applica-
    ble,’’ as well as ‘‘the broader context of the statute as
    a whole.’’ (Internal quotation marks omitted.) 
    Id., 1134. The
    court stated that the ‘‘illustrative predicate statutes
    pertain specifically to sales and manufacturing activi-
    ties, and most also target the firearms industry specifi-
    cally. Those examples suggest that [the] [p]laintiffs’
    proposed all-encompassing meaning of the term ‘appli-
    cable’ is incorrect, because each of the examples has—
    at the very least—a direct connection with sales or
    manufacturing. Indeed, if any statute that ‘could be
    applied’ to the sales and manufacturing of firearms qual-
    ified as a predicate statute, there would be no need to
    list examples at all. Similarly, the examples suggest that
    [the] [d]efendants’ asserted narrow meaning is incor-
    rect, because some of the examples do not pertain
    exclusively to the firearms industry.’’ (Emphasis in orig-
    inal.) 
    Id. Determining that
    the ‘‘text of the statute alone is
    inconclusive as to Congress’ intent,’’ the court then
    considered ‘‘the additional indicators of congressional
    intent.’’ 
    Id., 1135. In
    particular, the court observed that
    the express purpose of the arms act is to ‘‘ ‘prohibit
    causes of action against manufacturers, distributors,
    dealers, and importers of firearms or ammunition prod-
    ucts, and their trade associations, for the harm solely
    caused by the criminal or unlawful misuse of firearm
    products or ammunition products by others when the
    product functioned as designed and intended.’ ’’ 
    Id., quoting 15
    U.S.C. § 7901 (b) (1) (2006). The court deter-
    mined that, in ‘‘view of [the] congressional findings and
    that statement of purpose, Congress clearly intended
    to preempt common-law claims, such as general tort
    theories of liability. [The] [p]laintiffs’ claims—‘classic
    negligence and nuisance’—[are] general tort theories
    of liability that traditionally have been embodied in
    the common law.’’ (Citation omitted; footnote omitted.)
    Ileto v. Glock, 
    Inc., supra
    , 
    565 F.3d 1135
    . The court
    emphasized that the California legislature did not intend
    to supplant the common law by enacting its civil code,
    but rather ‘‘to announce and formulate existing com-
    mon law principles and definitions for purposes of
    orderly and concise presentation and with a distinct
    view toward continuing judicial evolution. . . . In
    other words, although California has codified its com-
    mon law, the evolution of those statutes is nevertheless
    subject to the same judicial evolution as ordinary com-
    mon-law claims in jurisdictions that have not codified
    common law. That judicial evolution was precisely the
    target of the [arms act].’’ (Citation omitted; internal
    quotation marks omitted.) 
    Id., 1136. The
    Ninth Circuit
    deemed it ‘‘more likely that Congress had in mind only
    these types of statutes—statutes that regulate manufac-
    turing, importing, selling, marketing, and using firearms
    or that regulate the firearms industry—rather than gen-
    eral tort theories that happened to have been codified
    by a given jurisdiction.’’ 
    Id. The Ninth
    Circuit then examined the ‘‘extensive’’ leg-
    islative history, and made ‘‘two general observations
    . . . . First, all of the congressional speakers’ state-
    ments concerning the scope of the [arms act] reflected
    the understanding that manufacturers and sellers of
    firearms would be liable only for statutory violations
    concerning firearm regulations or sales and marketing
    regulations.’’ 
    Id., 1136–37. Second,
    the court observed
    that the ‘‘very case’’ before it was exactly ‘‘the type of
    case they meant the [arms act] to preempt,’’ along with
    other ‘‘novel’’ cases. (Emphasis omitted.) 
    Id., 1137. Ulti-
    mately, the court held that ‘‘Congress intended to pre-
    empt general tort law claims . . . even though
    California has codified those claims in its civil code.’’11
    
    Id., 1138. Unlike
    the Second Circuit, however, the Ninth
    Circuit expressly demurred to state ‘‘any view on the
    scope of the predicate exception with respect to any
    other statute.’’ 
    Id., 1138 n.9;
    see also District of Colum-
    bia v. Beretta U.S.A. Corp., 
    940 A.2d 163
    , 170–72 (D.C.
    2008) (concluding that District of Columbia’s Assault
    Weapons Manufacturing Strict Liability Act, D.C. Code
    § 7-2551.01 et seq. [2001], is not predicate statute
    because it is pure strict liability, and does not provide
    ‘‘a prohibition against, or standards of, conduct that
    are being violated,’’ with plaintiffs’ claims preempted
    because they did not allege that ‘‘defendants knowingly
    violated any proscriptions or requirements of local or
    federal law governing the sale or possession of fire-
    arms’’), cert. denied sub nom. Lawson v. Beretta U.S.A.
    Corp., 
    556 U.S. 1104
    , 
    129 S. Ct. 1579
    , 
    173 L. Ed. 2d 675
    (2009).
    With this case law in mind, I now turn to the canons
    of statutory interpretation and legislative history to
    determine whether the predicate exception encom-
    passes unfair trade practices statutes that, like CUTPA,
    are not specific to the firearms industry.
    III
    CANONS OF CONSTRUCTION
    With respect to the canons of statutory construction,
    I first observe that the predicate exception is exactly
    that—an exception to the arms act. It is well settled
    that, ‘‘when a statute sets forth exceptions to a general
    rule, we generally construe the exceptions narrowly in
    order to preserve the primary operation of the [provi-
    sion].’’ (Internal quotation marks omitted.) Capitol
    Records, LLC v. Vimeo, LLC, 
    826 F.3d 78
    , 90–91 (2d
    Cir. 2016), cert. denied,       U.S.    , 
    137 S. Ct. 1374
    ,
    
    197 L. Ed. 2d 554
    (2017). This ‘‘proposition . . . is sup-
    ported by commonsense logic. When a statute sets forth
    a general principle, coupled with an exception to it, it
    is logical to assume, in the face of ambiguity in the
    exception, that the legislature did not intend the excep-
    tion to be so broad as to leave nothing of the general
    principle.’’ 
    Id., 91; see
    also Commissioner of Internal
    Revenue v. Clark, 
    489 U.S. 726
    , 739, 
    109 S. Ct. 1455
    , 
    103 L. Ed. 2d 753
    (1989) (‘‘[g]iven that Congress has enacted
    a general rule that treats boot as capital gain, we should
    not eviscerate that legislative judgment through an
    expansive reading of a somewhat ambiguous excep-
    tion’’); A. H. Phillips, Inc. v. Walling, 
    324 U.S. 490
    , 493,
    
    65 S. Ct. 807
    , 
    89 L. Ed. 1095
    (1945) (‘‘[t]o extend an
    exemption to other than those plainly and unmistakably
    within its terms and spirit is to abuse the interpretative
    process and to frustrate the announced will of the peo-
    ple’’). In the absence of clear direction from Congress to
    construe the predicate exception differently, I disagree
    with the majority’s suggestion that we should read the
    arms act narrowly and its predicate exception more
    broadly.12 See Reves v. Ernst & Young, 
    507 U.S. 170
    ,
    183–84, 
    113 S. Ct. 1163
    , 
    122 L. Ed. 2d 525
    (1993) (‘‘ ‘[L]ib-
    eral construction’ ’’ clause in Racketeer Influenced and
    Corrupt Organizations Act [RICO], 18 U.S.C. § 1961 et
    seq. [1988], which ‘‘obviously seeks to ensure that Con-
    gress’ intent is not frustrated by an overly narrow read-
    ing of the statute . . . is not an invitation to apply RICO
    to new purposes that Congress never intended. Nor
    does the clause help us to determine what purposes
    Congress had in mind. Those must be gleaned from the
    statute through the normal means of interpretation. The
    clause only serves as an aid for resolving an ambiguity;
    it is not to be used to beget one.’’ [Internal quotation
    marks omitted.]).
    Beyond the narrow construction that we should
    afford the exceptions to the arms act, the related doc-
    trines of noscitur a sociis and avoiding legislative super-
    fluity also inform the meaning of the phrase ‘‘State or
    Federal statute applicable to the sale or marketing of
    [firearms]’’; 15 U.S.C. § 7903 (5) (A) (iii) (2012); and
    suggest that the examples of federal laws provided
    therein indicate the type of statutory violations that
    would sustain invocation of the predicate exception.
    Under the canon of noscitur a sociis, ‘‘an ambiguous
    term may be given more precise content by the neigh-
    boring words with which it is associated.’’13 (Internal
    quotation marks omitted.) Bilski v. 
    Kappos, supra
    , 
    561 U.S. 604
    ; see also Yates v. United States,        U.S.    ,
    
