joins, concurring. Like the majority, Justice Eveleigh and I conclude that General Statutes § 1-217 (a),1 which prohibits *342public agencies from disclosing, pursuant to the Freedom of Information Act (act); General Statutes § 1-200 et seq.; the home addresses of various federal, state and local government officials and employees, is applicable to the grand list of motor vehicles subject to property taxation in each town, promulgated pursuant to General Statutes § 12-55,2 and its component data *343provided by the department of motor vehicles (department) to the town assessors pursuant to General Statutes (Rev. to 2009) § 14-163.3 The majority and I part company en route to that conclusion with respect to our applications of the plain meaning rule; see General Statutes § l-2z;4 to this statutory scheme. Specifically, I conclude that the text of the statutory scheme ulti*344mately is subject to more than one reasonable reading and is therefore sufficiently ambiguous to justify resort to extratextual sources, specifically, the legislative history of § 1-217 (a). A review of the legislative history readily confirms, however, what seems initially apparent from the somewhat ambiguous text of the statutory scheme, namely, that § 1-217 (a) applies to motor vehicle grand lists and their component data. Accordingly, I join the court in reversing the judgments of the trial court dismissing the administrative appeals filed by the various state and local plaintiffs,5 from the decision of the named defendant, the freedom of information commission (commission), ordering Darryl DelGrosso, the assessor of the town of North Stonington (town), to provide to the complainant, Peter Sachs, an exact electronic copy of the file that the motor vehicles department had provided to the town pursuant to § 14-163.
I begin by adopting the statement of facts and procedural history, the recitation of the parties’ arguments, and the standard of review set forth in the majority opinion. I also assume that substantial evidence supports the commission’s finding that the electronic file is in essence the motor vehicle grand list promulgated pursuant to § 12-55 (a). Finally, I note that in applying the plain meaning rule, codified as § l-2z; see footnote 4 of this concurring opinion; a statute is ambiguous, thus permitting consideration of extratextual evidence of its meaning, if “when read in context, [it] is susceptible to more than one reasonable interpretation.” (Internal quotation marks omitted.) Dept. of Public Safety v. Freedom of Information Commission, 298 Conn. 703, 720, 6 A.3d 763 (2010).
*345The primary provision of the act, General Statutes § 1-210 (a), provides in relevant part: “Except as otherwise provided by any federal law or state statute, all records maintained or kept on file by any public agency, whether or not such records are required by any law or by any rule or regulation, shall be public records .... Any agency rule or regulation, or part thereof, that conflicts with the provisions of this subsection or diminishes or curtails in any way the rights granted by this subsection shall be void. ...” (Emphasis added.) Section 1-217 (a), the provision of the act at issue in this appeal, then provides: “No public agency may disclose, under the Freedom of Information Act, the residential address of any of the following persons,” and then names twelve categories of public employees and officials subject to the statute’s protections, which include, for example, state and federal judges, various correction and law enforcement officers, judicial branch employees, current and former prosecutors and public defenders. See footnote 1 of this concurring opinion for the full text of § 1-217 (a). Subsection (b) of that statute then provides: “The business address of any person described in this section shall be subject to disclosure under section 1-210. The provisions of this section shall not apply to Department of Motor Vehicles records described in section 14-10.”6
*346Standing by itself, the plain language of § 1-217 (a) seems to preclude a public agency, which would include the office of a town assessor, from disclosing pursuant to the act the residential addresses of those protected by the statute. Section l-2z requires, however, that a statute’s language be read in connection with related statutes, which, in this case involving a motor vehicle grand list, would be § 12-55 (a), which provides in rele*347vant part: “On or before the thirty-first day of January of each year, except as otherwise specifically provided by law, the assessors or board of assessors shall publish the grand list for their respective towns. Each such grand list shall contain the assessed values of all property in the town .... The assessor or board of assessors shall lodge the grand list for public inspection, in the office of the assessor on or before said thirty-first day of January, or on or before the day otherwise specifically provided by law for the completion of such grand list. ...” (Emphasis added.) Viewed together, then, the text of § 1-217 (a) applies only to requests under the act and does not impose a blanket of confidentiality over protected individuals’ addresses for all purposes, and nothing in the text of § 12-55 (a) expressly provides for any exceptions with respect to the publication of the grand list or authorizes any redactions from the final published list. Thus, § 12-55 (a) reasonably could be read to provide an alternate avenue for the disclosure of information otherwise protected by § 1-217 (a), namely, inclusion on the grand list published by the assessor pursuant to his general and unqualified publication obligations. This would suggest, then, a practical limitation on the exception from disclosure under the act provided by § 1-217 (a). Although this result, vigorously advocated by the commission, may well seem anomalous, in my view, it is sufficiently reasonable to permit resort to the relevant extratextual sources under the analysis pursuant to § l-2z, given the long tradition of the openness of grand lists.7 See, e.g., Rocky Hill *348Inc. District v. Hartford Rayon Corp., 122 Conn. 392, 403, 190 A. 264 (1937); Davis v. Freedom of Information Commission, 47 Conn. Sup. 309, 310, 790 A.2d 1188 (2001), aff'd, 259 Conn. 45, 787 A.2d 530 (2002) (per curiam).
