Thoma v. Watson ( 2024 )


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    Thoma v. Watson
    REINALD E. THOMA, TRUSTEE
    v. DAVID WATSON ET AL.
    (AC 46307)
    Elgo, Clark and Westbrook, Js.
    Syllabus
    The plaintiff appealed from the judgment of the trial court for the defendants
    on the plaintiff’s claim of adverse possession. The plaintiff claimed, inter
    alia, that the trial court improperly raised the issue of permissive use of the
    disputed property sua sponte despite the defendant W’s failure to raise it
    by way of a special defense. Held:
    W was not required under the facts of this case to raise permissive use or
    consent as a special defense, as W’s answer denying that the plaintiff’s use
    was hostile and leaving the plaintiff to his proof, together with the fact
    that the complaint alleged facts suggestive of some cotenancy or familial
    relationship between the parties, sufficiently put the plaintiff on notice that
    permissive use, as a matter of law, was a potential issue to overcome.
    The trial court’s sua sponte posttrial inquiry into the issue of permissive
    use was a proper exercise of judicial discretion.
    The trial court did not apply an incorrect legal standard when it considered
    whether the plaintiff had demonstrated that he affirmatively undertook to
    dispossess, extinguish or steal another’s property rights because, in an action
    in which the plaintiff and W shared some ownership rights in the subject
    property, the party seeking to establish adverse possession must show that
    their intent to disseize was clear and unmistakable.
    The trial court did not erroneously find that the plaintiff failed to prove his
    case by clear and convincing evidence.
    The trial court did not improperly fail to comply with the statute (§ 47-31)
    governing actions to quiet title by not making findings pursuant to § 47-31
    (f) regarding the precise nature of the parties’ respective interests in the
    disputed parcel, the court only having been required to affirmatively adjudi-
    cate the dispute of the parties as it had been presented to the court and on
    the basis of the evidence presented.
    Argued May 16—officially released October 8, 2024
    Procedural History
    Action seeking, inter alia, a declaratory judgment
    determining the rights of the parties to a certain parcel
    of real property, and for other relief, brought to the
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    Thoma v. Watson
    Superior Court in the judicial district of New London,
    where the matter was tried to the court, Jacobs, J.;
    judgment for the defendants, from which the plaintiff
    appealed to this court. Affirmed.
    Timothy D. Bleasdale, for the appellant (plaintiff).
    Victoria S. Mueller, with whom were Thomas J. Lon-
    dregan and Mathew H. Greene, for the appellee (named
    defendant).
    Opinion
    WESTBROOK, J. The plaintiff, Reinald E. Thoma, as
    trustee of the Reinald E. Thoma Revocable Trust (trust),
    appeals following a trial to the court from the judgment
    rendered in favor of the defendant David Watson1 on
    the plaintiff’s claim of adverse possession. On appeal,
    the plaintiff claims that the court (1) made several
    errors related to the issue of permissive use of the
    disputed property, including improperly raising that
    issue sua sponte after the close of evidence despite the
    defendant’s failure to raise it by way of special defense;
    (2) made additional errors ‘‘concerning issues of intent,
    motive, and subjective understanding’’; (3) erroneously
    found that the plaintiff had failed to prove his case by
    clear and convincing evidence; and (4) failed to comply
    with General Statutes § 47-31 (f)2 by not determining
    1
    Throughout this opinion, we refer to Reinald E. Thoma as the plaintiff
    when he is acting in his capacity as trustee of the trust and as Reinald when
    he is acting in his individual capacity.
    In the complaint, the plaintiff named the unidentified ‘‘heirs of Florence
    B. Stimpson’’ as additional defendants. David Watson, however, is the only
    defendant who appeared before the trial court and is the only defendant
    participating in this appeal. Accordingly, any reference to the defendant in
    this opinion is to David Watson only.
    2
    General Statutes § 47-31 governs quiet title actions and subsection (f)
    provides that ‘‘[t]he court shall hear the several claims and determine the
    rights of the parties, whether derived from deeds, wills or other instruments
    or sources of title, and may determine the construction of the same, and
    render judgment determining the questions and disputes and quieting and
    settling the title to the property.’’
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    Thoma v. Watson
    the parties’ respective interests in the disputed prop-
    erty. We disagree with the plaintiff’s claims and, accord-
    ingly, affirm the judgment of the trial court.3
    The following facts, which either were found by the
    court or are undisputed, and procedural history are
    relevant to our disposition of the plaintiff’s appeal. The
    subject property is located on Long Pond Road in Led-
    yard. It originally was part of an undivided lot. On
    December 10, 1945, the owner of the undivided lot,
    Florence P. Stimpson, conveyed a remainder interest
    in a portion of the lot (front parcel) to the defendant
    and his sister, Lucille P. Watson (Lucille), reserving a
    life estate for herself. From December 10, 1945, until
    her death, the remainder of the lot (back parcel) was
    owned by Stimpson. Following her death, title to the
    back parcel passed to the heirs of her estate, which
    included the defendant and Lucille.4 It is the back parcel
    that is at issue in this matter.
    On May 8, 1991, the defendant conveyed all his inter-
    est in the front parcel to Lucille, who, at that time, was
    married and went by the name of Lucille Thoma.5 On
    September 28, 2012, she conveyed her interests in the
    front and back parcels to her husband, Reinald Thoma,
    in his individual capacity. Reinald, on May 3, 2013, con-
    veyed the same back to Lucille, who, on November
    18, 2013, conveyed them to the plaintiff as trustee of
    the trust.
    Reinald always regarded the back parcel as his ‘‘back-
    yard’’ and used it as if it were his own. During his marriage
    3
    Given our disposition of the plaintiff’s claims, it is unnecessary to address
    the alternative grounds for affirmance raised by the defendant.
    4
    Although it is not clear from the record how title to the back parcel
    passed to the heirs, whether by will or the laws of intestacy, no evidence
    was presented that title had passed to anyone other than Stimpson’s heirs,
    and neither side advanced a contrary argument before the trial court.
    5
    The record shows that Lucille married Reinald in May, 1963, and they
    remained married until Lucille’s death in December, 2017.
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    Thoma v. Watson
    to Lucille, Reinald installed a well in the back parcel
    to serve the front parcel. He also installed a septic
    system on the back parcel, cleared brush for the well
    drillers, planted grass seed, and cut down trees. Some-
    time between 2015 and 2016, he installed a fence on the
    back parcel. Reinald also has insured and paid property
    taxes for the back parcel. The only access to the back
    parcel is through the front parcel.
    The plaintiff commenced the underlying action in
    May, 2021. In the operative amended complaint, the
    plaintiff alleged that he, together with his predecessors
    in title, had used and possessed the back parcel for more
    than fifteen years and that such use and possession
    was ‘‘open, visible, notorious, adverse, exclusive, con-
    tinuous, and uninterrupted . . . .’’6 He claimed that,
    through such use and possession, the plaintiff obtained
    sole and exclusive title to the back parcel by adverse
    possession.
    The defendant filed an answer in which he admitted
    some of the allegations but denied or left the plaintiff
    to his proof on others.7 In particular, the defendant
    denied the allegation in the complaint that the use and
    possession of the back parcel by the plaintiff and his
    6
    We note that, pursuant to the doctrine of ‘‘tacking,’’ a period of adverse
    possession by a predecessor in title may be added onto a successive period
    of adverse possession by the claimant to meet the fifteen year requirement.
    See McBurney v. Cirillo, 
    276 Conn. 782
    , 813, 
    889 A.2d 759
     (2006), overruled
    on other grounds by Batte-Holmgren v. Commissioner of Public Health,
    