    135 S. Ct. 1074
    , 1085, 
    191 L. Ed. 2d 64
    (2015) (‘‘we rely
    on the principle of noscitur a sociis—a word is known
    by the company it keeps—to avoid ascribing to one
    word a meaning so broad that it is inconsistent with
    its accompanying words, thus giving unintended
    breadth to the [a]cts of Congress’’ [internal quotation
    marks omitted]). ‘‘By using this interpretive aid, the
    meaning of a statutory word may be indicated, con-
    trolled or made clear by the words with which it is
    associated in the statute.’’ (Internal quotation marks
    omitted.) State v. 
    Agron, supra
    , 
    323 Conn. 636
    . ‘‘As a
    result, broader terms, when used together with more
    narrow terms, may have a more restricted meaning than
    if they stand alone.’’ Dattco, Inc. v. Commissioner of
    Transportation, 
    324 Conn. 39
    , 48, 
    151 A.3d 823
    (2016).
    This is particularly so, given this canon’s relationship
    to the doctrine that ‘‘the [c]ourt will avoid a reading
    which renders some words altogether redundant.’’ Gus-
    tafson v. Alloyd Co., Inc., 
    513 U.S. 561
    , 574, 
    115 S. Ct. 1061
    , 
    131 L. Ed. 2d 1
    (1995); accord Lopa v. Brinker
    International, Inc., 
    296 Conn. 426
    , 433, 
    994 A.2d 1265
    (2010) (‘‘[b]ecause [e]very word and phrase [of a stat-
    ute] is presumed to have meaning [a statute] must be
    construed, if possible, such that no clause, sentence or
    word shall be superfluous, void or insignificant’’ [inter-
    nal quotation marks omitted]).
    The very specific examples of firearms laws that Con-
    gress provides in the predicate exception strongly sug-
    gest that it intended only those statutes that are specific
    to the firearms trade to be considered ‘‘applicable to
    the sale or marketing of the product . . . .’’ 15 U.S.C.
    § 7903 (5) (A) (iii) (2012). The first example is ‘‘any
    case in which the manufacturer or seller knowingly
    made any false entry in, or failed to make appropriate
    entry in, any record required to be kept under Federal
    or State law with respect to the qualified product, or
    aided, abetted, or conspired with any person in making
    any false or fictitious oral or written statement with
    respect to any fact material to the lawfulness of the
    sale or other disposition of a qualified product . . . .’’
    15 U.S.C. § 7903 (5) (A) (iii) (I) (2012). The second is
    ‘‘any case in which the manufacturer or seller aided,
    abetted, or conspired with any other person to sell or
    otherwise dispose of a qualified product, knowing, or
    having reasonable cause to believe, that the actual
    buyer of the qualified product was prohibited from pos-
    sessing or receiving a firearm or ammunition under
    subsection (g) or (n) of section 922 of title 18 . . . .’’
    15 U.S.C. § 7903 (5) (A) (iii) (II) (2012). Had Congress
    intended the predicate exception to broadly encompass
    any statute capable of application to the manufacture
    or sale of anything, the inclusion of those firearms-
    specific examples would be superfluous.14 See Yates v.
    United 
    States, supra
    , 
    135 S. Ct. 1087
    (‘‘Had Congress
    intended ‘tangible object’ in [18 U.S.C.] § 1519 to be
    interpreted so generically as to capture physical objects
    as dissimilar as documents and fish, Congress would
    have had no reason to refer specifically to ‘record’ or
    ‘document.’ The Government’s unbounded reading of
    ‘tangible object’ would render those words misleading
    surplusage.’’); Gustafson v. Alloyd 
    Co., supra
    , 
    513 U.S. 574
    –75 (interpreting Securities Act of 1933 and stating
    that ‘‘[i]f ‘communication’ included every written com-
    munication, it would render ‘notice, circular, advertise-
    ment, [and] letter’ redundant, since each of these are
    forms of written communication as well’’); Dattco, Inc.
    v. Commissioner of 
    Transportation, supra
    , 
    324 Conn. 48
    –49 (‘‘The legislature’s grouping [in General Statutes
    (Rev. to 2015) § 13b-36 (a)] of the term ‘facilities’ with
    other nouns that all denote tangible objects favors a
    conclusion that the term ‘facilities’ also refers to tangi-
    ble objects other than land, buildings, and equipment
    that might be used in a transportation system. More-
    over, interpreting ‘facilities’ to mean only tangible items
    does not render it superfluous or redundant with
    respect to the terms ‘land,’ ‘buildings,’ or ‘equipment,’
    as the commissioner suggests. The term ‘facilities’
    embraces numerous tangible items—other than land,
    buildings, or equipment—including bridges . . . docks
    . . . side railroad tracks that are part of a rail system
    . . . dams and reservoirs . . . and even horses.’’ [Cita-
    tions omitted.]). Although a reading of the predicate
    exception that is informed by the canons of construc-
    tion strongly favors the defendants, the plaintiffs’ prof-
    fered reading of the statute remains reasonable, insofar
    as ‘‘we do not woodenly apply limiting principles every
    time Congress includes a specific example along with
    a general phrase.’’ Ali v. Federal Bureau of Prisons,
    
    552 U.S. 214
    , 227, 
    128 S. Ct. 831
    , 
    169 L. Ed. 2d 680
    (2008). Accordingly, I continue to consider the legisla-
    tive history of the arms act in determining whether a
    predicate statute must specifically relate to the fire-
    arms industry.
    IV
    LEGISLATIVE HISTORY
    The legislative history also supports a narrow reading
    of the predicate exception as limited only to those stat-
    utes that govern the sale and marketing of firearms
    specifically. I agree with the majority’s description of
    the legislative history of the arms act as ‘‘extensive’’ and
    ‘‘present[ing] something of a mixed bag.’’15 I disagree,
    however, with the majority’s conclusion that the legisla-
    tive history demonstrates that ‘‘Congress did not intend
    to limit the scope of the predicate exception to viola-
    tions of firearms specific laws or to confer immunity
    from all claims alleging that firearms sellers violated
    unfair trade practice laws.’’ Consistent with the purpose
    of the arms act as set forth in 15 U.S.C. § 7901; see
    footnote 1 of this dissenting opinion; much of the legis-
    lative history consists of broad statements by support-
    ers of the arms act about saving the American firearms
    industry from ‘‘predatory,’’ ‘‘abusive,’’ and ‘‘frivolous’’
    lawsuits, sanctioned by ‘‘sympathetic activist judges,’’
    seeking ‘‘damages resulting from the criminal or unlaw-
    ful misuse of a firearm or ammunition by a third party.’’16
    151 Cong. Rec. 18,057–58 (2005), remarks of Senator
    Larry Edwin Craig and Senator Thomas Allen Coburn;
    see, e.g., 
    id., 2315–16, remarks
    of Representative Clif-
    ford Bundy Stearns (introducing House bill); 
    id., 18,057, remarks
    of Senator Craig (‘‘[t]hese predatory lawsuits
    are aimed at bankrupting the firearms industry’’ and ‘‘all
    seek the same goal of forcing law-abiding businesses
    selling a legal product to pay for damages from the
    criminal misuse of that product,’’ which would threaten
    ‘‘a domestic industry that is critical to our national
    defense’’ and jeopardize ‘‘hundreds of thousands of
    good paying jobs’’); 
    id., 18,058, remarks
    of Senator
    Coburn (‘‘[A]nti-gun activists have found another way
    to constrict the right to bear arms and attack the Bill
    of Rights and attack the [United States] [c]onstitution,
    and that is through frivolous litigation. . . . [These]
    novel lawsuits . . . are not intended to create a solu-
    tion. They are intended to drive the gun industry out
    of business by holding manufacturers and dealers liable
    for the intentional and criminal act[s] of third parties
    over whom they have absolutely no control.’’); see also
    