Purely by way of background, I begin, however, with the case law relied upon by the trial court and the commission. In Gold v. McDermott, 32 Conn. Sup. 583, 587-88, 347 A.2d 643 (App. Sess. 1975), the Appellate Session of the Superior Court extended the openness of the grand list itself to its component parts, concluding that “documents and materials . . . which contain raw valuation data and assessment data compiled by the city of Hartford and a private firm under a contract for revaluation of taxable properties in the city for purposes of real estate taxation, [fell] within the definition” of “public records” subject to disclosure under an earlier version of the act, despite the fact that such documents had never actually been used to create the grand list. In so concluding, the court rejected the city of Hartford’s claim that “§ 12-55 regulates inspection of assessment records, limits such inspection to completed grand lists only, and falls within the exception clause of [General Statutes] § 1-19 [now § 1-210],” noting that § 12-55 “merely imposes an affirmative duty on the assessor to make completed grand lists available for public inspection. Section 12-55 neither refers to the making or inspection of assessment records nor expressly limits public inspection to grand lists only.” Id., 590. Significantly, however, the court emphasized that “[c]onclud-ing that a document is a public record within the meaning of § 1-19 . . . does not give rise to an automatic right of inspection. If the document falls within *349one of the exceptions or exclusions found in [the act], then inspection will be precluded.” (Emphasis added.) Id., 589.
The emphasis in Gold on potential exemptions from disclosure under the act, even in the context of grand lists and their component data, brings me to Davis v. Freedom of Information Commission, supra, 47 Conn. Sup. 309. According to the trial court’s decision in Davis, which this court adopted as the proper statement of the law; see Davis v. Freedom of Information Commission, supra, 259 Conn. 55-56; on March 2, 1999, an insurance company investigator had requested the “motor vehicle grand list books for 1997 and 1998. The tax assessor’s office denied [the investigator’s] request on the grounds that the tax assessor is prohibited from disclosing motor vehicle information contained in such lists pursuant to the federal Drivers Privacy Protection Act, 18 U.S.C. § 2721 et seq. ([federal] act) and General Statutes § 14-10, as amended by No. 97-266 of the 1997 Public Acts (P.A. 97-266).” Davis v. Freedom of Information Commission, supra, 47 Conn. Sup. 310-11. The court concluded that the commission properly had ordered the assessor to provide access to inspect the tax books because the prohibitions against disclosure contained in the federal act and General Statutes §§ 14-10 and 14-50a (d) by their “express terms” applied only to state motor vehicle departments and, therefore, did not preclude assessors from disclosing “personal information,” such as an individual’s name and address, in the motor vehicle grand list.8 Id., 315-16. Thus, the court determined that, under § 14-163, which requires the department to provide the relevant names, addresses *350and vehicular information, and § 12-55 (a), which requires assessors to lodge the grand list for public inspection, the assessor could not refuse to disclose that information.9 Id., 317-18.
Although Davis is factually on point, it, like the discussion in Gold of the various exemptions from disclosure under the act then in effect, begs the legal question presented in this appeal. Section 1-217 is not mentioned anywhere in either decision, likely because it did not become applicable to local governments until after October 1, 1999; see Public Acts 1999, No. 99-156, § 3 (P.A. 99-156); and there was no mention in either case of providing the requested documents subject to any kind of redaction. Thus, I now turn to a discussion of the history and genealogy of § 1-217, which the legislature enacted to protect the safety of certain public officials and employees by shielding their home addresses from disclosure under the act to potentially dangerous individuals.
The legislature first enacted § 1-217 in 1995 as Public Acts 1995, No. 95-163,10 originally codified at General *351Statutes § l-20f, to prohibit state agencies from disclosing, pursuant to the act, the home addresses of federal court judges and magistrates, state court judges, family support magistrates, state and municipal police officers, department of correction employees, and past or present prosecutors and public defenders, “to the extent that they so request.” 38 S. Proc., Pt. 11, 1995 Sess., pp. 3736-37, remarks of Senator Winthrop Smith, Jr. The hearing testimony before the joint standing committee on government administration and elections indicates that the legislature enacted § 1-217 to address11 the security risk first realized when the department of correction had to comply with a prison inmate’s request, filed pursuant to the act, for the names of every correction officer in the state, some of which could then be cross-referenced with the gun permit owners’ database to yield the officers’ home addresses. See Conn. Joint Standing Committee Hearings, Government Administration and Elections, Pt. 2, 1995 Sess., pp. 419-21, remarks of Michael Ferrucci, executive assistant to the director of the correction officers union; see also id., pp. 673-75, remarks of Dennis O’Connor, lobbyist for the correction officers union (noting lack of prohibition of disclosure of addresses, and discussing possibility that gang members could review land, tax and voting *352records to ascertain residential addresses of correction and police officers).