    281 Conn. 277
    , 
    914 A.2d 996
     (2007). Because the plaintiff had only acquired
    his interest in the front parcel as of November, 2013, fewer than nine years
    prior to bringing this adverse possession action, he needed to ‘‘tack’’ the
    adverse possession by his predecessors in title to satisfy the fifteen year
    statutory period.
    7
    Although the defendant did not file an amended answer after the filing
    of the operative amended complaint, the earlier answer remains applicable,
    and we may construe it as such to the extent possible. See Practice Book
    § 10-61 (‘‘[i]f the adverse party fails to plead further [following an amended
    pleading], pleadings already filed by the adverse party shall be regarded as
    applicable so far as possible to the amended pleading’’).
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    Thoma v. Watson
    predecessors in title had been open, visible, notorious,
    adverse, exclusive, continuous, and uninterrupted. The
    defendant did not assert any special defenses.
    The court, Jacobs, J., conducted a one day bench trial
    on October 13, 2022. The plaintiff presented testimony
    from Reinald regarding his use of the back parcel and
    from Sharon Banker, a title searcher and paralegal,
    regarding the chain of title. The defendant’s counsel did
    not cross-examine the plaintiff’s witnesses and offered
    only the defendant’s own testimony during the defen-
    dant’s case-in-chief. The court did not request, nor did
    the parties provide, pretrial or posttrial briefs.
    On October 17, 2022, a few days after the close of
    evidence and prior to rendering a decision in the matter,
    the court issued an order asking the parties to appear
    and to be prepared to address the following questions:
    ‘‘1. If [the defendant] and [Lucille] were siblings, and
    [the defendant] is an heir of the estate of Florence
    Stimpson, wouldn’t that also make [Lucille] an heir of
    the estate of Florence Stimpson? 2. If so, wouldn’t that
    make [Lucille’s] use of the back portion of the property
    permissive? And if so, and given that her date of death,
    while not in evidence, occurred sometime between
    November 18, 2013, and the present, wouldn’t that avoid
    the claim of continuous hostile use of the back portion
    for fifteen years?’’
    The parties appeared on November 1, 2022, and pre-
    sented oral argument in response to the court’s ques-
    tions. During the hearing, counsel for the plaintiff con-
    firmed that Lucille and the defendant were siblings and
    that both are heirs of Stimpson. Regarding the issue of
    permissive use, the plaintiff’s counsel argued that the
    plaintiff had presented clear and convincing evidence
    that ‘‘Lucille and her subsequent predecessors in title
    held [the back parcel] adversely to the heirs’’ and that
    this evidence was sufficient to rebut any presumption
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    Thoma v. Watson
    of permissive use. The defendant’s counsel disagreed,
    arguing that Lucille’s use was presumptively permissive
    as there was no evidence ‘‘that she had the specific
    intent to take the property from the other heirs.’’ Neither
    party raised any objection to the additional posttrial
    proceedings, asked the court to open the evidence, or
    sought to admit any additional evidence.
    On November 4, 2022, the court issued a short memo-
    randum of decision in which it found that the plaintiff
    had failed to establish his claim of adverse possession
    by clear and convincing evidence. The court’s legal anal-
    ysis is limited to the following single paragraph: ‘‘The
    plaintiff’s claim of adverse possession is doomed by
    the simple fact that [Lucille], as an heir of the estate
    of Florence P. Stimpson, had, from the time of [Stimp-
    son’s] death, permission to use, and at times an owner-
    ship interest in, the back parcel. That [Reinald] honestly
    supposed the back parcel to be his ‘backyard’ does not
    evince an intent to dispossess [Lucille’s] kin of their
    right to share in its use. But even more fundamentally:
    that Lucille and [Reinald] were related to the other
    owners of the back parcel creates a presumption that
    their use of that parcel was permissive. The plaintiff
    failed to rebut that presumption, let alone prove [his]
    case by clear and positive proof.’’ (Emphasis added;
    footnote omitted.)
