Waite v. Utah Labor Comm'n ( 2017 )


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  •                     This opinion is subject to revision before final
    publication in the Pacific Reporter
    
    2017 UT 86
    IN THE
    SUPREME COURT OF THE STATE OF UTAH
    JAMES WAITE and LUIS A. ORTEGA,
    Petitioners,
    v.
    UTAH LABOR COMMISSION, FARR BETTER PREMIUM ICE CREAM,
    SANDY CITY, and WORKERS COMPENSATION FUND,
    Respondents.
    No. 20150384
    Filed December 1, 2017
    Petition for Review of an Agency Decision
    Attorneys:
    Phillip B. Shell, Nathan Whittaker, Murray, for petitioners
    Jaceson R. Maughan, Salt Lake City, for respondent
    Utah Labor Commission
    Hans M. Scheffler, Eugene C. Miller, Jr., Michael D. Karras, Sandy,
    for respondents Farr Better Premium Ice Cream, Sandy City, and
    Workers Compensation Fund
    Sean D. Reyes, Att’y Gen., Tyler R. Green, Solic. Gen.,
    Stanford E. Purser, Deputy Solic. Gen., Brent A. Burnett,
    Asst. Att’y Gen., Salt Lake City, for amicus State of Utah
    Troy L. Booher, Beth E. Kennedy, Salt Lake City, for amicus
    Utah State Board of Regents
    Colin P. King, Charles H. Thronson, Paul M. Simmons,
    Salt Lake City, for amicus Utah Association for Justice
    CHIEF JUSTICE DURRANT authored the opinion of the Court, in which
    JUSTICE DURHAM* and JUSTICE HIMONAS joined.
    ASSOCIATE CHIEF JUSTICE LEE filed an opinion
    concurring in the judgment.
    JUSTICE PEARCE filed a concurring opinion.
    
    Justice Durham sat on this case and voted prior to her retirement
    on November 15, 2017.
    WAITE v. LABOR COMM’N
    Opinion of the Court
    CHIEF JUSTICE DURRANT, opinion of the Court:
    Introduction
    ¶ 1 Here we address the constitutionality of Utah Code section
    34A-2-417(2)(a)(ii), a provision of the Workers’ Compensation Act
    (WCA) that limits the time an injured worker has to prove a claim.
    The section provides that an employee claiming compensation for a
    workplace injury must be “able to meet the employee’s burden of
    proving that the employee is due the compensation claimed” within
    “12 years from the date of the accident.” If the employee cannot, the
    claim is barred. Petitioners are two workers who were injured as a
    result of a workplace accident and filed claims to receive permanent
    total disability benefits more than twelve years after the original
    accident. Both had their claims denied and dismissed as untimely
    under section 34A-2-417(2)(a)(ii). In petitioning for review of the
    Utah Labor Commission’s orders, they argue that this statute acts as
    a statute of repose and so is unconstitutional under the Open Courts
    Clause of the Utah Constitution. We conclude that while section
    34A-2-417(2)(a)(ii) is a statute of repose, it is nevertheless
    constitutional under the Open Courts Clause.
    Background
    ¶ 2 This consolidated petition stems from two separate orders of
    the Utah Labor Commission (Commission) denying benefits to two
    different workers, James Waite and Luis Ortega (collectively,
    Petitioners). As we are called upon today to decide only questions of
    law, the facts underlying the Commission’s orders will be discussed
    only briefly.
    ¶ 3 Each Petitioner was injured in a workplace accident, each
    filed a request for compensation within six years of the workplace
    accident in accordance with Utah Code section 34A-2-417(2)(a)(i),
    and each had his condition worsen after an initial determination of
    compensation. As a result, each filed for additional benefits after
    twelve years from the date of the original accident. Each Petitioner’s
    claim was denied by an administrative law judge (ALJ) on the basis
    that he had failed to “meet the employee’s burden of proving that
    the employee is due the compensation claimed” within the twelve-
    year period described in section 34A-2-417(2)(a)(ii). Each Petitioner
    requested the Commission review the ALJ’s decision. Among the
    arguments each Petitioner asserted as a basis for reversal was the
    one on appeal here: that section 34A-2-417(2)(a)(ii) operates as a
    statute of repose and so is unconstitutional under the Open Courts
    Clause of the Utah Constitution.
    2
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                               Opinion of the Court
    ¶ 4 The Commission, in reviewing Petitioners’ claims, noted in
    each case that the statute at issue appeared to operate as an invalid
    statute of repose, but concluded that it had no authority as an agency
    to decide whether the statute was constitutional. Both Petitioners
    petitioned the court of appeals for review of the Commission’s
    orders. The court of appeals consolidated the petitions and certified
    the case to us pursuant to Utah Code section 78A-4-103(3) and rule
    43 of the Utah Rules of Appellate Procedure.