    id., 18,070, remarks
    of Senator William H. Frist; 
    id., 18,072–73, remarks
    of Senator Lindsey Graham; 
    id., 18,073, remarks
    of Senator Orrin Grant Hatch; 
    id., 18,914, remarks
    of Senator Kathryn Ann Bailey Hutchi-
    son; 
    id., 18,924, remarks
    of Senator Jefferson Beaure-
    gard Sessions III.
    Turning beyond the more sweeping remarks, to the
    extent that there is legislative history illuminating the
    meaning of the predicate exception, it ‘‘reflect[s] the
    understanding that manufacturers and sellers of fire-
    arms would be liable only for statutory violations con-
    cerning firearm regulations or sales and marketing
    regulations.’’ Ileto v. Glock, 
    Inc., supra
    , 
    565 F.3d 1137
    .
    Thus, the legislative debate, much of which was
    intended to provide assurances that the arms act would
    not preempt claims against the dealers who violated
    numerous firearms sale laws in selling the Bushmaster
    rifle used by the beltway snipers; see, e.g., H.R. Rep.
    No. 109-124, p. 92 (2005), remarks of Representative
    Melvin L. Watt; supports an interpretation of predicate
    statutes as those specifically regulating the sale or mar-
    keting of firearms, such as those governing the tracking
    of inventory by firearms dealers.17 For example, Senator
    Craig explained that the ‘‘bill does not shut the court-
    house door,’’ insofar as ‘‘plaintiffs will have the opportu-
    nity to argue that their case falls under the exception,
    such as violations of [f]ederal and [s]tate law . . . that
    you have knowingly sold a firearm to a person who
    cannot legally have it or who you have reason to believe
    could use it for a purpose other than intended. That all
    comes under the current definition of [f]ederal law.’’
    151 Cong. Rec. 18,057–58 (2005). In contending that the
    arms act does not reduce ‘‘personal accountability’’ for
    firearms manufacturers, given its exceptions, Senator
    Coburn emphasized that ‘‘gun manufacturers and sell-
    ers are already policed enough, too much, through hun-
    dreds of pages of statutes, hundreds of pages of
    regulations. To name a few sources of regulations of
    guns and ammunition: the Internal Revenue Code,
    including the National Firearms Act postal regulations
    restricting shipping of handguns; [f]ederal explosive
    law; regulations for gunpowder and ammunition manu-
    facture; the Arms Export Control Act; the Commerce
    Department export regulations; the Department of
    Transportation regulations on ammunition explosives
    and hazardous material transport. In addition to keep-
    ing explicit records that can be inspected by . . . the
    Bureau of Alcohol, Tobacco, Firearms, and Explosives,
    licensed dealers have to conduct a [f]ederal criminal
    background check . . . . All retail gun buyers are
    screened to the best of the [g]overnment’s ability.’’ 
    Id., 18,059–60; see
    also 
    id., 19,119, remarks
    of Senator Ses-
    sions (emphasizing that arms act ‘‘allows lawsuits for
    violation of contract, for negligence, in not following
    the rules and regulations and for violating any law or
    regulation that is part of the complex rules that control
    sellers and manufacturers of firearms’’). Similarly, when
    introducing the final Senate bill in the House, Represen-
    tative Phil Gingrey explained that the predicate excep-
    tion ‘‘would specifically allow lawsuits against firearms
    dealers such as the dealer whose firearm ended up in the
    hands of the [beltway] snipers who failed to maintain
    a required inventory list necessary to ensure that they
    are alerted to any firearm thefts.’’ 
    Id., 23,020. Moreover,
    the majority does not cite, and my indepen-
    dent research has not revealed, any legislative history
    indicating that state unfair trade practice statutes were
    within the contemplation of Congress in enacting the
    predicate exception. Other statements indicate that
    such statutes were not contemplated as predicates, and
    that supporters of the arms act specifically rejected
    the viability of claims arising from the advertising of
    firearms. For example, arguing in support of the arms
    act, Senator Hatch criticized pending actions against
    gun manufacturers, observing that these ‘‘lawsuits, cit-
    ing deceptive marketing or some other pretext, con-
    tinue to be filed in a number of [s]tates, and they
    continue to be unsound. These lawsuits claim that sell-
    ers give the false impression that gun ownership
    enhances personal safety or that sellers should know
    that certain guns will be used illegally. That is pure
    bunk. Let’s look at the truth. The fact is that none of
    these lawsuits are aimed at the actual wrongdoer who
    kills or injures another with a gun—none. Instead, the
    lawsuits are focused on legitimate, law-abiding busi-
    nesses.’’18 (Emphasis added.) 151 Cong. Rec. 18,073;
    see also 
    id. (noting that
    arms act ‘‘provides carefully
    tailored protections for legitimate lawsuits, such as
    those where there are knowing violations of gun sale
    laws’’).
    Finally, congressional concerns about vague stan-
    dards leading to liability also support a reading of the
    predicate exception that is limited to firearms industry-
    specific statutes, rather than statutes of general applica-
    bility such as CUTPA. For example, in arguing in the
    House Judiciary Committee—seemingly inexplicably—
    against an amendment that would clarify that the arms
    act allows actions against gun dealers who knowingly
    sell firearms to a person who is on the violent gang and
    terrorist watch list maintained by the Department of
    Justice, Representative Christopher B. Cannon argued
    that ‘‘the vast number of co-sponsors of this bill would
    agree that the burden here should be on the [g]overn-
    ment to identify people and not create a vague standard
    that could be used again to destroy gun manufacturers
    with lawsuits that don’t have clarity, but cost a great
    deal of money.’’ H.R. Rep. No. 109-124, supra, p. 126.
    Likewise, arguing in support of the arms act, Senator
    John Thune emphasized that the exceptions, including
    for violating the law in the production or sale of a
    firearm, ‘‘are not arbitrary standards . . . .’’ 151 Cong.
    Rec. 19,119 (2005).
    Similarly, in opposing a bill amendment that would
    provide an exception to the arms act for ‘‘gross negli-
    gence’’ or ‘‘reckless conduct,’’ Senator John Cornyn
    argued that the breadth of those terms ‘‘would actually
    gut the very underlying purpose of this legislation’’
    because the pleading of such claims would broaden the
    scope of the discovery involved, and allow for greater
    harassment of the manufacturers via the litigation pro-
    cess. 
    Id., 18,918. Senator
    Jon Llewellyn Kyl described
    the amendment as ‘‘a poison pill for the entire bill
    because, in effect . . . if you allege gross negligence
    or recklessness, then the exemption the bill provides
    evaporates. So you are a lawyer. All you do is allege
    gross negligence or recklessness and, bingo, you are
    back in court again. So it totally undercuts the purpose
    of this legislation.’’19 
    Id., 18,919; see
    also 
    id., 18,921, remarks
    of Senator Craig (arguing that gross negligence
    exception would render arms act ‘‘relatively meaning-
    less as to where we are in relation to the kind of junk
    or dilatory lawsuits that are currently being filed against
    gun manufacturers and gun dealers who not only pro-
    duce a legal product to the market but sell it in the
    legal context’’). Senator Graham similarly emphasized
    how statutes affect a manufacturer’s duty of care, stat-
    ing that the arms act ‘‘doesn’t let a seller or a distributor
    off the hook for violating a statute or making a sale
    illegally because it says, if you violate the law that exists,
    then you have broken a duty. Duty can be established
    by relationships. It can [also] be established by a statute.
    So this bill does not allow someone to sell a gun without
    following the procedures that we have set out to sell
    a gun. It doesn’t allow someone to make a gun that
    is unsafe. You are on the hook, and you can be held
    accountable based on a simple negligence theory or a
    negligence per se theory if you violate a specific statute
    during the sale of a gun or manufacturing of a gun.
    But what this bill prevents, and I think rightfully so, is
    establishing a duty along this line: That you have a
    responsibility, even if you do a lawful transaction or
    make a safe gun, for an event that you can’t control,
    which is the intentional misuse of a weapon in a criminal
    fashion by another person. That is the heart of this bill.
    It doesn’t relieve you of duties that the law imposes
    upon you to safely manufacture and to carefully sell.
    But we are not going to extend it to a concept where
    you are responsible, after you have done everything
    right, for what somebody else may do who bought your
    product and they did it wrong and it is their fault, not
    yours. So it does not matter whether you use a gross
    negligence standard, a simple negligence standard, you
    have blown by the concept of the bill in my opinion.
    The debate should be, is there a duty owed in this
    country for people who follow the law, manufacture
    safely, sell within the confines of the laws we have
    written at the [s]tate and [f]ederal level to the public
    at large if an injury results from the criminal act of
    another? If that ever happens, this country has made a
    major change in the way we relate to each other and
    a major change in the law.’’ 
    Id., 18,920. Accordingly,
    I
    conclude that the legislative history demonstrates that
    Congress contemplated that only those statutes provid-
    ing clear standards with respect to the sale and market-
    ing of firearms would serve as predicate statutes.
    V
    CONCLUSION
    On the basis of my review of the text, case law, canons
    of construction, and legislative history, I conclude that
    predicate statutes under the predicate exception to the
    arms act, 15 U.S.C. § 7903 (5) (A) (iii), are limited to
    those specific to the sale and manufacture of firearms.20
    Compare Phillips v. Lucky Gunner, LLC, 
    84 F. Supp. 3d
    1216, 1219–20, 1224 (D. Colo. 2015) (concluding in
    case arising from movie theater mass shooting that
    plaintiffs had not pleaded facts against ammunition
    sellers indicating knowledge of shooter’s conduct and
    mental condition before shootings, and had not claimed
    that firearms sellers engaged in ‘‘noncompliance with
    the regulatory requirements applicable to [over the
    counter] sales,’’ or that ‘‘the . . . defendants had any
    knowledge of the sales made by the others or by the
    local firearms dealers’’), and Jefferies v. District of
    Columbia, 
    916 F. Supp. 2d 42
    , 45–46 (D.D.C. 2013)
    (claims against assault rifle manufacturer arising from
    shooting by third party are preempted by arms act when
    only statute pleaded was District of Columbia’s Assault
    Weapons Manufacturing Strict Liability Act, D.C. Code
    § 7-2551 [2001]), with Corporan v. Wal-Mart Stores
    East, LP, United States District Court, Docket No. 16-
    2305-JWL (JWL) (D. Kan. July 18, 2016) (concluding
    that proposed amendments to complaint saved it from
    preemption because allegations supported ‘‘plausible
    claim’’ that defendants ‘‘knowingly violated certain spe-
    cific provisions of the Gun Control Act of 1968,’’ 18
    U.S.C. § 921 et seq., with respect to straw purchase of
    firearm used in shooting), New York v. A-1 Jewelry &
    Pawn, Inc., 
    252 F.R.D. 130
    , 132 (E.D.N.Y. 2008) (con-
    cluding that arms act preemption was inapplicable
    because ‘‘there are alleged in the instant action substan-
    tial violations of specific federal laws applicable to the
    sale and marketing of firearms which allegedly proxi-
    mately cause harm to the [plaintiff]’’ including prohibi-
    tions on straw purchasing and violation of state
    nuisance statute specifically applicable to firearms
    [emphasis omitted]), and Williams v. Beemiller, Inc.,
    
    100 A.D. 3d
    143, 148–50, 
    952 N.Y.S.2d 333
    (2012)
    (concluding that plaintiffs ‘‘sufficiently alleged that
    defendants knowingly violated various federal and state
    statutes applicable to the sale or marketing of firearms
    within the meaning of the . . . predicate exception’’
    when they alleged that federally licensed firearms
    dealer knowingly sold multiple handguns to straw pur-
    chaser under circumstances suggesting ‘‘trafficking in
    the criminal market rather than for their personal use
    because [1] they had purchased multiple guns on prior
    occasions; [2] they paid for the guns in cash; and [3]
    they selected Hi-Point 9mm handguns, which are ‘dis-
    proportionately used in crime’ and have ‘no collector
    value or interest,’ ’’ with accomplice claims stated based
    on government notifications that ‘‘over 13,000 guns they
    sold had been used in crimes’’).
    To determine whether CUTPA is a predicate statute
    under this standard, I consider that, as a matter of state
    law, ‘‘CUTPA is, on its face, a remedial statute that
    broadly prohibits unfair methods of competition and
    unfair or deceptive acts or practices in the conduct of
    any trade or commerce. . . . [CUTPA] provides for
    more robust remedies than those available under analo-
    gous common-law causes of action, including punitive
    damages . . . and attorney’s fees and costs, and, in
    addition to damages or in lieu of damages, injunctive
    or other equitable relief. . . . To give effect to its provi-
    sions, [General Statutes] § 42-110g (a) of [CUTPA]
    establishes a private cause of action, available to [a]ny
    person who suffers any ascertainable loss of money or
    property, real or personal, as a result of the use or
    employment of a method, act or practice prohibited by
    [General Statutes §] 42-110b . . . .’’ (Internal quotation
    marks omitted.) Artie’s Auto Body, Inc. v. Hartford
    Fire Ins. Co., 
    317 Conn. 602
    , 623, 
    119 A.3d 1139
    (2015).
    ‘‘[Section] 42-110b (a) provides that [n]o person shall
    engage in unfair methods of competition and unfair or
    deceptive acts or practices in the conduct of any trade
    or commerce. It is well settled that in determining
    whether a practice violates CUTPA we have adopted
    the criteria set out in the cigarette rule by the [F]ederal
    [T]rade [C]ommission for determining when a practice
    is unfair: (1) [W]hether the practice, without necessarily
    having been previously considered unlawful, offends
    public policy as it has been established by statutes, the
    common law, or otherwise—in other words, it is within
    at least the penumbra of some common law, statutory,
    or other established concept of unfairness; (2) whether
    it is immoral, unethical, oppressive, or unscrupulous;
    (3) whether it causes substantial injury to consumers,
    [competitors or other businesspersons]. . . . All three
    criteria do not need to be satisfied to support a finding
    of unfairness. A practice may be unfair because of the
    degree to which it meets one of the criteria or because
    to a lesser extent it meets all three. . . . Thus a viola-
    tion of CUTPA may be established by showing either
    an actual deceptive practice . . . or a practice
    amounting to a violation of public policy.’’ (Internal
    quotation marks omitted.) Ulbrich v. Groth, 
    310 Conn. 375
    , 409–10, 
    78 A.3d 76
    (2013).
    ‘‘CUTPA, by its own terms, applies to a broad spec-
    trum of commercial activity. The operative provision
    of [that] act, § 42-110b (a), states merely that ‘[n]o per-
    son shall engage in unfair methods of competition and
    unfair or deceptive acts or practices in the conduct of
    any trade or commerce.’ Trade or commerce, in turn,
    is broadly defined as ‘the advertising, the sale or rent
    or lease, the offering for sale or rent or lease, or the
    distribution of any services and any property, tangible
    or intangible, real, personal or mixed, and any other
    article, commodity, or thing of value in this state.’
    General Statutes § 42-110a (4). The entire act is remedial
    in character; General Statutes § 42-110b (d); Hinchliffe
    v. American Motors Corp., 
    184 Conn. 607
    , 615 n.4, 
    440 A.2d 810
    (1981); and must ‘be liberally construed in
    favor of those whom the legislature intended to bene-
    fit.’ ’’ (Emphasis added; footnote omitted.) Larsen
    Chelsey Realty Co. v. Larsen, 
    232 Conn. 480
    , 492, 
    656 A.2d 1009
    (1995). ‘‘CUTPA, like equity, reaches beyond
    traditional common law precepts in establishing a fair-
    ness standard designed to grow and broaden and mold
    [itself] to meet circumstances as they arise . . . . The
    resolution of claims requiring the application of broadly
    defined and deeply rooted public values such as the
    statute’s elusive, but [legislatively] mandated standard
    of fairness . . . has historically been the function of a
    court of equity.’’21 (Citations omitted; internal quotation
    marks omitted.) Associated Investment Co. Ltd. Part-
    nership v. Williams Associates IV, 
    230 Conn. 148
    , 159,
    