    On December 22, 2022, the plaintiff filed a motion to
    reargue claiming, inter alia, that the judgment included
    ‘‘[e]rrors concerning the law, findings of fact, and analy-
    sis relating [to] the issue of permissive use of the dis-
    puted parcel.’’ The court denied the motion without
    comment on February 15, 2023. This appeal followed.
    After filing the appeal, the plaintiff filed a motion for
    articulation. First, the plaintiff noted that the memoran-
    dum of decision stated that ‘‘ ‘judgment is entered for
    the defendant,’ ’’ singular, and asked the trial court to
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    Thoma v. Watson
    articulate whether it had intended to render judgment
    for all defendants. Second, to the extent that the court
    concluded that there was shared ownership of the back
    parcel, the plaintiff requested that the court articulate
    specific findings regarding the parties’ respective prop-
    erty interests to effectively quiet title. The court held
    a hearing on July 6, 2023, and subsequently granted the
    motion for articulation, stating the following: ‘‘Judg-
    ment is hereby rendered for the defendants. The state
    of the title shall remain as is.’’ The plaintiff did not seek
    any further articulation from the trial court, nor did he
    move this court for review of the trial court’s articula-
    tion pursuant to Practice Book § 66-7.
    On appeal, the plaintiff claims that the court (1) made
    several errors related to the issue of permissive use,
    including raising that issue sua sponte despite the defen-
    dant failing to affirmatively plead it as a special defense;
    (2) made additional errors ‘‘concerning issues of intent,
    motive, and subjective understanding’’; (3) erroneously
    found that the plaintiff had failed to prove his case by
    clear and convincing evidence; and (4) failed to comply
    with § 47-31 (f) by not determining the parties’ respec-
    tive interests in the disputed parcel. For the reasons
    that follow, we disagree with the plaintiff that the defen-
    dant was required to specially plead permission as an
    affirmative defense or that, under the circumstances,
    it was improper for the court to have inquired further
    regarding that issue following the close of evidence.
    Finally, we reject the remainder of the plaintiff’s claims
    and conclude that the plaintiff has failed to demonstrate
    that the court’s dispositive finding—that the plaintiff
    failed to prove its case ‘‘by clear and positive proof’’—
    was clearly erroneous.
    Before turning to the plaintiff’s claims, we begin by
    setting forth general principles of law that guide our
    review of decisions concerning a claim of adverse pos-
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    Thoma v. Watson
    session. ‘‘[If] title is claimed by adverse possession, the
    burden of proof is on the claimant. . . . The essential
    elements of adverse possession are that the owner shall
    be ousted from possession and kept out uninterruptedly
    for fifteen years under a claim of right by an open,
    visible and exclusive possession of the claimant with-
    out license or consent of the owner. . . . The use is
    not exclusive if the adverse user merely shares domin-
    ion over the property with other users. . . . [Adverse]
    possession is not to be made out by inference, but by
    clear and positive proof. . . . In the final analysis,
    whether possession is adverse is a question of fact for
    the trier. . . . The doctrine of adverse possession is
    to be taken strictly. . . .
    ‘‘Clear and convincing proof of the elements of an
    adverse possession claim is an exacting standard . . .
    that lies between the belief that is required to find the
    truth or existence of the [fact in issue] in an ordinary
    civil action and the belief that is required to find guilt
    in a criminal prosecution. . . . [The burden] is sus-
    tained if evidence induces in the mind of the trier
    a reasonable belief that the facts asserted are highly
    probably true . . . . In evaluating a claim of adverse
    possession under that demanding standard, [e]very pre-
    sumption is in favor of possession in subordination to
    the title of the true owner.’’ (Citations omitted; empha-
    sis added; footnote omitted; internal quotation marks
    omitted.) Mulvey v. Palo, 
    226 Conn. App. 495
    , 500–502,
    