The legislature made two changes to § 1-217 relevant to this appeal in 1999.12 In Public Acts 1999, No. 99-77, § 1, the legislature expanded the scope of the statute to include parole board members and employees and, more significantly, eliminated the requirement that the protected employee or official make a written request for nondisclosure and furnish their business address instead, thereby making such protection “[automatic] . . . .” 42 S. Proc., Pt. 5, 1999 Sess., p. 1516, remarks of Senator Donald Williams, Jr.; see id. (“what the amendment would do would get rid of that requirement so that they would automatically be protected without the necessity of filing such a written request”); 42 H.R. Proc., Pt. 6,1999 Sess., p. 2090, remarks of Representative Michael P. Lawlor (“as an automatic procedure the business address as opposed to their residential address would be provided for the covered state employees”).
The second significant amendment to the statute in 1999 came with P.A. 99-156, § 3, which substituted the term “public agency” for the previous language that had rendered the statute applicable only to a “state department, agency, board, council, commission or institution . . . .” Public Act 95-163. The legislature enacted P.A. 99-156 as a comprehensive response to the potential threat posed to correction employees and facilities caused when inmates or their associates obtained otherwise protected information by filing requests under the act with municipal, rather than state, agencies; it required, inter alia, notification to the com*353missioner of correction of requests filed by inmates.13 See 42 S. Proc., Pt. 8, 1999 Sess., pp. 2782-84, remarks of Senator John Kissel (discussing growing “abuse” of freedom of information process by inmates, including requests to town clerks for correction officers’ addresses); Conn. Joint Standing Committee Hearings, Government Administration and Elections, Pt. 4, 1999 Sess., p. 1001, exchange between John Armstrong, commissioner of correction, and Representative Alex Knopp (observing that local zoning commission receiving request for map or engineering plan would notify commissioner of correction, who would then determine whether compliance fell “within the area of being a threat to safety and security”); id., p. 1003, remarks of Senator Kissel (“the topographic map of the maximum security facility in Somers . . . certainly shouldn’t be in the hot hands of convicted felons”). Particularly given the expansion in 1999 of the applicability of § 1-217 beyond state agencies to municipalities, and committee testimony that would apply it to land and tax records, the legislative history supports a conclusion that the legislature intended § 1-217 to protect the residential addresses of a broad group of public officials and employees, and did not envision excepting entire *354classes of governmental records, including grand lists, from its reach.14
The commission argues, however, that this construction of § 1-217 is unworkable and inconsistent with the legislature’s intent, and relies upon Public Acts 2005, No. 05-278 (P.A. 05-278),15 which was approved by the *355legislature, but vetoed by the governor, and would have, inter alia, restricted the application of § 1-217 only to the public agency to which an official or employee belongs, and provided that it does not “exempt from disclosure the residential addresses of elected officials or residential addresses Usted on a grand Ust, tax delinquency Ust, elector registration or enrollment form, voting Ust or any record that is otherwise required by law to be disclosed to the pubhc.” P.A. 05-278, § 1. The commission, citing the governor’s veto statement, contends that P.A. 05-278 demonstrates the legislature’s desire to narrow the appUcation of § 1-217, especiaUy given that it was vetoed only because of a separate provision that would have excluded legislators’ e-mails from the disclosure requirements of the act. See Message of Governor M. Jodi Rell Accompanying Veto of House BiU No. 6774 (July 11, 2005) (criticizing e-mail provision because it was adopted late on final night of legislative session, “without significant debate or discussion” or public hearing, and not discussing remainder of act). As noted by the plaintiffs, however, *356the commission’s reliance on the history of P.A. 05-278 is belied by the multiplicity of more recent unsuccessful attempts to amend § 1-217 in a similar manner, supported by the commission, which did not progress beyond committee. See Raised Bill No. 5528,2008 Sess., § 4 (died in judiciary committee); Raised Bill No. 5583, 2006 Sess., § 1 (died in government administration and elections committee). “Ordinarily, we are reluctant to draw inferences regarding legislative intent from the failure of a legislative committee to report a bill to the floor, because in most cases the reasons for that lack of action remain unexpressed and thus obscured in the [midst] of committee inactivity.”16 (Internal quotation marks omitted.) Dept. of Social Services v. Saunders, 247 Conn. 686, 706, 724 A.2d 1093 (1999). Multiple attempts to amend a statute to achieve a particular result may, however, support an inference that the existing statute is inconsistent with that result, especially when that inference finds support in the legisla*357tive history of the failed bills. See Vacco v. Microsoft Corp., 260 Conn. 59, 79-81, 793 A.2d 1048 (2002) (discussing multiplicity of unsuccessful so-called “Illinois Brick [Co.] repealer bills” that would have nullified at state level United States Supreme Court holding; Illinois Brick Co. v. Elinois, 431 U.S. 720, 97 S. Ct. 2061, 52 L. Ed. 2d 707 [1977]; in concluding that, as under federal laws that guide their interpretation, state antitrust statutes do not permit indirect purchasers to bring actions under state antitrust act).