    Standard of Review
    ¶ 5 The Utah Administrative Procedures Act vests our court
    with “jurisdiction to review all final agency action resulting from
    formal adjudicative proceedings.”1 The Act empowers us to “grant
    relief” where “a person seeking judicial review has been
    substantially prejudiced” because “the agency action, or the statute
    or rule on which the agency action is based, is unconstitutional on its
    face or as applied”2 or because “the agency has erroneously
    interpreted or applied the law.”3 We first address whether the
    twelve-year limitations period created by Utah Code section 34A-2-
    417(2)(a)(ii) should be properly understood as a statute of repose.
    Because we conclude that the section is a statute of repose, we then
    address whether it is facially unconstitutional under the Utah Open
    Courts Clause.4 The interpretation and constitutionality of a statute
    are questions of law that we review for correctness.5
    _____________________________________________________________
    1   UTAH CODE § 63G-4-403(1).
    2   
    Id. § 63G-4-403(4)(a).
       3   
    Id. § 63G-4-403(4)(d).
       4 We note that the Petitioners raised as a third argument that the
    section is facially unconstitutional under the Utah Uniform
    Operation of Laws Clause. This argument was inadequately briefed
    as the Petitioners provided almost no analysis of how our Uniform
    Operation of Laws precedent applied to section 34A-2-417(2)(a)(ii).
    See State v. Thomas, 
    961 P.2d 299
    , 305 (Utah 1998) (declaring that an
    issue is inadequately briefed “when the overall analysis of the issue
    is so lacking as to shift the burden of the research and argument to
    the reviewing court”). We therefore do not reach this issue.
    Avis v. Bd. of Review of Indus. Comm’n, 
    837 P.2d 584
    , 586 (Utah Ct.
    
    5 Ohio App. 1992
    ).
    3
    WAITE v. LABOR COMM’N
    Opinion of the Court
    Analysis
    ¶ 6 There are two issues on appeal. First, whether Utah Code
    section 34A-2-417(2)(a)(ii) should be read as a statute of limitation or
    a statute of repose. If it is the former, our analysis ends as Petitioners
    have not raised any argument that the section would be
    unconstitutional as a statute of limitation and, indeed, such an
    argument would likely be unavailing as “[s]tate legislatures possess
    the discretion to enact statutes of limitations, and these statutes are
    presumptively constitutional.”6 If, on the other hand, we interpret
    the section as a statute of repose, we must then consider whether it is
    unconstitutional under the Open Courts Clause. We address each
    issue in turn and conclude that although the statute should be read
    as a statute of repose, it survives under the Open Courts Clause.
    I. Section 34A-2-417(2)(a)(ii) is a Statute of Repose
    ¶ 7 The first issue in this case is whether Utah Code section
    34A-2-417(2)(a)(ii) should be interpreted as a statute of limitation or
    as a statute of repose. This is a difficult question, but one that turns
    on when a “cause of action” accrues under the WCA, a question we
    have yet to resolve definitively. We address this issue at length in the
    companion case of Petersen v. Labor Commission.7
    ¶8       Section 34A-2-417(2)(a) reads as follows:
    A claim [for disability benefits] is barred, unless the
    employee: (i) files an application for hearing with the
    Division of Adjudication no later than six years from
    the date of the accident; and (ii) by no later than 12
    years from the date of the accident, is able to meet the
    employee’s burden of proving that the employee is due
    the compensation claimed under this chapter.
    Thus, this section imposes two requirements on an injured worker
    who seeks disability benefits: First, the worker must file an
    application for a hearing within six years of the date of the accident
    giving rise to the injury for which the worker seeks compensation.
    Then, the worker must prove that he or she is entitled to
    compensation within twelve years of the injury.8
    _____________________________________________________________
    6   
    Id. at 587.
       7   
    2017 UT 87
    , -- P.3d --.
    8 The court of appeals has upheld the six year filing limit as a
    constitutional statute of limitation. See Avis v. Bd. Of Review of Indus.
    (Continued)
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                               Opinion of the Court
    ¶ 9 The initial filing of the application for a hearing invokes the
    Commission’s continuing jurisdiction to hear and decide an
    employee’s claims for compensation due to workplace injuries.9
    Because the Commission’s jurisdiction is continuing, the
    Commission, “[a]fter notice and hearing . . . may from time to time
    modify or change a former finding or order” awarding
    compensation.10 We have “recognized two appropriate bases for
    reopening and reevaluating an award: (1) a change in condition or
    new development or (2) the inadequacy of a previous award.”11
    Ultimately, “the Commission may exercise its continuing jurisdiction
    where a claimant’s medical condition deviates from its anticipated
    course.”12
    ¶ 10 Prior to 1999, there was no limit on the Commission’s
    continuing jurisdiction to revisit an award of compensation for
    permanent total disability. The WCA required only that the
    employee file within six years—not that he or she prove entitlement
    to benefits within a set timeframe. In 1998, the court of appeals
    specifically rejected a claim that the Commission’s jurisdiction ended
    at the end of the six year filing period and held that the
    Commission’s jurisdiction “in these cases is indefinite,”13 an
    interpretation we later affirmed.14 The next year, the legislature
    amended the WCA to include the requirement that the employee
    “meet the employee’s burden of proving that the employee is due
    the compensation claimed” within twelve years from the date of the
    accident.15 As we stated in Ortega v. Meadow Valley Construction, by
    enacting this amendment, “the six-year limitation for filing an
    application for hearing was retained, and a twelve-year cap was
    
    Comm’n, 837 P.2d at 586
    –88; Middlestadt v. Indus. Comm’n, 
    852 P.2d 1012
    , 1013–14 (Utah Ct. App. 1993).