    319 A.3d 211
     (2024), petition for cert. filed (Conn. July
    19, 2024) (No. 240124). ‘‘[T]he question of whether the
    elements of an adverse possession claim have been
    established by clear and convincing evidence is a factual
    one subject to the clearly erroneous standard of review.’’
    (Internal quotation marks omitted.) Id., 503. ‘‘The
    demanding burden placed on a party claiming adverse
    possession of the property of another reflects the fact
    that such actions are disfavored.’’ Id., 502. With these
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    Thoma v. Watson
    general principles in mind, we turn to the plaintiff’s
    claims.
    I
    We first address the plaintiff’s claim that the court
    made multiple errors regarding the issue of permissive
    use. The plaintiff argues that permissive use must
    always be raised by way of special defense and, because
    the defendant failed to do so in this case, it was
    improper for the court to have raised it sua sponte,
    particularly after the close of evidence. The plaintiff
    also argues that the court misapplied the law regarding
    permissive use and impermissibly shifted the burden
    of proof on that issue to the plaintiff. For the reasons
    that follow, we reject the plaintiff’s claim.
    The issue of permissive use is highly relevant in
    adverse possession cases because the use or possession
    of property by permission of a title holder is, by defini-
    tion, not hostile and cannot support a finding of adverse
    possession. As previously stated, to establish title by
    adverse possession, a claimant always has the very
    heavy burden of demonstrating by clear and convincing
    evidence that its alleged use and/or possession of the
    subject property was without the consent or permission
    of the owner. See O’Connor v. Larocque, 
    302 Conn. 562
    ,
    581, 
    31 A.3d 1
     (2011).
    As our Supreme Court has explained, establishing
    this burden is particularly difficult in cases in which a
    party is seeking to establish adverse possession against
    a cotenant, i.e., a party holding a shared possessory
    interest in the property. 
    Id.
     ‘‘In cases involving claims
    by one cotenant against another, we have added to
    [the already] heavy burden by applying a presumption
    against adverse possession. The rationale for this pre-
    sumption is that, in view of the undivided interest held
    by cotenants . . . possession taken by one is ordinarily
    considered to be the possession by all and not adverse
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    Thoma v. Watson
    to any cotenant. . . . In other words, the presumption
    is based on a recognition that one cotenant’s possession
    is not necessarily inconsistent with the title of the oth-
    ers.’’8 (Citations omitted; emphasis omitted; internal
    quotation marks omitted.) 
    Id.,
     581–82.
    Moreover, ‘‘[a]lthough the presumption may be over-
    come in certain circumstances, it is not easily done.
    [A] cotenant claiming adversely to other cotenants must
    show actions of such an unequivocal nature and so
    distinctly hostile to the rights of the other cotenants
    that the intention to disseize is clear and unmistakable.
    . . . Not only must an actual intent to exclude others
    be demonstrated . . . but there also must be proof of
    an ouster and exclusive possession so openly and noto-
    riously hostile that the cotenant will have notice of the
    adverse claim.’’ (Citations omitted; emphasis omitted;
    internal quotation marks omitted.) Id., 582. Courts have
    employed a similar rebuttable presumption of permis-
    sive use in cases involving family members or other
    close relations. See Woodhouse v. McKee, 
    90 Conn. App. 662
    , 673, 
    879 A.2d 486
     (2005) (‘‘In determining what
    8
    ‘‘Permissive possession is not hostile or adverse and will not support
    an adverse possession claim [because] permissive possession is not consid-
    ered to be the possession of the occupant but rather the possession of the
    party on whose pleasure the permissive possession depends.’’ (Footnote
    omitted.) 3 Am. Jur. 2d 129–30, Adverse Possession § 44 (2023). With a
    cotenancy, ‘‘[t]he general principle is that there is a relation of trust between
    cotenants, each having an equal right of entry and possession. Thus, every
    cotenant has the right to enter into and occupy the common property and
    every part thereof provided in so doing, the cotenant does not exclude
    fellow cotenants or otherwise deny them some right to which they are
    entitled as cotenants; and the other tenants, on their part, may safely assume,
    until something occurs of which they must take notice, and which indicates
    the contrary, that the possession taken is held as a cotenant and is, in law,
    the possession of all cotenants. . . . In the absence of facts showing that
    one cotenant in sole possession holds such possession in opposition to the
    rights of other cotenants, the occupancy will be presumed to be that of a
    cotenant, and it is further presumed that one tenant in common holds
    property for the benefit of the others.’’ (Footnotes omitted.) Id., § 190,
    pp. 249–50.
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    Thoma v. Watson
    amounts to hostility, the relation that the adverse pos-
    sessor occupies with reference to the owner is
    important. If the parties are strangers and the posses-
    sion is open and notorious, it may be deemed to be
    hostile. However if the parties are related, there may
    be a presumption that the use is permissive.’’ (Internal
    quotation marks omitted.)).9
    Whether the defendant was obligated to plead permis-
    sive use of the subject property as a special defense to
    the plaintiff’s adverse possession claim is a question of
    law over which our review is plenary. See Howard-
    Arnold, Inc. v. T.N.T. Realty, Inc., 
    145 Conn. App. 696
    ,
    711, 
    77 A.3d 165
     (2013), aff’d, 
    315 Conn. 596
    , 
    109 A.3d 473
     (2015); see also Beckenstein Enterprises-Prestige
    Park, LLC v. Keller, 
    115 Conn. App. 680
    , 689–90, 
    974 A.2d 764
    , cert. denied, 
    293 Conn. 916
    , 
    979 A.2d 488
    (2009). Our rules of practice provide in relevant part
    that ‘‘[t]he defendant in the answer shall specially deny
    such allegations of the complaint as the defendant
    intends to controvert, admitting the truth of the other
    allegations, unless the defendant intends in good faith
    to controvert all the allegations, in which case he or
    she may deny them generally. . . .’’ Practice Book § 10-
    46. As a general rule, a defendant must plead facts by
    way of special defense only if ‘‘they are consistent with
    the allegations of the complaint but demonstrate, none-
    theless, that the plaintiff has no cause of action.’’
    (Emphasis added; internal quotation marks omitted.)
    Silver Hill Hospital, Inc. v. Kessler, 
    200 Conn. App. 742
    , 750, 
    240 A.3d 740
     (2020); see also Practice Book
    § 10-50.10 ‘‘The fundamental purpose of a special defense,
    9
    Both presumptions seem to be implicated under the facts of this case.
    The plaintiff contends on the basis of arguably imprecise or contradictory
    language in the court’s memorandum of decision that the court conflated
    the two presumptions. We decline to read such ambiguity in the court’s
    analysis as providing a basis for overturning the court’s decision. See part
    III of this opinion.
    10
    Practice Book § 10-50 provides: ‘‘No facts may be proved under either
    a general or special denial except such as show that the plaintiff’s statements
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    Thoma v. Watson
    like other pleadings, is to apprise the court and oppos-
    ing counsel of the issues to be tried, so that basic issues
    are not concealed until the trial is underway.’’ Bennett
    v. Automobile Ins. Co. of Hartford, 
    230 Conn. 795
    , 802,
    