I further disagree with the commission’s contention that holding § 1-217 applicable to grand lists and their component data impermissibly works an implied repeal of § 12-55 (a). “The legislature is presumed to be aware and to have knowledge of all existing statutes and the effect which its own action or nonaction may have on them.” (Internal quotation marks omitted.) Nunno v. Wixner, 257 Conn. 671, 682, 778 A.2d 145 (2001). “[I]t is a well established rule of statutory construction that repeal of the provisions of a statute by implication is not favored and will not be presumed where the old and the new statutes, in this case [§§ 1-217 and 12-55 (a)], can peacefully coexist. ... If, by any fair interpretation, we can find a reasonable field of operation for both [§§ 1-217 and 12-55 (a)], without destroying or perverting their meaning and intent, it is our duty to reconcile them and give them concurrent effect.” (Internal quotation marks omitted.) Rivera v. Commissioner of Correction, 254 Conn. 214, 242, 756 A.2d 1264 (2000). “It is well established that, because we presume that the legislature does not intend to draft meaningless provisions, we are bound to harmonize otherwise conflicting statutes to the maximum extent possible without thwarting their intended purpose.”17 State v. Tabone, 292 Conn. 417, 434, 973 A.2d 74 (2009).
*358Even assuming, without deciding, that there is some conflict between § 12-55 (a) and § 1-217, that conflict is easily reconcilable. Although “tax assessments are matters of public record” under § 12-55 (a); Cherniske v. Jajer, 171 Conn. 372, 377, 370 A.2d 981 (1976); the *359openness of tax records is intended to permit taxpayers to evaluate the accuracy and fairness of the values assessed to their property, thus aiding in ensuring a fair and rational local property tax scheme. See Rocky Hill Inc. District v. Hartford Rayon Corp., supra, 122 Conn. 403. In the present case, the commission has not demonstrated either that DelGrosso has declined to provide assessment data specifically, or more globally, any reason why a person seeking to determine the fairness and accuracy of a motor vehicle assessment needs to know at which address a vehicle is garaged in a particular municipality in order to accomplish that task, and I cannot conceive of one.18 Accordingly, I conclude that the trial court improperly concluded that § 1-217 does not apply to motor vehicle grand lists or their component data.19
*360Therefore, I concur in the judgment reversing the judgments of the trial court and remanding the cases to that court with direction to sustain the administrative appeals.
General Statutes § 1-217 provides: “(a) No public agency may disclose, under the Freedom of Information Act, the residential address of any of the following persons:
“(1) A federal court judge, federal court magistrate, judge of the Superior Court, Appellate Court or Supreme Court of the state, or family support magistrate;
“(2) A sworn member of a municipal police department, a sworn member of the Division of State Police within the Department of Public Safety or a *342sworn law enforcement officer within the Department of Environmental Protection;
“(3) An employee of the Department of Correction;
“(4) An attomey-at-law who represents or has represented the state in a criminal prosecution;
“(5) An attomey-at-law who is or has been employed by the Public Defender Services Division or a social worker who is employed by the Public Defender Services Division;
“(6) An inspector employed by the Division of Criminal Justice;
“(7) A firefighter;
“(8) An employee of the Department of Children and Families;
“(9) A member or employee of the Board of Pardons and Paroles;
“(10) An employee of the judicial branch;
“(11) An employee of the Department of Mental Health and Addiction Services who provides direct care to patients; or
“(12) A member or employee of the Commission on Human Eights and Opportunities.
“(b) The business address of any person described in this section shall be subject to disclosure under section 1-210. The provisions of this section shall not apply to Department of Motor Vehicles records described in section 14-10.”
General Statutes § 12-55 provides in relevant part: “(a) On or before the thirty-first day of January of each year, except as otherwise specifically provided by law, the assessors or board of assessors shall publish the grand list for their respective towns. Each such grand list shall contain the assessed values of all property in the town, reflecting the statutory exemption or exemptions to which each property orproperty owner is entitled, and including, where applicable, any assessment penalty added in accordance with section 12-41 or 12-57a for the assessment year commencing on the October first immediately preceding. The assessor or board of assessors shall lodge the grand list for public inspection, in the office of the assessor on or before said thirty-first day of January, or on or before the day otherwise specifically provided by law for the completion of such grand list. The town’s assessor or board of assessors shall take and subscribe to the oath, pursuant to section 1-25, which shall be certified by the officer administering the same and endorsed upon or attached to such grand list. For the grand list of October 1, 2000, and each grand list thereafter, each assessor or member of a board of assessors who signs the grand list shall be certified in accordance with the provisions of section 12-40a. . . .”