    9   UTAH CODE § 34A-2-420(1)(a).
    10   
    Id. § 34A-2-420(1)(b).
       11Employers’ Reinsurance Fund v. Labor Comm’n, 
    2012 UT 76
    , ¶ 23,
    
    289 P.3d 572
    .
    12   
    Id. 13Burgess v.
    Siaperas Sand & Gravel, 
    965 P.2d 583
    , 589 (Utah Ct.
    App. 1998).
    14   See Ortega v. Meadow Valley Constr., 
    2000 UT 24
    , ¶ 10, 
    996 P.2d 1039
    .
    15   UTAH CODE § 34A-2-417(2)(a)(ii).
    5
    WAITE v. LABOR COMM’N
    Opinion of the Court
    established on the continuing jurisdiction of the Commission to
    reexamine the claim if the employee’s physical condition
    worsened.”16
    ¶ 11 Petitioners challenge this twelve-year timeframe as an
    unconstitutional statute of repose. The Workers Compensation Fund
    (WCF) contends that it is a statute of limitation. “Whether a statute
    that bars or terminates a claim for relief is a statute of limitations or a
    statute of repose depends on the nature of the statute and the
    manner in which it operates to cut off the legal right of a person to
    obtain a remedy for an injury.”17 We described the difference
    between the two types of statutes in Berry ex rel. Berry v. Beech
    Aircraft Corp., the seminal case addressing the constitutionality of
    statutes of repose.18 There we stated:
    A statute of limitations requires a lawsuit to be filed
    within a specified period of time after a legal right has
    been violated or the remedy for the wrong committed
    is deemed waived. A statute of repose bars all actions
    after a specified period of time has run from the
    occurrence of some event other than the occurrence of
    an injury that gives rise to a cause of
    action. . . . Therefore, a statute of repose may bar the
    filing of a lawsuit even though the cause of action did
    not even arise until after it was barred and even though
    the injured person was diligent in seeking a judicial
    remedy.19
    In short, we distinguish statutes of limitation and statutes of repose
    by looking to the event that triggers the start of the statutory
    timeframe: if the trigger is the accrual of a cause of action, it is a
    _____________________________________________________________
    16  
    2000 UT 24
    , ¶ 12. The statute does provide for a limited
    extension of the Commission’s jurisdiction in cases where “the
    employee is fully cooperating in a commission approved
    reemployment plan” or “the employee is actively adjudicating issues
    of compensability before the commission.” UTAH CODE § 34A-2-417
    (2)(c)(ii)(A)–(B).
    17   Stoker v. Workers' Comp. Fund, 
    889 P.2d 409
    , 411 (Utah 1994).
    18   
    717 P.2d 670
    (Utah 1985).
    19   
    Id. at 672.
    6
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                               Opinion of the Court
    statute of limitation, but if it is some other event, it is a statute of
    repose.20
    ¶ 12 This, of course, raises the question of when a cause of action
    accrues under the WCA. We have never directly addressed this
    question.21 In general, “a cause of action accrues upon the happening
    of the last event necessary to complete the cause of action.” 22 Stated
    another way, “[a] cause of action arises the moment an action may be
    maintained to enforce a legal right.”23
    ¶ 13 The WCF argues that a cause of action under the WCA—the
    right to claim compensation for a workplace injury—arises at the
    time of the workplace accident. Under the WCF’s view, once the
    worker has experienced an accident causing an injury, the worker
    can request compensation. The fact that the compensation award
    may need to be adjusted later does not change the fact that the
    worker’s claim arose on the date of the accident. As we have stated
    on multiple occasions, “A claim for compensation under the [WCA]
    is only one claim, no matter how many hearings are had or how
    many distinct awards are made. It is a claim by the employee for
    compensation for the injury he has sustained, notwithstanding the
    compensation may be determined from time to time resulting in
    many distinct awards.”24 Therefore, the WCF contends, because the
    twelve-year limitations period begins on “the date of the accident,”
    which is the same date on which the cause of action accrues, the
    statute is a statute of limitations, not a statute of repose.