    646 A.2d 806
     (1994).
    We now turn to the present case. The plaintiff argues
    that the court raised the issue of permissive use for the
    very first time, sua sponte, after the close of evidence
    and that he was prejudiced because that procedure
    prevented him from conducting discovery on the issue
    and presenting evidence to rebut a permission defense.
    He contends that the reason that the court should not
    have considered the defense goes directly to a basic
    sense of fair play embodied in our pleading and discov-
    ery rules and that the court’s denial of his adverse
    possession claim based on an unpleaded special defense
    amounted to a ‘‘trial by ambuscade to the detriment
    of [him].’’ (Internal quotation marks omitted.) Jo-Ann
    Stores, Inc. v. Property Operating Co., LLC, 
    91 Conn. App. 179
    , 199, 
    880 A.2d 945
     (2005); see also Howard-
    Arnold, Inc. v. T.N.T. Realty, Inc., supra, 
    145 Conn. App. 712
     (‘‘it is improper for a court, sua sponte, to
    apply an unpleaded special defense to defeat a plaintiff’s
    cause of action’’). The defendant, on the other hand,
    argues that Practice Book § 10-50, which contains our
    rules of practice governing denials and special defenses,
    is not directly applicable and that ‘‘the plaintiff
    [pleaded] facts to substantiate the cotenant/familial
    relationship, and thus the added burden of proof was
    of fact are untrue. Facts which are consistent with such statements but
    show, notwithstanding, that the plaintiff has no cause of action, must be
    specially alleged. Thus, accord and satisfaction, arbitration and award,
    duress, fraud, illegality not apparent on the face of the pleadings, infancy, that
    the defendant was non compos mentis, payment (even though nonpayment
    is alleged by the plaintiff), release, the statute of limitations and res judicata
    must be specially pleaded, while advantage may be taken, under a simple
    denial, of such matters as the statute of frauds, or title in a third person to
    what the plaintiff sues upon or alleges to be the plaintiff’s own.’’
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    Thoma v. Watson
    apparent in the pleadings.’’ We agree with the defendant
    that permissive use is not a defense that must be spe-
    cially pleaded.
    In asserting that permissive use must be specially
    pleaded, the plaintiff principally directs this court’s
    attention to our Supreme Court’s decision in Slack v.
    Greene, 
    294 Conn. 418
    , 
    984 A.2d 734
     (2009). In Slack,
    the defendant appealed from a judgment finding that the
    plaintiff had established the existence of a prescriptive
    easement11 over a paved right-of-way located on the
    defendant’s property for purposes of ingress to and
    egress from her home. 
    Id.,
     419–20. Among other things,
    the defendant claimed on appeal that there was insuffi-
    cient evidence to support the trial court’s finding that
    the plaintiff’s use of the right-of-way was adverse to
    the couple who owned the property ‘‘because the plain-
    tiff did not specifically mention the [couple] in her testi-
    mony, and because no other evidence about them was
    adduced at trial, [and thus] the trial court could not
    determine whether the plaintiff’s use of the right-of-
    way was adverse to their interests, or whether, instead,
    they had given the plaintiff permission to use it.’’ 
    Id., 433
    . In rejecting the defendant’s claims, our Supreme
    Court observed that, despite having alleged by way of
    special defense that the plaintiff ‘‘had permission to use
    the right-of-way from previous owners of the property’’;
    (internal quotation marks omitted) 
    id.,
     435 n.8; the
    defendant had presented no evidence to support that
    assertion. 
    Id., 435
    . It explained that ‘‘the trial court
    reasonably could have inferred that the [couple] had
    not given the plaintiff permission to use the right-of-
    way by virtue of the fact that the record is devoid of
    11
    Although Slack and the cases to which it cites involved claims of pre-
    scriptive easements, ‘‘[t]he legal principles governing a claim for a prescrip-
    tive easement are similar . . . to those governing claims of adverse posses-
    sion.’’ Viering v. Groton Long Point Assn., Inc., 
    223 Conn. App. 849
    , 868,
    