General Statutes (Rev. to 2009) § 14-163 provides: “(a) The commissioner shall compile information concerning motor vehicles and snowmobiles subject to property taxation pursuant to section 12-71 using the records of the Department of Motor Vehicles and information reported by owners of motor vehicles and snowmobiles. In addition to any other information the owner of a motor vehicle or snowmobile is required to file with the commissioner by law, such owner shall provide the commissioner with the name of the town in which such owner’s motor vehicle or snowmobile is to be set in the list for property tax purposes, pursuant to section 12-71. On or before December 1, 2004, and annually thereafter, the commissioner shall furnish to each assessor in this state a list identifying motor vehicles and snowmobiles that are subject to property taxation in each such assessor’s town. Said list shall include the names and addresses of the owners of such motor vehicles and snowmobiles, together with the vehicle identification numbers for all such vehicles for which such numbers are available.
“(b) On or before October 1, 2004, and annually thereafter, the commissioner shall furnish to each assessor in this state a list identifying motor vehicles and snowmobiles in each such assessor’s town that were registered subsequent to the first day of October of the assessment year immediately preceding, but prior to the first day of August in such assessment year, and that are subject to property taxation on a supplemental list pursuant to section 12-71b. In addition to the information for each such vehicle and snowmobile specified under subsection (a) of this section that is available to the commissioner, the list provided under this subsection shall include a code related to the date of registration of each such vehicle or snowmobile.”
I note that in Public Acts 2010, No. 10-110, § 22 (P. A. 10-110), the legislature amended § 14-163 by, inter alia, adding a new subsection (c) that provides: “No assessor or tax collector shall disclose any information contained in any list provided by the commissioner pursuant to subsections (a) and (b) of this section if the commissioner is not required to provide such information or if such information is protected from disclosure under state or federal law.” See also P.A. 10-110, § 22 (a) and (b) (changing word “furnish” to “provide” in § 14-163 [a] and [b]).
General Statutes § l-2z provides: “The meaning of a statute shall, in the first instance, be ascertained from the text of the statute itself and its relationship to other statutes. If, after examining such text and considering such relationship, the meaning of such text is plain and unambiguous and does not yield absurd or unworkable results, extratextual evidence of the meaning of the statute shall not be considered.”
The plaintiffs are the commissioner of public safety, the commissioner of children and families, the commissioner of correction (state agencies), the judicial branch, Nicholas Mullane n and Darryl DelGrosso, as first selectman and assessor respectively of the town of North Stonington (town), and AFSCME, Council 4, Locals 387, 391 and 1565 (union).
The cross-referenced statute, General Statutes (Rev. to 2009) § 14-10, provides in relevant part: “(a) For the purposes of this section:
“(1) ‘Disclose’ means to engage in any practice or conduct to make available and make known, by any means of communication, personal information or highly restricted personal information contained in a motor vehicle record pertaining to an individual to any other individual, organization or entity;
“(2) ‘Motor vehicle record’ means any record that pertains to an operator’s license, learner’s permit, identity card, registration, certificate of title or any other document issued by the Department of Motor Vehicles;
“(3) ‘Personal information’ means information that identifies an individual and includes an individual’s photograph or computerized image, Social Security number, operator’s license number, name, address other than the zip code, telephone number, or medical or disability information, but does not include information on motor vehicle accidents or violations, or information relative to the status of an operator’s license, registration or insurance coverage ....
*346“(c) (1) All records of the Department of Motor Vehicles pertaining to the application for registration, and the registration, of motor vehicles of the current or previous three years shall be maintained by the commissioner at the main office of the department. Any such records over three years old maybe destroyed at the discretion of the commissioner. (2) Before disclosing personal information pertaining to an applicant or registrant from such motor vehicle records or allowing the inspection of any such record containing such personal information in the course of any transaction conducted at such main office, the commissioner shall ascertain whether such disclosure is authorized under subsection (f) of this section, and require the person or entity making the request to (A) complete an application that shall be on a form prescribed by the commissioner, and (B) provide two forms of acceptable identification. An attomey-at-law admitted to practice in this state may provide his or her juris number to the commissioner in lieu of the requirements of subparagraph (B) of this subdivision. The commissioner may disclose such personal information or permit the inspection of such record containing such information only if such disclosure is authorized under subsection (f) of this section. . . .