    ¶ 14 Petitioners respond by pointing out that the Commission
    defers deciding disability claims until after a claimant’s injuries have
    _____________________________________________________________
    20 See Sun Valley Water Beds of Utah, Inc. v. Herm Hughes & Sons,
    Inc., 
    782 P.2d 188
    , 189 (Utah 1989) (“A statute of limitations
    precludes suit a legislatively imposed number of years after the
    accrual of a cause of action. A statute of repose bars suit a specified
    number of years after the occurrence of a particular event without
    regard to the date of the accrual of the cause of action.”).
    21 The court of appeals has held in the context of a constitutional
    challenge to the six-year filing period that “a worker’s cause of
    action accrues when the industrial accident occurs.” 
    Middlestadt, 852 P.2d at 1013
    .
    22   Becton Dickinson & Co. v. Reese, 
    668 P.2d 1254
    , 1257 (Utah 1983).
    23   Ash v. State, 
    572 P.2d 1374
    , 1379 (Utah 1977).
    24   Aetna Life Ins. Co. v. Indus. Comm’n, 
    274 P. 139
    , 143 (Utah 1929).
    7
    WAITE v. LABOR COMM’N
    Opinion of the Court
    stabilized,25 and that claimants have to essentially start a new action
    for compensation when there has been either “a change in condition
    or new development” or when the previous award has shown itself
    to be inadequate.26 Each new request for hearing receives its own
    case number and triggers all the procedures that a new request
    would, such as discovery. Indeed, we have described these
    additional hearings as “later claim[s] relating to the specified
    industrial injury.”27 Accordingly, Petitioners argue that the last event
    necessary for a claimant to gain a right to claim disability benefits is
    not the workplace accident, but the later stabilization or changed
    circumstance—the event that entitles the claimant to a new or
    changed award. Because the twelve-year period is tied to the date of
    accident, and not to the time that the worker becomes legally eligible
    to claim the additional benefits,28 the statute can cut off a claimant’s
    right to assert a claim and is accordingly a statute of repose.
    ¶ 15 Although this is a close question, the Petitioners present the
    better reading of section 34A-2-417(2)(a)(ii). The WCF would have us
    treat a claim for compensation as similar to a claim for personal
    injury in that an injured worker can only assert a claim once, though
    the actual payment amount may be modified at a later date.
    Workers’ compensation claims, however, are a unique type of
    remedy. Indeed, we have rejected comparisons to personal injury
    awards in the past.29 “Workers’ compensation claims are best viewed
    _____________________________________________________________
    25 See Color Country Mgmt. v. Labor Comm’n, 
    2001 UT App 370
    ,
    ¶ 26, 
    38 P.3d 969
    .
    26 Reinsurance Fund, 
    2012 UT 76
    , ¶ 23 (citation omitted); see also
    Sheppick v. Albertson’s, Inc., 
    922 P.2d 769
    , 775 n.2 (“Such changes
    could include a deterioration of the former employee’s condition or
    the discovery of a previously unnoticed injury.” (citation omitted)).
    27   Reinsurance Fund, 
    2012 UT 76
    , ¶ 28.
    28 See 
    id. ¶ 29
    (“When Mr. Henningson did not improve as
    anticipated and was declared permanently and totally disabled by
    his physician in 1997, he was eligible to file an application for
    hearing seeking additional benefits because his award was
    inadequate.”).
    29 
    Stoker, 889 P.2d at 411
    (“These remedies, whether viewed
    individually or together, are not analogous to an ordinary lump-sum
    judgment that the common law provides for personal injury actions.
    Not only may benefits be paid over a period of time rather than in a
    (Continued)
    8
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                                Opinion of the Court
    as a process, rather than as a discrete event . . . .”30 Although a claim
    for compensation is, as we have stated, “one claim” for purposes of
    invoking the Commission’s continuing jurisdiction, it can be made
    up of a series of claims, hearings, and awards.31 The WCA already
    has a statute of limitations—section 34A-2-417(2)(a)(i)—which
    requires a claimant to file within six years of the first accrual of the
    claimant’s right to invoke the Commission’s jurisdiction. Section
    417(2)(a)(ii) cuts off a claimant’s right to file additional claims based
    on changed circumstances—even if those claims could not have been
    asserted prior to the expiration of the twelve-year period.
    ¶ 16 We have already described section 34A-2-417(2)(a)(ii) as a
    statute of repose that imposes “a twelve-year limit to the
    Commission’s continuing jurisdiction,” though this description was
    in dicta.32 Our prior description of the statute was correct because it
    acts like a statute of repose and is not always tied to the date that the
    employee becomes eligible to maintain an action for compensation.