    311 A.3d 215
    , cert. denied, 
    349 Conn. 901
    , 
    312 A.3d 586
     (2024).
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    Thoma v. Watson
    any indication that such permission had been given.’’
    
    Id.
     It further explained that ‘‘[i]t is not the plaintiff’s
    burden to establish that an otherwise apparently
    adverse use of the defendant’s property was conducted
    without the defendant’s permission or license. . . . [If]
    the defendant raises permission by way of a special or
    affirmative defense, the burden of proof rests on the
    defendant . . . who must prove the special defense by
    a fair preponderance of the evidence. . . . Indeed, a
    contrary rule would unfairly charge a party with proving
    a negative.’’ (Citation omitted; emphasis added; foot-
    note omitted; internal quotation marks omitted.) 
    Id.
    The plaintiff argues that our Supreme Court’s discus-
    sion in Slack establishes that permissive use must be
    specially pleaded and, thus, the defendant in the present
    case was required to plead permission as a special
    defense to the adverse possession claim in order for
    the court to have relied on permissive use as a basis
    for ruling in favor of the defendant. We do not agree
    with the plaintiff’s reading of Slack.
    In Slack, the issue of whether permissive use is an
    affirmative defense or must be specially pleaded was
    not before the court. The court in Slack held that ‘‘[i]t is
    not the plaintiff’s burden to establish that an otherwise
    apparently adverse use of the defendant’s property was
    conducted without the defendant’s permission or
    license.’’ (Emphasis added; internal quotation marks
    omitted.) 
    Id.
     The court went on to explain that if a
    defendant chooses to raise permission vis-à-vis a special
    or affirmative defense, then ‘‘the burden of proof rests
    on the defendant . . . who must prove the special
    defense . . . .’’ (Internal quotation marks omitted.) 
    Id.
    The court also observed that generally requiring a plain-
    tiff to prove that it did not have permission to use the
    subject property in a case in which there was nothing
    in the pleadings or record suggesting the alleged use
    was anything other than adverse ‘‘would unfairly charge
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    Thoma v. Watson
    [the plaintiff] with proving a negative.’’ (Internal quota-
    tion marks omitted.) 
    Id.
    We read Slack as standing for the proposition that,
    if the use of the disputed property as alleged by a plain-
    tiff in support of its claim is ‘‘otherwise apparently
    adverse,’’ a trier of fact reasonably may infer that such
    use was also done without permission. We construe
    the court’s use of the term ‘‘otherwise apparently
    adverse’’ to mean there are no allegations in the plead-
    ings or evidence adduced at trial that could raise a
    contrary inference. Moreover, Slack notes that when-
    ever a defendant elects to plead facts via special defense
    that, if proven, would support a finding of consent or
    permissive use, the defendant assumes the burden of
    proof with respect to those facts. Cf. Janow v. Ansonia,
    
    11 Conn. App. 1
    , 8, 
    525 A.2d 966
     (1987) (defendant
    who voluntarily alleges fact that could be proven under
    simple denial may assume burden of proof, although
    plaintiff is still bound to prove essential allegations of
    complaint), citing Coogan v. Lynch, 
    88 Conn. 114
    , 116,
    
    89 A. 906
     (1914).
    Permissive use, however, is not consistent with the
    allegations of an adverse possession complaint. A plain-
    tiff claiming adverse possession must allege that the
    use or possession of the subject property was done in
    a manner adverse or hostile to the interest of the title
    owner. Permissive use stands in direct contradiction to
    that essential element of adverse possession. Accord-
    ingly, permissive use is not properly viewed as an affir-
    mative defense that must be specially pleaded under
    our rules of practice. Rather, a general denial of the
    allegations in the complaint seeking to establish the
    hostility element of adverse possession ordinarily will
    be enough to permit a defendant to demonstrate permis-
    sive use through evidence adduced at trial.12 See Silver
    12
    Although our case law reflects other instances in which defendants have
    elected to plead permission as a special defense to adverse possession, none
    holds that a defendant must do so in every case, nor do they suggest that
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    Thoma v. Watson
    Hill Hospital, Inc. v. Kessler, supra, 
    200 Conn. App. 750
     (if party disputes material fact by way of general
    denial, party ‘‘may introduce affirmative evidence tend-
    ing to establish a set of facts inconsistent with the
    existence of the disputed fact’’).
    The plaintiff suggests that a rule requiring the defen-
    dant to plead permissive use would alert a plaintiff that
    it may need to produce its own evidence either refuting
    a defendant’s claim of permission or proving that such
    permission was repudiated through some clear and
    unequivocal act. We disagree. In the present case, by
    alleging adverse possession, the plaintiff necessarily
    assumed the burden of proving that his possession of
    the property was hostile, i.e., without permission. More-
    over, the defendant’s answer denying that the use was
    hostile and leaving the plaintiff to his proof, coupled
    with the fact that the complaint itself alleged facts sug-
    gestive of some cotenancy or familial relationship
    between the parties, sufficiently put the plaintiff on
    notice that permissive use, as a matter of law, was a
    potential issue to overcome in this case.
    In short, we conclude that the defendant was not
    required under the facts of this case to raise permissive
    use or consent as a special defense. We turn then to the
    plaintiff’s related argument that the court improperly
    the failure to plead permissive use bars its consideration at trial. See, e.g.,
    Dowling v. Heirs of Bond, 
    345 Conn. 119
    , 132, 
    282 A.3d 1201
     (2022) (‘‘[t]he
    defendant . . . raised the following special defenses . . . (3) the plaintiff’s
    use of the parcel was permissive’’ (emphasis added)); Brander v. Stoddard,
    Superior Court, judicial district of Litchfield, Docket No. CV-XX-XXXXXXX-S
    (August 6, 2015) (reprinted at 
    173 Conn. App. 732
    , 733, 
    164 A.3d 892
    ) (‘‘[t]he
    defendants filed . . . an amended answer and special defenses on February
    13, 2015, alleging that the plaintiff’s use of the property was with the permis-
    sion of the owners’’ (emphasis added)), aff’d, 
    173 Conn. App. 730
    , 
    164 A.3d 889
    , cert. denied, 
    327 Conn. 928
    , 
    171 A.3d 456
     (2017); Woodhouse v. McKee,
    