“(e) In the event (1) a federal court judge, federal court magistrate or judge of the Superior Court, Appellate Court or Supreme Court of the state, (2) a member of a municipal police department or a member of the Division of State Police within the Department of Public Safety, (3) an employee of the Department of Correction, (4) an attomey-at-law who represents or has represented the state in a criminal prosecution, (5) a member or employee of the Board of Pardons and Paroles, (6) ajudicial branch employee regularly engaged in court-ordered enforcement or investigatory activities, (7) an inspector employed by the Division of Criminal Justice, (8) a federal law enforcement officer who works and resides in this state, or (9) a state referee under section 52-434, submits a written request and furnishes such individual’s business address to the commissioner, such business address only shall be disclosed or available for public inspection to the extent authorized by this section.
“(f) The commissioner may disclose personal information from a motor vehicle record to:
“(1) Any federal, state or local government agency in carrying out its functions or to any individual or entity acting on behalf of any such agency . . . .”
I note that, in Public Acts 2010, No. 10-110, § 28, the legislature amended § 14-10 in relevant part by expanding the scope of subsection (e) to include “lake patroljmen] appointed pursuant to subsection (a) of section 7-151b engaged in boating law enforcement . . . .”
As the majority notes, I understand the commission’s argument to be that, when § 1-217 (a) is read in the context of the related statutes, as is required by § l-2z, § 12-55 (a) and its related case law provide what is in essence an exception to the exception found in § 1-217 (a). The majority then posits that § 12-55 (a) was enacted in 1949, forty-six years before the enactment of § 1-217 (a) in 1995, and thus “§ 12-55 could not have been enacted as an exception to a provision that was not yet in existence and, to the extent the concurrence relies on this reading of § 12-55 to find the statutory scheme ambiguous and to justify an examination of the legislative history ... it is unconvincing.” See footnote 16 of the majority opinion. I *348simply observe that the majority’s observation with respect to the statutes’ effective date, while salient, ironically requires consideration of a factor that is historical in nature and not contained in the operative statutory text — namely, the statutes’ respective dates of enactment.
The court further noted that both § 14-10 and the federal act expressly permitted the department and its employees or contractors to disclose personal information to federal, state or local governmental agencies for the purpose of carrying out their governmental functions, which extended to “the functions of the tax assessor’s office.” Davis v. Freedom of Information Commission, supra, 47 Conn. Sup. 316.
The court further rejected the assessor’s contention that the “phrases ‘except as otherwise specially provided by law’ in § 12-55 (a) and ‘except as otherwise provided by any federal law or state statute’ in § 1-210 refer to the prohibitions against disclosure under the [federal] act and § 14-10 as amended. Since, as discussed previously, neither the [federal] act nor § 14-10 expressly prohibits disclosure by the tax assessor, her contention must fail. To conclude otherwise would require finding an implicit repeal of § 12-55 (a) and Connecticut’s historical system of maldng grand lists, including personal property grand lists, available to the public for correction and disputation.” Davis v. Freedom of Information Commission, supra, 47 Conn. Sup. 318.
Public Act 95-163 provides: “AN ACT EXEMPTING THE NAMES AND ADDRESSES OF HAZARDOUS DUTY STATE EMPLOYEES FROM THE FREEDOM OF INFORMATION ACT.
“(NEW) No state department, agency, board, council, commission or institution may disclose, under the freedom of information act, the residential address of (1) a federal court judge, federal court magistrate, judge of the superior court, appellate court or supreme court of the state, or family support magistrate, (2) a sworn member of a municipal police department or a sworn member of the division of state police within the department *351of public safety, (3) an employee of the department of correction, (4) an attomey-at-law who represents or has represented the state in a criminal prosecution, or (5) an attomey-at-law who is or has been employed by the public defender services division, if such person submits a written request for such nondisclosure and furnishes his business address to the executive head of such department, agency, board, council, commission or institution. The business address of any person described in this section shall be subject to disclosure under section 1-19 [now § 1-210] of the general statutes. The provisions of this section shall not apply to motor vehicle department records described in section 14-10 of the general statutes.”
It is well settled that “testimony before legislative committees may be considered in determining the particular problem or issue that the legislature sought to address by the legislation.” (Internal quotation marks omitted.) Hatt v. Burlington Coat Factory, 263 Conn. 279, 314, 819 A.2d 260 (2003).
Between 1995 and 1999, the legislature amended § 1-217 several times to expand its applicability to other classes of government employees. See Public Acts 1999, No. 99-26, § 27 (employees of department of children and families); Public Acts 1997, No. 97-219, § 2 (firefighters); Public Acts 1996, No. 96-83, § 1 (inspectors from division of criminal justice).