    645 A.2d 505
    (1994); see also 
    id., 161–62 (no
    state consti-
    tutional right to jury trial of CUTPA claim).
    In summary, whether this court agrees with Congress
    or not, in adopting the arms act, Congress adopted
    findings and statements of purpose in 15 U.S.C. § 7901;
    see footnote 1 of this dissenting opinion; which made
    very clear its intent to absolve defendants like these—
    gun manufacturers and distributors—from liability for
    criminal use of firearms by third parties except in the
    most limited and narrow circumstances and, particu-
    larly, to shield them from novel or vague standards of
    liability.22 This court is obligated, therefore, to construe
    the predicate exception to the arms act, 15 U.S.C. § 7903
    (5) (A) (iii), narrowly in light of that clear expression
    of congressional intent. See, e.g., Trinity Christian
    School v. Commission on Human Rights & Opportuni-
    ties, 
    329 Conn. 684
    , 697–98, 
    189 A.3d 79
    (2018) (‘‘[i]t is
    not the province of this court, under the guise of statu-
    tory interpretation, to legislate . . . a [particular] pol-
    icy, even if we were to agree . . . that it is a better
    policy than the one endorsed by the legislature as
    reflected in its statutory language’’ [internal quotation
    marks omitted]). Put differently, ‘‘[w]hen we construe
    a statute, we act not as plenary lawgivers but as surro-
    gates for another policy maker, [that is] the legislature.
    In our role as surrogates, our only responsibility is to
    determine what the legislature, within constitutional
    limits, intended to do.’’ (Internal quotation marks omit-
    ted.) State v. Salamon, 
    287 Conn. 509
    , 520, 
    949 A.2d 1092
    (2008). My analysis of the relevant statutory text,
    case law, canons of construction, and legislative history
    demonstrates that Congress intended to limit predicate
    statutes under that exception to those statutes that
    relate specifically to the sale and manufacture of fire-
    arms.23 Consequently, I strongly disagree with the
    majority’s conclusion that CUTPA, which is a broadly
    drafted state unfair trade practices statute applicable
    to all commercial entities in a variety of factual circum-
    stances, comes within that exception.24 Instead, I would
    conclude that, because CUTPA, both in its statutory
    text and in its implementation under the cigarette rule,
    reaches a range of commercial conduct that far exceeds
    the manufacture, marketing, and sale of firearms, it is
    not by itself a predicate statute. That state unfair trade
    practices statutes had not been used to hold firearms
    manufacturers civilly liable to crime victims25 renders
    the plaintiffs’ CUTPA claims particularly novel in the
    contemplation of Congress; see 15 U.S.C. § 7901 (a) (7)
    (2012); and, thus, subject to preclusion under the arms
    act.26 I conclude, therefore, that the arms act preempts
    the plaintiffs’ claims of immoral advertising in violation
    of CUTPA.27 I, therefore, respectfully disagree with part
    V of the majority’s opinion, and I would affirm the
    judgment of the trial court in its entirety.
    Accordingly, I respectfully dissent.
    1
    Section 7901 of title 15 of the United States Code provides: ‘‘(a) Findings
    ‘‘Congress finds the following:
    ‘‘(1) The Second Amendment to the United States Constitution provides
    that the right of the people to keep and bear arms shall not be infringed.
    ‘‘(2) The Second Amendment to the United States Constitution protects
    the rights of individuals, including those who are not members of a militia
    or engaged in military service or training, to keep and bear arms.
    ‘‘(3) Lawsuits have been commenced against manufacturers, distributors,
    dealers, and importers of firearms that operate as designed and intended,
    which seek money damages and other relief for the harm caused by the
    misuse of firearms by third parties, including criminals.
    ‘‘(4) The manufacture, importation, possession, sale, and use of firearms
    and ammunition in the United States are heavily regulated by Federal, State,
    and local laws. Such Federal laws include the Gun Control Act of 1968, the
    National Firearms Act [26 U.S.C. § 5801 et seq.], and the Arms Export Control
    Act [22 U.S.C. § 2751 et seq.].
    ‘‘(5) Businesses in the United States that are engaged in interstate and
    foreign commerce through the lawful design, manufacture, marketing, distri-
    bution, importation, or sale to the public of firearms or ammunition products
    that have been shipped or transported in interstate or foreign commerce
    are not, and should not, be liable for the harm caused by those who criminally
    or unlawfully misuse firearm products or ammunition products that function
    as designed and intended.
    ‘‘(6) The possibility of imposing liability on an entire industry for harm
    that is solely caused by others is an abuse of the legal system, erodes
    public confidence in our Nation’s laws, threatens the diminution of a basic
    constitutional right and civil liberty, invites the disassembly and destabiliza-
    tion of other industries and economic sectors lawfully competing in the free
    enterprise system of the United States, and constitutes an unreasonable
    burden on interstate and foreign commerce of the United States.
    ‘‘(7) The liability actions commenced or contemplated by the Federal
    Government, States, municipalities, and private interest groups and others
    are based on theories without foundation in hundreds of years of the com-
    mon law and jurisprudence of the United States and do not represent a
    bona fide expansion of the common law. The possible sustaining of these
    actions by a maverick judicial officer or petit jury would expand civil liability
    in a manner never contemplated by the framers of the Constitution, by
    Congress, or by the legislatures of the several States. Such an expansion
    of liability would constitute a deprivation of the rights, privileges, and
    immunities guaranteed to a citizen of the United States under the Fourteenth
    Amendment to the United States Constitution.
    ‘‘(8) The liability actions commenced or contemplated by the Federal
    Government, States, municipalities, private interest groups and others
    attempt to use the judicial branch to circumvent the Legislative branch of
    government to regulate interstate and foreign commerce through judgments
    and judicial decrees thereby threatening the Separation of Powers doctrine
    and weakening and undermining important principles of federalism, State
    sovereignty and comity between the sister States.
    ‘‘(b) Purposes
    ‘‘The purposes of [the arms act] are as follows:
    ‘‘(1) To prohibit causes of action against manufacturers, distributors,
    dealers, and importers of firearms or ammunition products, and their trade
    associations, for the harm solely caused by the criminal or unlawful misuse
    of firearm products or ammunition products by others when the product
    functioned as designed and intended.
    ‘‘(2) To preserve a citizen’s access to a supply of firearms and ammunition
    for all lawful purposes, including hunting, self-defense, collecting, and com-
    petitive or recreational shooting.
    ‘‘(3) To guarantee a citizen’s rights, privileges, and immunities, as applied
    to the States, under the Fourteenth Amendment to the United States Consti-
    tution, pursuant to section 5 of that Amendment.
    ‘‘(4) To prevent the use of such lawsuits to impose unreasonable burdens
    on interstate and foreign commerce.
    ‘‘(5) To protect the right, under the First Amendment to the Constitution,
    of manufacturers, distributors, dealers, and importers of firearms or ammuni-
    tion products, and trade associations, to speak freely, to assemble peaceably,
    and to petition the Government for a redress of their grievances.
    ‘‘(6) To preserve and protect the Separation of Powers doctrine and
    important principles of federalism, State sovereignty and comity between
    sister States.
    ‘‘(7) To exercise congressional power under article IV, section 1 (the Full
    Faith and Credit Clause) of the United States Constitution.’’
    2
    Section 7903 (5) (A) of title 15 of the United States Code provides:
    ‘‘In general
    ‘‘The term ‘qualified civil liability action’ means a civil action or proceeding
    or an administrative proceeding brought by any person against a manufac-
    turer or seller of a qualified product, or a trade association, for damages,
    punitive damages, injunctive or declaratory relief, abatement, restitution,
    fines, or penalties, or other relief, resulting from the criminal or unlawful
    misuse of a qualified product by the person or a third party, but shall
    not include—
    ‘‘(i) an action brought against a transferor convicted under section 924
    (h) of title 18, or a comparable or identical State felony law, by a party
    directly harmed by the conduct of which the transferee is so convicted;
    ‘‘(ii) an action brought against a seller for negligent entrustment or negli-
    gence per se;
    ‘‘(iii) an action in which a manufacturer or seller of a qualified product
    knowingly violated a State or Federal statute applicable to the sale or
    marketing of the product, and the violation was a proximate cause of the
    harm for which relief is sought, including—
    ‘‘(I) any case in which the manufacturer or seller knowingly made any
    false entry in, or failed to make appropriate entry in, any record required
    to be kept under Federal or State law with respect to the qualified product,
    or aided, abetted, or conspired with any person in making any false or
    fictitious oral or written statement with respect to any fact material to
    the lawfulness of the sale or other disposition of a qualified product; or
    ‘‘(II) any case in which the manufacturer or seller aided, abetted, or
    conspired with any other person to sell or otherwise dispose of a qualified
    product, knowing, or having reasonable cause to believe, that the actual
    buyer of the qualified product was prohibited from possessing or receiving
    a firearm or ammunition under subsection (g) or (n) of section 922 of
    title 18;
    ‘‘(iv) an action for breach of contract or warranty in connection with the
    purchase of the product;
    ‘‘(v) an action for death, physical injuries or property damage resulting
    directly from a defect in design or manufacture of the product, when used
    as intended or in a reasonably foreseeable manner, except that where the
    discharge of the product was caused by a volitional act that constituted a
    criminal offense, then such act shall be considered the sole proximate cause
    of any resulting death, personal injuries or property damage; or
    ‘‘(vi) an action or proceeding commenced by the Attorney General to
    enforce the provisions of chapter 44 of title 18 or chapter 53 of title 26.’’
    3
    Section 7902 of title 15 of the United States Code provides: ‘‘(a) In general
    ‘‘A qualified civil liability action may not be brought in any Federal or
    State court.
    ‘‘(b) Dismissal of pending actions
    ‘‘A qualified civil liability action that is pending on October 26, 2005, shall
    be immediately dismissed by the court in which the action was brought or
    is currently pending.’’
    4
    The plaintiffs at issue in the present appeal are as follows: Donna L.
    Soto, administratrix of the estate of Victoria L. Soto; Ian Hockley and Nicole
    Hockley, coadministrators of the estate of Dylan C. Hockley; William D.
    Sherlach, executor of the estate of Mary Joy Sherlach; Leonard Pozner,
    administrator of the estate of Noah S. Pozner; Gilles J. Rousseau, administra-
    tor of the estate of Lauren G. Rousseau; David C. Wheeler, administrator
    of the estate of Benjamin A. Wheeler; Neil Heslin and Scarlett Lewis, coad-
    ministrators of the estate of Jesse McCord Lewis; Mark Barden and Jacque-
    line Barden, coadministrators of the estate of Daniel G. Barden; and Mary
    D’Avino, administratrix of the estate of Rachel M. D’Avino. See also footnote
    2 of the majority opinion.
    5
    The defendants are as follows: Bushmaster Firearms International, LLC;
    Freedom Group, Inc.; Bushmaster Firearms; Bushmaster Firearms, Inc.;
    Bushmaster Holdings, LLC; Remington Arms Company, LLC; Remington
    Outdoor Company, Inc.; Camfour, Inc.; Camfour Holding, LLP; Riverview
    Sales, Inc.; and David LaGuercia.
    6
    It is not disputed that the AR-15 is a ‘‘qualified product’’ under the
    arms act. See 15 U.S.C. § 7903 (4) (2012) (defining ‘‘ ‘qualified product’ ’’ as
    ‘‘firearm . . . ammunition . . . or component part . . . that has been
    shipped or transported in interstate or foreign commerce’’). For the sake
    of convenience and clarity, I use the word ‘‘firearm’’ in describing the reach
    of the arms act, understanding that word to be synonymous with the defini-
    tion of ‘‘qualified product’’ under 15 U.S.C. § 7903 (4).
    7
    Section 240.45 of New York’s Penal Law (McKinney 2008) provided
    in relevant part: ‘‘A person is guilty of criminal nuisance in the second
    degree when:
    ‘‘1. By conduct either unlawful in itself or unreasonable under all the
    circumstances, he knowingly or recklessly creates or maintains a condition
    which endangers the safety or health of a considerable number of persons; or
    ‘‘2. He knowingly conducts or maintains any premises, place or resort
    where persons gather for purposes of engaging in unlawful conduct . . . .’’
    8
    Judge Katzmann also observed that this approach creates a ‘‘Catch-22,’’
    insofar as ‘‘the apparently insurmountable obstacle for the plaintiffs here
    is that the New York courts have not yet addressed the question—as such,
    the majority feels free to conclude that [the criminal nuisance statute] is
    not ‘applicable’ to the sale and marketing of firearms. Unlike, say, a fruit,
    which is edible long before someone has eaten it, or gasoline, which is
    flammable even before someone has ignited it, the majority finds that a
    state law is not applicable until a state court actually applies it.’’ New York
    v. Beretta U.S.A. 
    Corp., supra
    , 
    524 F.3d 406
    –407. Judge Katzmann criticized
    this as inconsistent with the plain meaning of the word ‘‘applicable,’’ and
    observed that it invited forum shopping in order for parties first to obtain
    a state court interpretation of the potentially applicable state law. 
    Id., 407. Instead,
    Judge Katzmann would follow what he deemed to be the ‘‘plain
    meaning’’ of the predicate exception, concluding that [the] criminal nuisance
    statute could be applied to firearms by its general terms, and he would have
    certified to the New York Court of Appeals a question of state law, namely,
    ‘‘whether the . . . criminal nuisance statute . . . is in fact ‘applicable to
    the sale and marketing of firearms.’ ’’ (Citation omitted.) 
    Id. Although I
    disagree with Judge Katzmann’s ultimate conclusion with respect to the
    plain meaning of the relevant statutory language, I nevertheless share his
    other concerns with respect to the interpretation of the predicate exception.
    9
    I also find unpersuasive the decision of the Indiana Court of Appeals in
    Smith & Wesson Corp. v. Gary, 
    875 N.E.2d 422
    , 431 (Ind. App. 2007), transfer
    denied, 
    915 N.E.2d 978
    (Ind. 2009), to the extent that it concluded that the
    plain language of the predicate exception did not bar a city’s claim of public
    nuisance against a gun manufacturer insofar as the nuisance statute is
    ‘‘capable of being applied’’ to the sale and marketing of firearms. I note,
    however, that the court emphasized that the allegations in the complaint
    satisfied the manufacturers’ more restrictive reading of the predicate excep-
    tion, because they claimed numerous violations of ‘‘statute[s] directly appli-
    cable to the sale or marketing of a firearm . . . .’’ 
    Id., 432. 10
          I note that the plaintiffs in the present case have candidly acknowledged
    that the approach adopted by the Ninth Circuit in Ileto v. Glock, 
    Inc., supra
    ,
    