    supra,
     
    90 Conn. App. 665
     (‘‘[i]n the special defenses, [the defendant] claimed
    that the plaintiffs’ use of the disputed parcel was consensual’’ (emphasis
    added)).
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    Thoma v. Watson
    raised the issue of permission sua sponte after the close
    of evidence. We are not convinced that the court’s actions
    here amounted to reversible error.
    ‘‘When litigation raises difficult questions of law, a
    trial court is well-advised to request briefs and to defer
    its written decision until such time as the court has had
    the opportunity to deliberate and to reach a thoughtful,
    reasoned conclusion.’’ Frank v. Streeter, 
    192 Conn. 601
    ,
    605, 
    472 A.2d 1281
     (1984). Accordingly, it is entirely
    appropriate for a trial court, following a bench trial, to
    request additional briefing if necessary to fulfill its duty
    to the due administration of justice. Additionally, ‘‘[a]
    court, in the interest of justice, after the close of evi-
    dence, may exercise its discretion to open the case for
    the purpose of permitting the introduction of additional
    evidence.’’ Statewide Grievance Committee v. Anker-
    man, 
    74 Conn. App. 464
    , 470, 
    812 A.2d 169
    , cert. denied,
    
    263 Conn. 911
    , 
    821 A.2d 767
     (2003). This is particularly
    so if there is ‘‘a dearth of evidence to assist the court
    in reaching an appropriate disposition.’’ (Internal quota-
    tion marks omitted.) Id., 471.
    Here, the court did not explicitly state that it was
    opening the evidence but rather appears only to have
    sought clarification and additional argument from the
    parties regarding the facts and issues already before it.
    As we have previously discussed, the record before the
    court indicated that the parties shared some ownership
    interest in the disputed property which, by implication,
    raised the issue of whether there was a presumption
    of permissive use that the plaintiff needed to overcome.
    Moreover, the plaintiff’s suggestion that the court raised
    the issue of permissive use for the first time sua sponte
    is belied by our review of the trial transcript. On direct
    examination about his use of the back parcel, counsel
    for the plaintiff asked Reinald the following question:
    ‘‘And you never had permission from anyone to use
    it?’’ This question demonstrates that the plaintiff was
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    Thoma v. Watson
    cognizant that permissive use was potentially at issue
    in this case.
    Finally, nothing in the court’s request to the parties
    precluded either party from asking the court formally
    to open the evidence if they believed that responding
    to the court’s posttrial inquiries required the presenta-
    tion of additional testimony or other evidence. As we
    have already indicated, the issue of whether the plaintiff
    had proven by clear and convincing evidence that its
    use of the subject property was adverse rather than
    permissive was an issue that was raised by necessary
    implication from the pleadings and evidence at trial
    and, thus, was properly before the court to decide in
    its role as the trier of fact. We are persuaded that the
    court’s posttrial inquiry in the present matter was a
    proper exercise of judicial discretion and not, as the
    plaintiff argues, reversible error.
    II
    The plaintiff next claims that the court made addi-
    tional errors ‘‘concerning issues of intent, motive, and
    subjective understanding,’’ thereby demonstrating that
    the court applied an incorrect legal standard. We dis-
    agree.
    We construe the plaintiff’s claim as challenging whether
    the court applied an incorrect legal standard, which
    also requires us to interpret the decision rendered by
    the court, both of which invoke our plenary review.
    See In re Paulo T., 
    213 Conn. App. 858
    , 867, 
    279 A.3d 766
     (2022), aff’d, 
    347 Conn. 311
    , 
    297 A.3d 194
     (2023).
    The plaintiff’s claim focuses on the court’s statement
    in its memorandum of decision that the plaintiff’s pur-
    ported use of the back parcel did not ‘‘evince an intent
    to dispossess [Lucille’s] kin of their right to share in
    its use.’’ The plaintiff argues that, ordinarily, a party
    seeking to establish that it has acquired title by adverse
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    0 Conn. App. 1
    Thoma v. Watson
    possession has no obligation to demonstrate any partic-
    ular motive or purposeful intent behind its use of the
    subject property. In other words, there is no need to
    prove that it affirmatively undertook to dispossess,
    extinguish or steal another’s property rights. The plain-
    tiff, however, acknowledges in his brief that, in an
    action in which the plaintiff and the defendant share
    some ownership rights in the subject property, the law
    requires the party seeking to establish adverse posses-
    sion over the other to show ‘‘actions of such an unequiv-
    ocal nature and so distinctly hostile . . . that the inten-
    tion to disseize is clear and unmistakable.’’ (Emphasis
    added; internal quotation marks omitted.) O’Connor v.
    Larocque, supra, 
    302 Conn. 582
    . This is the standard
    that the court appears to have been referencing in the
    previously quoted statement. Despite the plaintiff’s
    arguments to the contrary, we are unconvinced from
    our review of the court’s decision that it applied an
    incorrect legal standard; accordingly, we reject this
    claim.
    III
    The plaintiff also claims that the court erroneously
    found that the plaintiff had failed to prove its case by
    clear and convincing evidence. We disagree.
    ‘‘This court will neither speculate with regard to the
    rationale underlying the court’s decision nor, in the
    absence of a record that demonstrates that error exists,
    presume that the court acted erroneously. . . . It is
    well settled that [we] do not presume error; the trial
    court’s ruling is entitled to the reasonable presumption
    that it is correct unless the party challenging the ruling
    has satisfied its burden [of] demonstrating the contrary.
    . . . [If] the record can be read to support [a] court’s
    conclusion that the plaintiff failed to meet his burden,
    the plaintiff has failed to demonstrate that the court
    erred.’’ (Citations omitted; internal quotation marks
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    Thoma v. Watson
    omitted.) White v. Latimer Point Condominium Assn.,
    Inc., 
    191 Conn. App. 767
    , 780–81, 
    216 A.3d 830
     (2019).
    Here, the court reasonably could infer from the evi-
    dence presented and the admissions of the parties dur-
    ing argument before the court that both the defendant
    and Lucille were heirs of Stimpson and, as such, each
    had acquired some ownership interest in the back par-
    cel following her death. The court’s decision is not a
    model of clarity as it can be read to conflate a presump-
    tion of permissive use based on a familial relationship
    between the parties with the presumption of permission
    arising from a cotenant’s equal right of entry and posses-
    sion to co-owned property. As previously explained,
    however, after the close of evidence, the court issued
    its order asking the parties to appear and clarify cer-
    tain issues.
    The court’s first question sought clarification regard-
    ing the relationship between the defendant and Lucille
    for the purpose of establishing whether, as Stimpson’s
    heirs, they became cotenants of the back parcel after
    Stimpson’s death. As we have discussed, the issue of
    cotenancy is critical in an adverse possession case
    because there is a ‘‘presumption against adverse posses-
    sion’’ whenever one cotenant brings a claim against
    another. (Emphasis omitted.) O’Connor v. Larocque,
    supra, 
    302 Conn. 581
    . In such an instance, ‘‘[a] cotenant
    claiming adversely to other cotenants must show
    actions of such an unequivocal nature and so distinctly
    hostile to the rights of the other cotenants that the
    intention to disseize is clear and unmistakable.’’ (Inter-
    nal quotation marks omitted.) Id., 582. Overcoming this
    presumption, our Supreme Court has said, ‘‘is not easily
    done.’’ Id.
    In light of the court’s questions, it is reasonable to
    construe the court’s decision as having followed this
    analytical pathway in concluding that the plaintiff had
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    Thoma v. Watson
    not proven its case by clear and convincing proof. In
    setting forth the elements of an adverse possession
    claim, the court cited to O’Connor v. Larocque, supra,
    