    As discussed above, section 417(2)(a)(ii) ends the continuing
    jurisdiction of the Commission to adjust awards in light of changed
    circumstances. The Commission’s jurisdiction otherwise extends to
    hearing and deciding a claim for benefits upon “the discovery of a
    previously unnoticed injury,”33 or when the Commission originally
    determined that the claimant was not due any benefits, but later
    became disabled.34 Thus, there may be circumstances where a
    claimant was not entitled to any disability benefits until after the
    twelve-year period, because he or she did not discover the injury
    until after twelve years had expired. Because a claimant is “eligible
    to file an application for hearing seeking additional benefits because
    his award was inadequate”35 only after the changed circumstances—
    lump-sum judgment, but an award of benefits does not generally
    have the res judicata effect of a judgment.”).
    30   Color Country Mgmt., 
    2001 UT App 370
    , ¶ 26.
    31   See Reinsurance Fund, 
    2012 UT 76
    , ¶ 28.
    32 
    Id. ¶ 21
    n.4. The context of the case was somewhat analogous to
    the present one, in that there was a worker who was claiming
    additional benefits beyond the twelve-year period. We held that the
    statute was inapplicable, however, because the worker’s accident
    occurred before the amendment.
    33   
    Sheppick, 922 P.2d at 775
    n.2.
    34   See Ortega, 
    2000 UT 24
    , ¶ 13.
    35   See Reinsurance Fund, 
    2012 UT 76
    , ¶ 29.
    9
    WAITE v. LABOR COMM’N
    Opinion of the Court
    the discovery of the full extent of the injury resulting from the
    workplace accident—the twelve-year period is not tied to the accrual
    of the worker’s right to claim benefits, and section 417(2)(a)(ii)
    should be interpreted as a statute of repose.
    ¶ 17 Having held that section 34A-2-417(2)(a)(ii) is a statute of
    repose, we now consider whether it violates the Open Courts Clause
    of the Utah Constitution by impermissibly abrogating a person’s
    right to a remedy.36 As discussed below, we conclude that it does not
    violate the Open Courts Clause and so withstands scrutiny under
    that constitutional provision.
    II. Open Courts Clause
    ¶ 18 The meaning of the Open Courts Clause of the Utah
    Constitution has “spawned extensive debate in our opinions.”37 The
    clause itself states:
    All courts shall be open, and every person, for an
    injury done to him in his person, property or
    reputation, shall have remedy by due course of law,
    which shall be administered without denial or
    unnecessary delay; and no person shall be barred from
    prosecuting or defending before any tribunal in this
    State, by himself or counsel, any civil cause to which he
    is a party.38
    _____________________________________________________________
    36 We note that in our companion case of Petersen v. Labor
    Commission, also decided today, we concluded that the statute at
    issue there, Utah Code section 35-1-65, did not operate as an
    unconstitutional statute of repose because it did not cut off a
    previously existing remedy. 
    2017 UT 87
    , ¶ 17, --- P.3d ---. Specifically,
    because no injured worker ever enjoyed the right of temporary total
    disability compensation more than eight years after an injury, section
    35-1-65 did not cut off a previously existing remedy. In this case,
    section 34A-2-417(2)(a)(ii) was added to the WCA by amendment in
    1999. Prior to that time, injured workers did enjoy the right of
    compensation for permanent total disability more than twelve years
    from the date of an accident. Because this amendment to the WCA
    took away a remedy guaranteed to a previous generation of workers,
    our precedent directs that we assess its constitutionality in light of
    the Open Courts Clause.
    37   In re Adoption of B.Y., 
    2015 UT 67
    , ¶ 57, 356 P.3d. 1215.
    38   UTAH CONST. art. I, § 11.
    10
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                               Opinion of the Court
    In Berry ex rel. Berry v. Beech Aircraft Corp., “[t]he court’s majority . . .
    embraced a substantive conception of the open courts protection.”39
    Since that case, we have held that, although the “legislature may
    create, define, and modernize the law[,] . . . it does not have
    unbridled power” to do so.40 Thus, the Open Courts Clause acts as a
    substantive check on legislative power. And although our prior cases
    have viewed statutes of repose with some constitutional suspicion,
    “we have clearly stated that the open courts clause does not
    necessarily forbid all statutes of repose[,] but that such statutes can
    be constitutional when the possibility of injury and damage is highly
    remote and unexpected.”41 So, a statute of repose is not
    automatically unconstitutional, but can be upheld if it satisfies the
    test we adopted in Berry.
    ¶ 19 In Berry, we established a three-part test to determine
    whether a legislative act runs afoul of the Open Courts Clause.
    Under this test, we look first to whether the legislature has abrogated
    a cause of action.42 If it has, we then determine whether “the law
    provides an injured person an effective and reasonable alternative
    remedy.”43 “[I]f there is no substitute or alternative remedy
    provided, abrogation of the remedy or cause of action may be
    justified only if there is a clear social or economic evil to be
    eliminated and the elimination of an existing legal remedy is not an
    arbitrary or unreasonable means for achieving the objective.”44
    ¶ 20 The parties agree that if section 34A-2-417(2)(a)(ii) is
    interpreted as a statute of repose, it has abrogated an existing
    remedy and that the legislature has not provided an alternative
    remedy. Accordingly, the parties dispute only whether imposing this
    statute of repose eliminates a “clear social or economic evil” and, if it
    does, whether it does so in an “arbitrary or unreasonable” way. We
    address these two components of the test in turn.