For example, P.A. 99-156, § 1, amended § 1-210 by adding subsection (c) to that statute, which requires public agencies receiving a request “from any person confined in a correctional institution or facility, for disclosure of any public record under the [act],” to “promptly notify the Commissioner of Correction of such request . . . before complying with the request as required by the [act].” Public Act 99-156, § 1, then permitted the commissioner of correction, subject to appeal to the commission, to “withhold such record from such person,” if “the commissioner [of correction] believes the requested record is exempt from disclosure pursuant to” § 1-210 (b) (18), which provides a nonexhaustive list of exempt records, the disclosure of which reasonably “may result in a safety risk, including the risk of harm to any person or the risk of an escape from, or a disorder in, a correctional institution . . . Subsection (c) of § 1-210 subsequently was amended to apply similarly to a Whiting Forensic Division facility of the Connecticut Valley Hospital, under the supervision of the commissioner of mental health and addiction services. See Public Acts, Spec. Sess., June, 2000, No. 00-1, § 20.
1 also note that amendments to § 1-217 subsequent to 1999 have made clear the legislature’s intent to extend its protection to a broad swath of government officials or employees whose duties place them at potential risk from the actions of disturbed or disgruntled persons, including, for example, employees of the judicial branch and the commission on human rights and opportunities. See Public Acts 2008, No. 08-186, § 1 (“sworn law enforcement officer[s] within the [department of [ejnvironmental [protection”); Public Acts 2008, No. 08-120, § 1 (employees of “the [department of [mental [hjealth and [ajddiction [sjervices who [provide] direct care to patients”); Public Acts 2005, No. 05-108, § 2 (members and employees of board of pardons and paroles); Public Acts 2002, No. 02-53, § 1 (employees and members of commission on human rights and opportunities); Public Acts 2001, No. 01-186, § 17 (judicial branch employees and public defender division social workers). Indeed, the sheer breadth of the statute has been discussed during debate prior to the approval of these amendments, demonstrating the legislature’s desire to err on the side of caution with respect to the nondisclosure of residential addresses. See 45 H.R. Proa, Pt. 10, 2002 Sess., p. 3099, remarks of Representative Philip Prelli (criticizing bill extending statute to all employees of commission on human rights and opportunities as “going a little too far across the board”); 44 H.R. Proa, Pt. 20, 2001 Sess., p. 6639, remarks of Representative Michael Lawlor (noting that § 1-217 precludes only disclosure of home addresses and that, “history has shown, unfortunately, that oftentimes defendants and offenders in the criminal justice system have a penchant for filing civil actions against everybody, harassing people under a variety of circumstances”).
Public Act 05-278 provides in relevant part: “Section 1. Section 1-217 of the general statutes is repealed and the following is substituted in lieu thereof (Effective from passage):
“(a) No public agency [may] shall disclose, under the Freedom of Information Act, the residential address of any of [the following persons:] its officials or emnlovees. notwithstanding that such address is listed on a public record of another agency. The provisions of this subsection do not exempt from disclosure the residential addresses of elected officials or residential addresses listed on a grand list., tax delinnnencv list, elector registration or enrollment form, voting list or any record that is otherwise required hv la.w to he disclosed to the nnhlic.
“[(1) A federal court judge, federal court magistrate, judge of the Superior Court, Appellate Court or Supreme Court of the state, or family support magistrate;
“(2) A sworn member of a municipal police department, a sworn member of the Division of State Police within the Department of Public Safety;
*355“(3) An employee of the Department of Correction;
“(4) An attomey-at-law who represents or has represented the state in a criminal prosecution;
“(5) An attomey-at-law who is or has been employed by the Public Defender Services Division or a social worker who is employed by the Public Defender Services Division;
“(6) An inspector employed by the Division of Criminal Justice;
“(7) A firefighter;
“(8) An employee of the Department of Children and Families;
“(9) A member of the Board of Pardons and Paroles;
“(10) An employee of the judicial branch; or
“(11) A member or employee of the Commission on Human Eights and Opportunities.]
“(b) No public agency shall disclose, under the Freedom of Information Act, the residential address of any federal court judge, federal court magistrate. judge of the Superior Court. Annellate Court or Supreme Court of the state, or family sunnort magistrate.
“[(b)] (s) The business address of any person described in this section shall be subject to disclosure under section 1-210. The provisions of this section shall not apply to Department of Motor Vehicles records described in section 14-10.”
The commission contends that Raised Bill No. 5528 evinced the legislature’s understanding in 2008 of the “havoc wreaked by the [plaintiffs’] practice of suppressing residential addresses . . . Citing an exchange between then commissioner of correction Theresa C. Lantz and Senator Andrew McDonald, the commission contends that Senator McDonald understood the plaintiffs’ construction of the existing § 1-217 to mean that a municipality could not disclose a protected person’s name and address in a summons used to commence a tax foreclosure action. See Conn. Joint Standing Committee Hearings, Judiciary, 2008 Sess., Pt. 5, p. 1447. I decline to consider this exchange as evidence of the unworkability of § 1-217, because it is incorrect as amatter of law. Specifically, § 1-217 applies only to requests filed pursuant to the act; it, like the rest of the act, is separate and distinct from the civil litigation process. See, e.g., Director of Health Affairs Policy Planning v. Freedom of Information Commission, 293 Conn. 164, 172, 977 A.2d 148 (2009) (“the rules of discovery and the provisions of the act operate ‘separately and independently’ of each other”). Thus, the restriction in § 1-217 on disclosure under the act does not impinge on a public agency’s rights to litigate a civil action. Cf. id., 179 (“[t]he legislature could have, but did not, similarly broaden the scope of the peer review privilege by expanding its applicability beyond the context of civil actions, either by providing a blanket protection of general confidentiality, or by expressly incorporating the privilege into the act”).