    302 Conn. 562
    , the leading cotenancy case in Connecti-
    cut. Although the court made no express findings con-
    cerning the existence of a cotenancy, the court as the
    trier of fact reasonably could have inferred cotenancy
    from the evidence before it and thus the existence of
    a presumption against adverse possession. Although it
    is true that the court commingles references to the
    familial relationship of the parties, we are not convinced
    that such reference undermines the fact that the court
    also recognized the parties’ cotenancy as a basis for a
    presumption of permissive use, one that the court as
    the trier of fact determined the plaintiff failed to rebut
    by clear and convincing proof.
    Additionally, and perhaps more importantly, the
    court stated in its decision that ‘‘[t]he plaintiff failed to
    rebut [a] presumption [of permissive use], let alone
    prove [his] case by clear and positive proof.’’ (Emphasis
    added.) The plaintiff never sought clarification of this
    statement. The court’s statement is ambiguous as to
    whether it found that the plaintiff had failed to meet
    his burden of proof with respect to one, multiple or all
    elements of his adverse possession claim and why. It
    was the sole province of the court as the trier of fact
    to determine whether the evidence presented was
    believable and established adverse possession by clear
    and convincing proof, and we cannot substitute our
    own weighing of the evidence. In the face of ambiguity,
    we do not presume error but rather hold the appellant
    to his burden of establishing error requiring reversal.
    See White v. Latimer Point Condominium Assn., Inc.,
    supra, 191 Conn. App. 780–81. On the record presented,
    we are not convinced that the court erroneously found
    that the plaintiff had failed to prove his case by clear
    and convincing evidence.
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    Thoma v. Watson
    IV
    Finally, we address the plaintiff’s claim that the court
    improperly failed to comply with § 47-31 (f) by not mak-
    ing findings regarding the precise nature of the parties’
    respective interests in the disputed parcel. We reject
    this claim.
    Section 47-31 (f) provides in relevant part that a court
    hearing a quiet title action ‘‘shall hear the several claims
    and determine the rights of the parties . . . and render
    judgment determining the questions and disputes and
    quieting and settling the title to the property.’’ See foot-
    note 2 of this opinion. There is no express statutory
    requirement that, in order to quiet and settle a title
    dispute, a court must always set forth with any particu-
    lar degree of specificity each party’s legal interest in
    the disputed property. The court is only required to
    affirmatively adjudicate the disputes of the parties as
    they have been presented to the court and on the basis
    of the evidence presented. See Marquis v. Drost, 
    155 Conn. 327
    , 333–34, 
    231 A.2d 527
     (1967). We are con-
    vinced that the court met that standard here.
    In particular, our review of the transcript of the hear-
    ing on the motion for articulation leads us to conclude
    that the court properly determined that the evidence
    before it was insufficient to determine anything more
    than that the plaintiff had failed to meet his burden of
    demonstrating that the existing title to the back parcel
    had changed as a result of the plaintiff’s use or posses-
    sion. Under these circumstances, we are not convinced
    that the court failed to comply with the requirements
    of § 47-31 (f) by affirmatively adjudicating the adverse
    possession claim of the plaintiff in favor of the defen-
    dant and expressly finding that the ‘‘state of the title
    shall remain as is.’’
    The judgment is affirmed.
    In this opinion the other judges concurred.
    

Document Info

Docket Number: AC46307

Judges: Elgo; Clark; Westbrook

Filed Date: 10/8/2024

Precedential Status: Precedential

Modified Date: 10/8/2024