    _____________________________________________________________
    39 In re Adoption of B.Y., 
    2015 UT 67
    , ¶ 57 (citing Berry ex rel. Berry
    v. Beech Aircraft Corp., 
    717 P.2d 670
    , 680 (Utah 1985)).
    40Sun Valley Water Beds of Utah, Inc. v. Herm Hughes & Son, Inc.,
    
    782 P.2d 188
    , 191 (Utah 1989).
    41 Craftsman Builder’s Supply, Inc. v. Butler Mfg. Co., 
    1999 UT 18
    ,
    ¶ 21, 
    974 P.2d 1194
    .
    42   Laney v. Fairview City, 
    2002 UT 79
    , ¶ 49, 
    57 P.3d 1007
    .
    43   
    Berry, 717 P.2d at 680
    .
    44   
    Id. 11 WAITE
    v. LABOR COMM’N
    Opinion of the Court
    A. Clear Social or Economic Evil
    ¶ 21 The first component of our analysis of whether the
    legislature was justified in abrogating a remedy is to determine
    whether the legislature was acting in response to a “clear social or
    economic evil.” In order to address the parties’ arguments in this
    regard, however, we must first resolve a dispute that exists in our
    caselaw about the presumption of constitutionality of statutes under
    the Berry test. In a series of cases we have held or suggested that
    when a statute is challenged under the Open Courts Clause, and the
    statute is shown to abrogate a cause of action without providing for
    an alternate remedy, “we have, de facto, shifted from a presumption
    that the limiting statute is constitutional to a presumption that the
    statute is unconstitutional, placing the burden to show that the Berry
    test is satisfied upon those seeking to uphold the challenged
    statute.”45
    ¶ 22 But more recently we have clarified that the view of the
    presumption of constitutionality we expressed in these cases is no
    longer good law. In Judd v. Drezga, “we recognize[d] an obligation of
    deference to legislative judgments in a Berry review, and to the
    extent this differ[ed] from our prior application of Berry, those prior
    applications [were] disavowed.”46 In that case, we looked to the
    _____________________________________________________________
    45 Lee v. Gaufin, 
    867 P.2d 572
    , 591 (Utah 1993) (Zimmerman, J.,
    concurring); see also Laney, 
    2002 UT 79
    , ¶ 63 (quoting with approval
    Justice Zimmerman’s concurrence in Lee v. Gaufin); Wood v. Univ. of
    Utah Med. Ctr., 
    2002 UT 134
    , ¶¶ 41–47, 
    67 P.3d 436
    (Durham, C.J.,
    dissenting) (stating that “our jurisprudence for many decades on this
    issue has provided a wealth of justification for the standard we have
    employed,” and that “this court has consistently rejected the
    presumption of constitutionality of statutes challenged under the
    [Open Courts Clause],” in a portion of an opinion which garnered a
    majority of justices); Horton v. Goldminer’s Daughter, 
    785 P.2d 1087
    ,
    1092–94 (Utah 1989) (rejecting other states’ approach to the
    constitutionality of statutes of repose, which included “heavy
    reliance on the presumption of constitutionality generally accorded
    legislative enactments . . . coupled with the requirement that there be
    only a rational basis for the statutory enactment” and holding that
    the balancing between the right of a person to a remedy and the
    legislative purpose of “end[ing] the potential threat of a lawsuit to
    some construction professionals” “has been done by the open courts
    clause” in favor of the right to a remedy).
    46   
    2004 UT 91
    , ¶ 11, 
    103 P.3d 135
    .
    12
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                               Opinion of the Court
    purpose the legislature included in the statute and stated that
    “[a]lthough the empirical truth of these findings is a matter of some
    dispute, we will not undertake the same investigation as the
    legislature.”47 We ultimately held that, “[w]hen an issue is fairly
    debatable, we cannot say that the legislature overstepped its
    constitutional bounds when it determined that there was a crisis
    needing a remedy.”48
    ¶ 23 Although Judd apparently resolved this question, Petitioners
    argue that the deferential standard we adopted in Judd applies only
    when the legislature has made specific findings of purpose. They
    point to the fact that the statute at issue in Judd had “stated
    legislative findings” that there was “a crisis in the health care
    industry” justifying the statute.49 Under Petitioners’ approach, we
    would defer to “legislative judgments”50 as to the presence of an evil
    to be rectified only where those judgments are clearly expressed,
    which they assert tracks the Berry test of looking to whether there is
    a “clear social or economic evil to be eliminated.”51
    ¶ 24 Petitioners’ approach ignores Judd’s reasoning and misstates
    its holding. In Judd, we looked not only to the legislative findings
    contained in the statute, but we also considered the investigation the
    legislature had done—“its data-gathering methods and
    conclusions”—in making those findings.52 We noted that both sides
    cited “various studies and articles[] that ostensibly support their
    position.”53 We deferred to the legislature not because it had codified
    its findings, but because the legislature had resolved a policy dispute
    after researching and debating the issue. We noted that “[a] court is
    ill-suited to undertake investigation of such a nature” and held that
    “our power does not extend so far as to permit imposition of our
    views on such policy disputes.”54 Accordingly, “[o]ur inquiry under
    the ‘clear social or economic evil’ portion of the Berry test is . . .