    565 F.3d 1126
    , is ‘‘more restrictive’’ than the Second Circuit’s approach in
    New York v. Beretta U.S.A. 
    Corp., supra
    , 
    524 F.3d 404
    .
    11
    The decision of the Ninth Circuit in Ileto was not unanimous. In dissent,
    Judge Marsha S. Berzon concluded that the plaintiffs’ claims alleging viola-
    tions of the California Civil Code were, in fact, saved by the predicate
    exception. See Ileto v. Glock, 
    Inc., supra
    , 
    565 F.3d 1146
    –47. Judge Berzon
    first observed that ‘‘the predicate exception cannot possibly encompass
    every statute that might be ‘capable of being applied’ to the sale or manufac-
    ture of firearms; if it did, the exception would swallow the rule, and no civil
    lawsuits would ever be subject to dismissal under the [arms act]. I therefore
    agree with the majority that a limiting principle must be found, and that
    rather than trying to locate it in the word ‘applicable’ itself, we must look
    to the predicate exception’s surrounding words.’’ (Emphasis in original.)
    
    Id., 1155. Judge
    Berzon determined that ‘‘the key to interpreting the predicate
    exception is [Congress’] use of the word ‘knowingly’ ’’; id.; insofar as
    ‘‘[a]pplying the [arms act’s] predicate exception as written—that is, as
    applying to all statutes capable of being applied to the sale or marketing
    of firearms, but imposing an actual knowledge requirement—would prohibit
    a swath of lawsuits against firearms manufacturers and sellers, including
    those brought by municipalities for violations of no-fault or absolute liability
    statutes or those brought by individuals alleging vicarious liability under
    state tort law for the conduct of third parties of which the gun manufacturers
    or sellers were not aware.’’ 
    Id., 1163. Judge
    Berzon concluded that the
    various allegations in the plaintiffs’ complaint supported their claim that the
    defendants ‘‘knowingly committed a range of acts in violation of California
    negligence and nuisance law’’ by engaging in sales and marketing practices
    that created ‘‘distribution channels that they know regularly provide guns
    to criminals and underage end users [and, despite information from govern-
    ment crime trace reports,] knowingly supply a range of disreputable distribu-
    tors, dealers, gun shops, pawnshops, gun shows, and telemarketers in the
    [s]tate of California . . . .’’ (Emphasis in original; internal quotation marks
    omitted.) 
    Id., 1156. 12
          The majority states that Congress intended that the arms act itself be
    narrowly construed, insofar as its proponents described it as a ‘‘ ‘narrow’ ’’
    exemption intended only to curb ‘‘ ‘junk or abusive’ ’’ lawsuits seeking to
    charge the firearms industry liable for the acts of third parties who are
    beyond their control. See, e.g., 151 Cong. Rec. 18,084, 18,911, 19,137 (2005),
    remarks of Senator Larry Edwin Craig. I disagree with the majority that this
    generalized legislative history indicates any desire by Congress to depart
    from the usual rules of statutory construction. Indeed, in arguing in support
    of the arms act, Representative Cliff Stearns, its sponsor in the House of
    Representatives, suggested that it would ‘‘eliminate predatory lawsuits that
    would otherwise cripple an entire industry,’’ and described numerous pend-
    ing cases against manufacturers and dealers arising from criminal shootings,
    based on theories such as public nuisance and strict liability statutes; he
    emphasized that he ‘‘made these remarks to ensure that anyone trying to
    evade the letter and spirit of this legislation will have as little ‘wiggle room’
    as possible.’’ 
    Id., 23,279–80. I
    also note that frivolity remains in the eye of the beholder, and that the
    proponents of the arms act appear from their remarks, discussed in greater
    detail in part IV of this dissenting opinion, to employ that term in a manner
    different than its well established legal meaning. See, e.g., Schoonmaker v.
    Lawrence Brunoli, Inc., 
    265 Conn. 210
    , 254–55, 
    828 A.2d 64
    (2003) (‘‘an
    action is frivolous . . . if the client desires to have the action taken primarily
    for the purpose of harassing or maliciously injuring a person or if the lawyer
    is unable either to make a good faith argument on the merits of the action
    taken or to support the action taken by a good faith argument for an exten-
    sion, modification or reversal of existing law’’ [emphasis omitted; internal
    quotation marks omitted]); cf. Mareno v. Rowe, 
    910 F.2d 1043
    , 1047 (2d Cir.
    1990) (discussing rule 11 of Federal Rules of Civil Procedure), cert. denied,
    