As a corollary, the commission argues that, “had the legislature intended to conceal the residential addresses contained in grand lists and similar records that have long been required by statute to be open for public inspec*358tion, it would have done so explicitly.” Given that the act “makes disclosure of public records the statutory norm”; (internal quotation marks omitted) Director, Dept. of Information Technology v. Freedom of Information Commission, 274 Conn. 179, 187, 874 A.2d 785 (2005); I understand the commission to argue, then, that if the legislature declares specifically in a statute that a record is “public,” it has done so to make those records, for lack of a better term, “super-public” and therefore not subject to any exception. The commission does not, however, cite any statutory provision or legislative history that actually evinces this intent. This likely is because this claim is inconsistent with one of the principal purposes of the act, namely, achieving uniformity in the treatment of public records, including setting forth the circumstances under which a public official could deny persons access thereto. Specifically, I note that the drafter of the bill enacted as the “mainstay provision of’ the act in Public Acts 1957, No. 428; see Commissioner of Public Safety v. Freedom of Information Commission, 204 Conn. 609, 621 n.10, 529 A.2d 692 (1987); testified that it was necessary in part to promote uniformity because, beyond the more limited common-law doctrine of public inspection; see, e.g., Gold v. McDermott, supra, 32 Conn. Sup. 586-87; “Connecticut is classified as one of [fifteen] ‘specific statute states’ on the subject of public records. This means that the legislative policy is to specify the right of inspection of certain public records and to deny specifically such right of inspection as to certain other public records. But the trouble here is that the Connecticut legislature has forgotten to say anything about the rest of our public records. For example, do you know that there is no specific statute giving our citizens the right to inspect records of the town clerk ... or records of town meetings ... or even the records of the General Assembly itself.” Conn. Joint Standing Committee Hearings, General Laws, Pt. 1, 1957 Sess., p. 293, remarks of Carter White, chairman of Connecticut Council on Freedom of Information; see also id., p. 298, remarks of Barnard Colby, assistant general manager of New London Day (“[e]nactment of these bills will benefit not only the citizens, but the conscientious public official who will find life easier if he can function under a law which clearly defines public meetings and records, and distinguishes between those records which are open to the public at reasonable times and places, and those which are not public records”). Indeed, accepting the commission’s argument could well have far-ranging, and likely unintended, consequences with respect to the relationship between the act and records of numerous public agencies that, like grand lists, were statutorily denominated as “public” prior to the enactment of even the original act in 1957. See, e.g., General Statutes § 7-410 (files and records of municipal civil service *359boards, including tests); General Statutes § 16-17 (public utility accident investigations).
1 recognize that withholding the address of real property on a grand list would complicate the determination of that real property’s proper valuation. Given that this case concerns only the motor vehicle portion of the grand list, I acknowledge the judicial branch’s argument that § 12-55 (a) does not require the inclusion of property owners’ names on the grand list, but nevertheless decline to declare in dicta the appropriate steps by which an assessor might safeguard the residential address of the home of a protected person under § 1-217, while still providing sufficient information for an accurate comparison of assessed residential values.
1 also disagree with the commission’s argument that application of § 1-217 to grand lists or other public records not kept by an official or employee’s agency is “in practice, completely unworkable.” The commission relies on DelGrosso’s testimony that, given the small size of the town, he generally recognizes which residents are subject to the protection of § 1-217, and redacts their addresses accordingly, but acknowledges that he might not necessarily know everyone who is covered. Although DelGrosso’s particular approach might well be difficult to implement in larger municipalities, § 1-217 as a whole is not unworkable. Although P.A. 99-77, § 1, amended § 1-217 by eliminating the previous requirement that covered employees or officials must actively avail themselves of its protections; see text accompanying footnote 10 of this concurring opinion; I agree with the town’s observation that, as a practical matter, protected persons may and should notify their towns of their status under § 1-217. See also Conn. Joint Standing Committee Hearings, Judiciary, Pt. 5, 2008 Sess., p. 1446, remarks of Sandra Sharr, legal counsel to department of correction (testifying that correction *360employees are advised to notify towns of their protected status under § 1-217). I also note the practicality of the judicial branch’s suggestion that public agencies should take a more “proactive approach” to aid in the identification of protected individuals, such as by modifying government forms that request residential addresses to inquire whether the filer of the form is protected under § 1-217.