    _____________________________________________________________
    47   
    Id. ¶ 13.
       48   
    Id. ¶ 15
    (emphasis added).
    49   
    Id. ¶¶ 13–15.
       50   
    Id. ¶ 11.
       51   
    Berry, 717 P.2d at 680
    .
    52   Judd, 
    2004 UT 91
    , ¶ 13.
    53   
    Id. ¶ 14.
       54   
    Id. ¶¶ 13–14.
    13
    WAITE v. LABOR COMM’N
    Opinion of the Court
    limited” to a determination of “whether the legislature overstepped
    the bounds of its constitutional authority in enacting [the statute],
    not whether it made wise policy in doing so.”55 Thus, “[w]hen an
    issue is fairly debatable, we cannot say that the legislature
    overstepped its constitutional bounds when it determined that there
    was a crisis needing a remedy.”56
    ¶ 25 Turning to the statute at issue in this case, although there
    are no codified legislative findings, there is an extensive record
    showing that this statute was contentiously debated in the
    legislature. Proponents of the bill pointed to the fact that a limitation
    on the ability of a worker to file for benefits helps insurance
    companies better manage their risks, informs them as to the amount
    of reserves they need to keep, and protects them against limitless
    litigation over old claims where causation had become tenuous.57
    They also stated that the bill would help employers by reducing the
    premiums they would have to pay, as insurance companies’ base
    premiums on the number of potential, outstanding compensation
    claims that may be filed, which is dependent on the number of
    injured workers who may file claims.58 These are the types of policy
    considerations that in previous cases we have found to justify a
    legislative abridgment of a legal remedy.59
    ¶ 26 Of course, there were and are a number of countervailing
    policy considerations, including the argument that there are only a
    few claims that would ever be adjudicated beyond twelve years, so
    the fiscal savings is minimal. Further, Petitioners argue that
    insurance companies and employers do not face a risk of litigating
    stale claims with old evidence, because the worker must have filed
    within the first six years and had his or her claim to benefits decided
    after a hearing in which a record of relevant evidence would be
    made. A subsequent filing would only look at the recent change in
    circumstances, where the evidence would be fresh, to determine
    whether it was caused by the original, well-documented workplace
    accident. Under Judd, however, it is not our place to investigate and
    balance these competing policy considerations.
    _____________________________________________________________
    55   
    Id. ¶¶ 13,
    15.
    56   
    Id. ¶ 15
    .
    57   
    Id. ¶ 16.
       58   
    Id. 59 See
    id. ¶ 13; 
    Craftsman, 
    1999 UT 18
    , ¶ 20.
    14
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                                 Opinion of the Court
    ¶ 27 Ultimately, “[a]lthough [Petitioners’] arguments are well
    taken, and the court may remain unconvinced of the wisdom of
    limiting [disability benefits] for severely injured victims like
    [Petitioners], our power does not extend so far as to permit
    imposition of our views on such policy disputes.”60 Because the issue
    in this case “is fairly debatable,” “the views of a majority of members
    of this court should [not] prevail over those of the majority of the
    legislature.”61 Thus, we hold that there is a “clear social or economic
    evil” that was sought to be eliminated by section 34A-2-417(2)(a)(ii).
    This holding, however, does not end our analysis. We must now
    turn to a discussion of whether the statute of repose “is a reasonable,
    nonarbitrary method for achieving the legislature’s stated
    purpose.”62
    B. Arbitrary and Unreasonable Means
    ¶ 28 The second component of the Berry test’s evaluation of the
    legislative enactment is to determine whether “the elimination of an
    existing legal remedy is not an arbitrary or unreasonable means for
    achieving the objective.”63 To do so, we look to whether the statute is
    “narrowly tailored”64 or if it “cut[s] an unnecessarily wide swath
    through [the impacted] causes of action.”65 In general, a statute of
    repose “can be constitutional when the possibility of injury and
    damage is highly remote and unexpected.”66
    ¶ 29 In this case, the statute cuts off a worker’s right to file for
    benefits only if the changed circumstances warranting benefits—the
    development of the injury into a disability or the discovery of a
    previously unknown injury—accrues twelve years after the original
    accident. A cause of action that accrues before twelve years is
    actionable, and, so long as the worker is diligent in filing for benefits,
    the claim will not be cut off as the legislature specifically included a
    provision extending the Commission’s jurisdiction to adjudicate an
    _____________________________________________________________
    60   Judd, 
    2004 UT 91
    , ¶ 14.