    498 U.S. 1028
    , 
    111 S. Ct. 681
    , 
    112 L. Ed. 2d 673
    (1991). Accordingly, I
    emphasize that I do not view the plaintiffs’ claims in the present case as
    frivolous in any way.
    13
    I note that a related canon often applied is ‘‘ejusdem generis, or the
    principle that when a general term follows a specific one, the general term
    should be understood as a reference to subjects akin to the one with specific
    enumeration.’’ (Internal quotation marks omitted.) Ali v. Federal Bureau of
    Prisons, 
    552 U.S. 214
    , 223, 
    128 S. Ct. 831
    , 
    169 L. Ed. 2d 680
    (2008).
    14
    The majority relies on portions of the legislative history as indicating
    that ‘‘the record keeping and unlawful buyer illustrations were included in
    the final version of [the arms act] not in an effort to define, clarify, or narrow
    the universe of laws that qualify as predicate statutes but, rather, simply to
    stave off the politically potent attack that [the arms act] would have barred
    lawsuits like the one that had arisen from the widely reported beltway sniper
    attacks. There is no other plausible explanation for why Congress chose to
    modify the predicate exception language contained in the 2001 and 2003
    bills, which otherwise was ‘virtually identical’ to the language in [the arms
    act]. 151 Cong. Rec. 2561 (2005), remarks of Senator Larry Edwin Craig;
    see also 
    id., 18,096, remarks
    of Senator Craig (indicating that bill is same
    for all intents and purposes as version introduced during 108th Congress,
    with addition of clarifying examples).’’ The majority further notes that this
    ‘‘conclusion is bolstered by the fact that Congress was fully aware that there
    are many types of federal statutes and regulations, filling ‘hundreds of pages,’
    that specifically govern the firearms industry. 151 Cong. Rec. 18,059 (2005),
    remarks of Senator Thomas Allen Coburn.’’
    I respectfully disagree with this reading of the legislative history with
    respect to the import of the illustrative statutes in the predicate exception.
    Although I agree that the vitality of the beltway sniper lawsuit was a powerful
    political consideration during the enactment of the arms act, I view that
    action’s basis in concrete record keeping and unlawful buyer violations
    simply as an exemplar of what Congress did not intend the arms act to
    preclude. With those exemplars included in the final version of the predicate
    exception, I am not at liberty simply to ignore their import in the construction
    of the statute as a whole. See, e.g., United States v. 
    Dauray, supra
    , 
    215 F.3d 264
    (‘‘our role as a court is to apply the provision as written, not as we
    would write it’’ [internal quotation marks omitted]).
    15
    As a general matter, I also agree with the observation of Judge Marsha
    S. Berzon, in her dissenting opinion in Ileto v. Glock, 
    Inc., supra
    , 
    565 F.3d 1126
    , that much of the legislative history of the arms act needs to be taken
    with a grain of salt. Judge Berzon aptly observed that ‘‘individual legislators
    at times suggested divergent views of what sorts of lawsuits the [arms act]
    would affect if it were passed into law. Some of those views appear perhaps
    implausibly narrow or implausibly broad, likely because the bill excited
    strong emotions from both its supporters and its opponents. As courts have
    long cautioned, however, the statements of single lawmakers do not establish
    congressional intent.’’ (Footnote omitted.) 
    Id., 1161–62. 16
           In contrast, opponents of the arms act roundly criticized it as a gift to
    the gun lobby that would deprive injured persons of the opportunity to hold
    the firearms industry responsible for turning a blind eye to criminal activity
    in the name of profits. See, e.g., 151 Cong. Rec. 18,065 (2005), remarks of
    Senator Dianne Feinstein (‘‘[The arms act] has nothing to do with protecting
    lawful commerce; rather, it protects one segment of industry against the
    lawful interests of our [s]tates in remedying and deterring negligent conduct.
    . . . Its proponents argue that lawsuits need to be stopped in order to
    defend their view of the [s]econd [a]mendment. But that is pretense. This
    bill is a simple giveaway to one industry—the gun lobby. It is a special
    interest windfall.’’); 
    id., 18,902, remarks
    of Senator Edward Moore Kennedy
    (‘‘Instead of addressing the real issues that can make our country and our
    communities safer, we are considering a bill that will close the courthouse
    door to victims of gun crimes and give a free pass to the handful of gun
    dealers and gun manufacturers who sell firearms to terrorists and criminals.
    We are doing it to appease the special interests of the [National Rifle Associa-
    tion].’’); 
    id., 23,021, remarks
    of Representative James P. McGovern (‘‘While
    the proponents of this bill claim that the intent of this legislation is to protect
    jobs at mom-and-pop gun stores from reckless lawsuits, the truth is that
    the bill is all about protecting profits for the gun industry. Ensuring its
    yearly profits, not protecting jobs nor safeguarding gun sales, is atop the
    priorities of the gun industry.’’); 
    id., 19,217, remarks
    of Senator Charles Ellis
    Schumer (‘‘[I]t is shocking that we would spend our time giving unwarranted
    and unprecedented immunity to an industry whose products, when allowed
    into the hands of the wrong people, do incredible harm to innocent Ameri-
    cans. We even put off working on a defense bill to do this favor to the
    gun lobby.’’).
    17
    I disagree with the majority’s circular reliance on statements of legisla-
    tors indicating that the arms act protects ‘‘ ‘law-abiding’ ’’ gun dealers and
    manufacturers, as suggesting that encompasses those who do not engage
    in violations of unfair trade practices acts. See, e.g., 151 Cong. Rec. 18,057
    (2005), remarks of Senator Craig (observing that actions against firearms
    industry ‘‘all seek the same goal of forcing law-abiding businesses selling a
    legal product to pay for damages from the criminal misuse of that product’’);
    
    id., 19,137, remarks
    of Senator Craig (‘‘[w]hat we have crafted is a very
    narrow exemption from predatory lawsuits seeking to hold legitimate, law-
    abiding people responsible for the harm done by the misdeeds of people
    over whom they have no control’’); 
    id., 23,024, remarks
    of Representative
    Charles Foster Bass (arguing that arms act ‘‘protects licensed and law abiding
    firearms and ammunitions manufacturers and sellers from lawsuits that
    seek to hold them responsible for the crimes that third party criminals
    commit’’). These statements, which are ambiguous and no more illuminating
    than the purpose of eliminating ‘‘frivolous’’ lawsuits, prove too much, as
    the arms act by its very terms shields gun manufacturers and dealers from
    the consequences of violating numerous laws, both common and statutory
    in nature, such as California’s general tort statutes. See Ileto v. Glock, 
    Inc., supra
    , 
    565 F.3d 1136
    –38. Put differently, these remarks do nothing to answer
    the core question in the present appeal, which requires this court to consider
    whether such laws are indeed within the contemplation of the predicate
    exception.
    18
    I recognize that the statements of opponents may be of limited value
    in discerning legislative intent. See, e.g., National Woodwork Manufacturers
    Assn. v. National Labor Relations Board, 
    386 U.S. 612
    , 639–40, 
    87 S. Ct. 1250
    , 
    18 L. Ed. 2d 357
    (1967) (‘‘[W]e have often cautioned against the danger,
    when interpreting a statute, of reliance upon the views of its legislative
    opponents. In their zeal to defeat a bill, they understandably tend to overstate
    its reach.’’ [Internal quotation marks omitted.]). I find it telling, however,
    that Senator Edward Kennedy, in opposing the arms act, expressly recog-
    nized that it would protect firearms manufacturers who engage in just the
    kind of advertising that the plaintiffs in the present case claim is immoral
    in violation of CUTPA. Senator Kennedy stated that the ‘‘bill will even protect
    manufacturers that promote military-style weapons for use in battle in urban
    scenarios against any foe at any range. It protects manufacturers who brag
    about their weapons of war and spread them to our streets.’’ 151 Cong. Rec.
    19,121–22; see also 
    id. (‘‘Look at
    this advertisement from Vulcan: ‘Vulcan
    Armament, the weapons of the special forces. From Afghanistan to Iraq,
    the guns of the special forces are now on sale in America.’’).
    19
    Opponents of the proposed amendment to provide an exception to the
    arms act for ‘‘gross negligence’’ or ‘‘reckless conduct’’ also described it as
    unnecessary because they viewed such acts as likely to violate an existing
    federal or state statute. See 151 Cong. Rec. 18,919 (2005), remarks of Senator
    Kyl (‘‘[Firearm manufacture and sale] is a highly regulated industry by law,
    by [f]ederal law and [s]tate law and even some local laws. And most of the
    acts that would meet the definition of gross negligence would already be
    in violation of law. And if they are in violation of law, they are not exempted
    from this legislation. We don’t try to exempt any gun manufacturer for
    conduct which is in violation of law.’’); 
    id., 18,922, remarks
    of Senator Hatch
    (‘‘[v]irtually any act that would meet the definition of gross negligence
    referenced in this amendment would already be a violation of [f]ederal,
    [s]tate or local law, and therefore would not receive the protection of this
    law anyway’’); 
    id., 19,118, remarks
    of Senator Craig (discussing rejection of
    gross negligence exception and arguing that arms act ‘‘does not take away
    the standards of law and the specifications within the [f]ederal law today
    as it relates to the responsible and legal operation and performance of a
    gun manufacturer or a licensed [f]ederal firearms dealer’’).
    20
    My research indicates that the limited academic commentary on this
    issue also supports this interpretation of the predicate exception. See K.
    Armstrong, ‘‘Nigh-Impenetrable: Firearm Manufacturer Liability under the
    Protection of Lawful Commerce in Arms Act in a Post-Heller World,’’ 28 Geo.
    Mason U. C.R. L.J. 173, 195 (2018) (‘‘[s]tatutes qualifying for the predicate
    exception must not be of general applicability and cannot be codified general
    tort claims’’); R. Sorensen, ‘‘The Ninth Circuit Forecloses a Bullet Sized
    Hole in the PLCAA in Ileto v. Glock, 
    565 F.3d 1126
    (9th Cir. 2009),’’ 35 S.
    Ill. U. L.J. 573, 595 (2011) (‘‘[F]uture courts should only find statutes expressly
    regulating the firearm industry to be ‘applicable to the sale or marketing of
    firearms.’ It is through this narrow definition that the [arms act’s] intended
    goal is realized.’’); see also J. Sonner, ‘‘A Crack in the Floodgates: New
    York’s Fourth Department, the PLCAA, and the Future of Gun Litigation
    After Williams v. Beemiller,’’ 61 Buff. L. Rev. 969, 984 (2013) (‘‘The elusive
    definition remains—a law applicable to gun sales or marketing whose viola-
    tion proximately causes harm for which relief is sought—without any clarifi-
    cation of ‘applicable.’ The Second Circuit hinted at a [less strict] approach,
    but no clear standard has emerged to determine whether a law or regulation
    indirectly concerning the gun industry may serve as a predicate statute.’’
    [Emphasis in original; footnote omitted.]); S. Wagman, ‘‘No One Ever Died
    from Copyright Infringement: The Inducement Doctrine’s Applicability to
    Firearms Manufacturer Liability,’’ 32 Cardozo L. Rev. 689, 720 (2010) (‘‘While
    it is apparent that the [arms act] is meant to protect firearms manufacturers
    from third party liability in instances of unintentional support of third party
    gun violence, instances in which manufacturers have induced harm should
    not be barred under [the arms act]. When manufacturers either intentionally
    or recklessly support illegal firearms markets, they are inducing a public
    nuisance; therefore the predicate exception should be triggered and claims
    should be allowed to proceed.’’); but see J. Selkowitz, Note, ‘‘Guns, Public
    Nuisance, and the PLCAA: A Public Health-Inspired Legal Analysis of the
    Predicate Exception,’’ 83 Temp. L. Rev. 793, 827–28 (2011) (suggesting that
    examples in predicate exception are consistent with promotion of public
    health, permitting maintenance of statutory public nuisance action ‘‘alleging
    that the gun industry, in violation of statute, created an environment danger-
    ous to the public’s health’’).
    21
    I also strongly disagree with the majority’s contention that the theory
    of liability underlying the plaintiffs’ CUTPA claims ‘‘is not novel’’ and ‘‘does
    [not] sound in tort,’’ and, therefore, are not within the scope of claims that
    the arms act seeks to preempt. The Second Circuit has aptly observed that
    ‘‘[u]nfair trade practices found their origin in the common law of torts
    . . . .’’ United States v. Meldish, 
    722 F.2d 26
    , 28 (2d Cir. 1983), cert. denied,
    
    465 U.S. 1101
    , 
    104 S. Ct. 1597
    , 
    80 L. Ed. 2d 128
    (1984); see also, e.g., Kenney
    v. Independent Order of Foresters, 
    744 F.3d 901
    , 907 (4th Cir. 2014) (West
    Virginia unfair trade practices act claim ‘‘sounds in tort’’ given type of relief
    available under statute and sought in complaint); Ins. Co. of North America
    v. Della Industries, Inc., 
    998 F. Supp. 159
    , 164 (D. Conn. 1998) (CUTPA is
    tort claim for purposes of assignment under Uniform Commercial Code),
    vacated on other grounds, 
    229 F.3d 1135
    (2d Cir. 1999); R. Langer et al., 12
    Connecticut Practice Series: Connecticut Unfair Trade Practices, Business
    Torts and Antitrust (2018) § 2.1, p. 13 (noting that CUTPA ‘‘has brought
    both expanded remedies and broad and indefinite substantive standards to
    the law of business torts’’).
    Given the potential for liability and remedy available under CUTPA, which
    is broader than that available at common law; see, e.g., Associated Invest-
    ment Co. Ltd. Partnership v. Williams Associates IV, 
    230 Conn. 148
    , 159,
    
    645 A.2d 505
    (1994); I disagree with the logic behind the majority’s premise
    that Congress intended the arms act to preempt state common-law claims,
    but leave undisturbed even broader sources of liability under state unfair
    trade practice statutes like CUTPA. See District of Columbia v. Beretta
    U.S.A. 
    Corp., supra
    , 
    940 A.2d 171
    n.6 (court relied on findings in 15 U.S.C.
    § 7901 [a] [3] and [7], and rejected plaintiffs’ reliance on congressional
    expression of ‘‘concern with liability actions ‘without foundation in hundreds
    of years of the common law’ and that ‘do not represent a bona fide expansion
    of the common law’ ’’ as standing for proposition that ‘‘Congress was substan-
    tially less troubled by the existence of statutory liability actions reflecting
    judgments ‘by the legislatures of the several [s]tates’ ’’ because ‘‘[n]o such
    distinction . . . is reflected either in the definition of a ‘qualified civil liabil-
    ity action’ or in the enumerated actions excluded therefrom, including the
    predicate exception; and to posit one all the same would ignore [Congress’]
    objection to ‘[l]awsuits’’ as a class [unless excepted] that ‘seek money dam-
    ages and other relief [against manufacturers and sellers] for the harm caused
    by the misuse of firearms by third parties, including criminals’ ’’ [empha-
    sis omitted]).
    22
    I disagree with the majority’s argument that the sponsors of the arms
    act ‘‘emphasized that their primary concern was not with lawsuits such as
    the present action, in which individual plaintiffs who have been harmed in
    a specific incident of gun violence seek to hold the sellers responsible for
    their specific misconduct in selling the weapons involved. . . . Many propo-
    nents indicated that their intent was to preclude the rising number of
    instances in which municipalities and ‘anti-gun activists’ filed ‘junk’ or ‘frivo-
    lous’ lawsuits targeting the entire firearms industry.’’ (Citation omitted;
    emphasis added.) The majority’s assertion that the sponsors of the arms
    act did not desire to foreclose claims by individual plaintiffs who had suffered
    specific harm from an instance of gun violence is an overly generous reading
    of the legislative history. The legislative history indeed indicates that Con-
    gress specifically rejected proposed amendments that would have provided
    two groups of politically sympathetic individual plaintiffs, namely children
    and law enforcement officers injured in the line of duty, with relief from
    the strictures of the arms act. See 151 Cong. Rec. 19,116–17 (2005), remarks
    of Senator Frank Raleigh Lautenberg (proposing exception for children);
    
    id., 19,125–26, remarks
    of Senator Jon Stevens Corzine (proposing law
    enforcement exception); H.R. Rep. No. 109-124, supra, pp. 64–65, remarks
    of Representative Sheila Jackson Lee (proposing exemption for children);
    H.R. Rep. No. 109-124, supra, pp. 110–11, remarks of Representative Zoe
    Lofgren (describing potential effect of arms act on case of New Jersey police
    officers who brought action against gun dealer who sold weapons to straw
    buyer despite his suspicions).
    23
    I agree with the majority that the ‘‘regulation of advertising that threatens
    the public health, safety, and morals has long been considered a core exercise
    of the states’ police powers.’’ See, e.g., Lorillard Tobacco Co. v. Reilly, 
    533 U.S. 525
    , 541–42, 
    121 S. Ct. 2404
    , 
    150 L. Ed. 2d 532
    (2001). Nevertheless, I
    find overbroad the majority’s reliance on the well established presumption
    that ‘‘Congress does not intend to supersede the historic police powers of
    the [s]tates absent clear intent . . . .’’ (Internal quotation marks omitted.)
    Federal Housing Finance Agency v. Nomura Holding America, Inc., 
    873 F.3d 85
    , 112 n.30 (2d Cir. 2017); see also, e.g., Altria Group, Inc. v. Good,
    
    555 U.S. 70
    , 77, 
    129 S. Ct. 538
    , 
    172 L. Ed. 2d 398
    (2008); Medtronic, Inc. v.
    Lohr, 
    518 U.S. 470
    , 485, 
    116 S. Ct. 2240
    , 
    135 L. Ed. 2d 700
    (1996). The
    majority’s heavy reliance on this presumption elevates it beyond the more
    holistic preemption inquiry undertaken when the statutory language is
    ambiguous, as we consider the statute’s ‘‘structure and purpose . . . as a
    whole . . . as revealed not only in the text, but through the reviewing
    court’s reasoned understanding of the way in which Congress intended the
    statute and its surrounding regulatory scheme to affect business, consumers,
    and the law.’’ (Citation omitted; internal quotation marks omitted.) Med-
    tronic, Inc. v. 
    Lohr, supra
    , 486. In contrast, my review of the legislative
    history, and particularly the remarks of members of Congress expressing
    their concerns over the breadth of a gross negligence exception and the
    potential for vague standards of liability, indicates that Congress would not
    have contemplated letting a broadly worded state unfair trade practice
    statute like CUTPA be used to eviscerate its intent to protect firearms
    manufacturers and dealers from litigation arising from shootings perpetrated
    by third parties. See part IV of this dissenting opinion.
    24
    I also note that the majority observes that certain members of Congress
    ‘‘were committed to Americans’ second amendment freedoms and sought
    to secure those freedoms by immunizing firearms companies from frivolous
    lawsuits.’’ Citing recent federal cases considering the constitutionality of
    bans on ‘‘assault weapons’’ and ‘‘high capacity magazines,’’ the majority also
    notes, however, that ‘‘[i]t is not at all clear . . . that the second amendment’s
    protections even extend to the types of quasi-military, semiautomatic assault
    rifles at issue in the present case.’’ See, e.g., Kolbe v. Hogan, 
    849 F.3d 114
    , 136 (4th Cir.) (AR-15 with high capacity magazine is ‘‘weapon of war’’
    excluded from second amendment coverage), cert. denied,                   U.S.    ,
    
    138 S. Ct. 469
    , 
    199 L. Ed. 2d 374
    (2017); New York State Rifle & Pistol Assn.,
    Inc. v. Cuomo, 
    804 F.3d 242
    , 257–61 (2d Cir. 2015) (assuming, arguendo,
    that second amendment protections extend to assault rifles, but concluding
    that ban on such weapons survives intermediate scrutiny). My review of
    the legislative history and statutory text does not indicate any intent by
    Congress to identify predicate statutes by examining various nuances of
    second amendment law. Because the degree to which the second amendment
    protects the AR-15 is, therefore, not at issue in this appeal, I do not consider
    that question further.
    25
    The majority states that it ‘‘must [be] presum[ed] that Congress was
    aware, when it enacted [the arms act], that both the [Federal Trade Commis-
    sion] Act and state analogues such as CUTPA have long been among the
    primary vehicles for litigating claims that sellers of potentially dangerous
    products such as firearms have marketed those products in an unsafe and
    unscrupulous manner.’’ The majority then cites cases from this state for the
    proposition that ‘‘CUTPA . . . has been applied to the sale of firearms,’’
    and decisions from other jurisdictions for the proposition that ‘‘regulation
    of firearms advertising in our sister states frequently has been accomplished
    under the auspices of state consumer protection and unfair trade practice
    laws.’’ In my view, these decisions stand only for the proposition that wide
    reaching unfair trade practice statutes are as applicable to the firearms
    industry as they are to any other business; they have nothing at all to do
    with the arms act or the predicate exception. See Melton v. Century Arms,
    Inc., 
    243 F. Supp. 3d 1290
    , 1296–97, 1305–1306 (S.D. Fla. 2017) (rifle owners
    brought, inter alia, Florida unfair trade practices act claim arising from
    advertising and sale of AK-47 rifles with known design defect that allows
    accidental discharge); FN Herstal, S.A. v. Clyde Armory, Inc., 
    123 F. Supp. 3d
    1356, 1375–76 and n.105 (M.D. Ga. 2015) (firearms manufacturer brought
    trademark infringement claims against firearms distributor and retailer
    under federal Lanham Act and Georgia deceptive trade practices law), aff’d,
    
    838 F.3d 1071
    (11th Cir. 2016), cert. denied,         U.S.     , 
    137 S. Ct. 1436
    ,
    
    197 L. Ed. 2d 649
    (2017); Beretta U.S.A. Corp. v. Federal Ins. Co., 117 F.
    Supp. 2d 489, 492 (D. Md. 2000) (whether products hazard liability exclusion
    in commercial general liability policy relieved insurer of duty to defend and
    indemnify firearms manufacturer against claims of violations of state unfair
    trade practices statutes arising from ‘‘deceptive marketing and advertising
    of its products, by promoting the false notion that gun ownership and
    possession of handguns in the home increases one’s security’’), aff’d, 17
    Fed. Appx. 250 (4th Cir. 2001); People v. Arcadia Machine & Tool, Inc.,
    Docket No. 4095 (VPD), 
    2003 WL 21184117
    , *26 (Cal. Super. April 10, 2003)
    (denying summary judgment in pre-arms act case on claim that Ohio gun
    distributor engaged in deceptive advertising ‘‘by advertising banned assault
    weapons in a manner that is likely to mislead potential California purchasers
    to believe that purchase and possession of such weapons is lawful, thereby
    creating an illegal market for such firearms in California’’), aff’d sub nom.
    In re Firearm Cases, 
    126 Cal. App. 4th 959
    , 
    24 Cal. Rptr. 3d 659
    (2005);
    American Shooting Sports Council, Inc. v. Attorney General, 
    429 Mass. 871
    , 882, 
    711 N.E.2d 899
    (1999) (‘‘[T]he Attorney General’s regulatory author-
    ity under [state unfair trade practices act] regarding defective products is
    not limited to marketing and disclosure issues as the plaintiffs contend. His
    authority properly extends to regulating the sale of a product as unfair or
    deceptive when the product is defective in ways which a purchaser would
    not anticipate or the product is not as warranted, and to regulating in a
    manner which coordinates [unfair trade practices] liability with legislation
    declaring certain acts unlawful.’’); Opinions, N.M. Atty. Gen. No. 77-23 (July
    19, 1977) p. 149 (‘‘There is nothing in [statute prohibiting carrying of firearms
    in liquor establishment] which makes it unlawful to advertise the sale of
    firearms in a liquor establishment, but since the liquor establishment cannot
    sell firearms, the advertising of the sale of firearms in the liquor establish-
    ment would constitute false advertising and an unfair or deceptive trade
    practice. . . . Of course, this is not intended to mean that the advertising
    of firearms as a general principle is forbidden in liquor establishments, but
    that any business establishment could not advertise something that it does
    not sell since that would be in violation of the statutes cited.’’ [Citations
    omitted.]).
    The majority’s reliance on two Connecticut cases, namely, Ganim v.
    Smith & Wesson Corp., 
    258 Conn. 313
    , 
    780 A.2d 98
    (2001), and Salomonson
    v. Billistics, Inc., Superior Court, judicial district of New London, Docket
    No. CV-88-508292 (September 27, 1991), for the proposition that CUTPA has
    been previously applied to the sale and marketing of firearms is similarly
    unavailing. As the majority recognizes, this court’s decision in Ganim was
    limited to a conclusion that municipalities lacked standing to pursue claims
    against firearms manufacturers and sellers for harms arising from gun vio-
    lence. Ganim v. Smith & Wesson Corp., 365. Indeed, the court specifically
    declined to address the substantive legal issues presented in that case,
    including whether firearms manufacturers and sellers may be held liable
    under CUTPA for ‘‘unfair and deceptive advertising’’ and ‘‘unfair and decep-
    tive sales practices,’’ as supported by allegations that the firearms manufac-
    turers and dealers ‘‘marketed and sold their handguns in a manner that
    causes harm to individuals, especially young children in Bridgeport; mar-
    keted and sold their handguns in a manner that contributes to homicides,
    suicides and accidental deaths in Bridgeport; and engaged in a campaign
    of misrepresentation concerning the dangers of their handguns’’ and that
    they ‘‘sell excessive numbers of guns to individual buyers, knowing or having
    reason to know that some or all of those guns are not for personal use, and
    are likely to be resold illegally and used to commit crimes; and sell guns
    that fail to incorporate feasible safety devices that would prevent misuse
    by unauthorized and unintended users.’’ 
    Id., 334–36. Accordingly,
    this court’s
    decision in Ganim about the plaintiffs’ standing in that case has absolutely
    no precedential value with respect to the viability of a CUTPA claim founded
    on the ‘‘immoral advertising’’ of firearms.
    The Superior Court’s decision in Salomonson is even more inapposite
    than Ganim. Salomonson, which is a report of an attorney trial referee
    rather than a decision of a judge of the Superior Court, does not involve
    crime or victims of crime, but instead is a routine business dispute, in which
    the court held that a gun fabricator violated CUTPA by failing to perform
    under a contract to convert three semi-automatic rifles to fully automatic
    weapons, including by obtaining necessary federal regulatory approvals.
    See Salomonson v. Billistics, 
    Inc., supra
    , Superior Court, Docket No. CV-
    88-508292.
    26
    The majority speculates about what Congress would have intended
    with respect to preemption in relation to an elaborate hypothetical about
    a ‘‘terrible crime like the ones involved in the Sandy Hook massacre’’ perpe-
    trated by a ‘‘troubled young man’’ who had watched a firearms seller’s
    ‘‘explicit advertisements depicting and glorifying school shootings, and pro-
    mot[ing] its products in video games, such as ‘School Shooting,’ that glorify
    and reward such unlawful conduct.’’ The majority posits that ‘‘even the most
    ardent sponsors of [the arms act] would not have wanted to bar a consumer
    protection lawsuit seeking to hold the supplier accountable for the injuries
    wrought by such unscrupulous marketing practices.’’ The majority then
    observes ‘‘that is not this case, and yet the underlying legal principles are
    no different. Once we accept the premise that Congress did not intend to
    immunize firearms suppliers who engage in truly unethical and irresponsible
    marketing practices promoting criminal conduct, and given that statutes
    such as CUTPA are the only means available to address those types of
    wrongs, it falls to a jury to decide whether the promotional schemes alleged
    in the present case rise to the level of illegal trade practices and whether
    fault for the tragedy can be laid at their feet.’’ I do not share the majority’s
    apparent optimism about the 109th Congress, which passed the arms act;
    specifically, until those who ply their judicial craft at One First Street tell
    me differently, I do not believe that they would have been inclined to
    allow the use of a broadly drafted statute like CUTPA to hold a firearm
    manufacturer or seller involved in such a hypothetical liable for anything
    more than thoughts and prayers. Put differently, the arms act would preempt
    recourse unless the immoral and repugnant practices described by the major-
    ity violated a statute or regulation specifically governing the manner in
    which firearms may be advertised or marketed, as opposed to a more broadly
    applicable statute like CUTPA.
    27
    I emphasize that my conclusion is limited to CUTPA claims that do not
    rely on firearms-specific statutes as their source of public policy, insofar
    as I conclude only that CUTPA itself is not a predicate statute. Put differently,
    I do not conclude that the arms act preempts all CUTPA causes of action,
    but only that the predicate exception does not save those that do not allege
    the violation of a firearms-specific regulation or statute. See Ileto v. Glock,
    
    Inc., supra
    , 
    565 F.3d 1133
    (noting distinction between right of action and
    predicate statute for purposes of arms act); cf. Sturm v. Harb Development,
    LLC, 
    298 Conn. 124
    , 139, 
    2 A.3d 859
    (2010) (‘‘[a]lthough CUTPA is primarily
    a statutory cause of action . . . it equally is recognized that CUTPA claims
    may arise from underlying causes of action, such as contract violations or
    torts, provided the additional CUTPA elements are pleaded’’ [citation
    omitted]).