    61   
    Id. ¶¶ 14
    n.1, 15.
    62   
    Id. ¶ 15
    .
    63   
    Berry, 717 P.2d at 680
    .
    64   Judd, 
    2004 UT 91
    , ¶ 17.
    65   Hirpa v. IHC Hosps., Inc., 
    948 P.2d 785
    , 794 (Utah 1997).
    66   Craftsman, 
    1999 UT 18
    , ¶ 21.
    15
    WAITE v. LABOR COMM’N
    Opinion of the Court
    initiated claim even if the twelve-year timeframe expires.67 Further,
    there is no time limit on the insurance company’s or employer’s
    responsibility to cover all medical treatment.68
    ¶ 30 Accordingly, the legislature’s purpose in enacting the
    statute was to end prolonged and uncertain liability for both
    insurance companies and employers—and to reduce the associated
    insurance premiums. The legislature has narrowly tailored the
    statute to that purpose by cutting off only those claims that have
    somehow not manifested or stabilized after twelve years. Further, in
    selecting twelve years, the legislature has adopted a time period that
    far exceeds any statute of limitation for civil claims69 and is
    equivalent to the longest period adopted by other states that have
    enacted similar statutes.70 The statute “is targeted to control costs in
    one area where costs might be controllable,” “gives insurers some
    idea of their potential liability,” and does not reach beyond the
    narrow class of claims described above.71 Accordingly, section 34A-
    2-417(2)(a)(ii) is a reasonable and non-arbitrary means of achieving
    the valid legislative purposes discussed above and withstands Open
    Courts Clause scrutiny.
    C. Response to Justice Lee’s Concurrence
    ¶ 31 In his concurrence, Justice Lee argues that we should
    overrule Judd v. Drezga72 and adopt a new interpretation of the Open
    Courts Clause—an interpretation that would limit the legislature’s
    ability to eliminate vested causes of action, but would impose no
    _____________________________________________________________
    67As noted above, the WCA provides for a limited extension of
    the Commission’s jurisdiction in cases where “the employee is fully
    cooperating in a commission approved reemployment plan” or “the
    employee is actively adjudicating issues of compensability before the
    commission.” UTAH CODE § 34A-2-417 (2)(c)(ii)(A)–(B).
    68   See 
    id. § 34A-2-417(1)(a)–(b).
       69The longest statute of limitation in Utah for any kind of
    personal injury is four years. See 
    id. § 78B-2-307(3).
       70 Utah House Floor Debates, H.B. 358, 53rd Leg., 1999 Gen. Sess.
    (Feb. 26, 1999) (statements of Rep. John Swallow).
    71   Judd, 
    2004 UT 91
    , ¶¶ 16–17.
    72 Justice Lee’s concurrence points primarily to Berry ex rel. Berry
    v. Beech Aircraft Co., 
    717 P.2d 670
    (Utah 1985), but Judd v. Drezga, 
    2004 UT 91
    , 
    103 P.3d 135
    , is this court’s last iteration of Berry.
    16
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                            Opinion of the Court
    restriction on the authority of the legislature to eliminate causes of
    action prospectively. In his typical fashion, Justice Lee’s arguments
    are thoughtful and scholarly. And in an appropriate case, they may
    well garner the support of a majority of the members of this court.
    But this is not the appropriate case. This is so for two reasons.
    ¶ 32 First, reaching the issue of whether Judd should be
    overturned is unnecessary to the resolution of this case.73 Petitioners
    have not sought to have Judd overturned in favor of an Open Courts
    Clause interpretation that would yield a different result. Nor would
    the application of Justice Lee’s new proposed interpretation yield a
    different result. He agrees with the majority that the Petitioners’
    claims fail.
    ¶ 33 Second, not only does Justice Lee unnecessarily reach the
    question of whether Judd should be overturned, he goes one step
    further by proposing a new interpretation of the Open Courts
    Clause—an interpretation that has not been proposed by the parties,
    much less briefed, and that would represent a dramatic departure
    from our existing precedent. This court has engaged over the last
    three decades in a sometimes contentious debate over the correct
    interpretation of the Open Courts Clause. We should not conclude
    this debate by overruling precedent in a case where it is unnecessary
    to reach the issue, and then sua sponte replace that precedent with a
    new interpretation.
    ¶ 34 That having been said, this opinion should not be construed
    as a comment upon the merits of Justice Lee’s proposed new
    interpretation of the Open Courts Clause. Nor should it be read to
    signal an end to this court’s debate over the interpretation of the
    Open Courts Clause. In the appropriate case, we may well revisit
    Judd, and we may well consider Justice Lee’s proposed
    interpretation, or perhaps another. But we should grapple with
    _____________________________________________________________
    73  Justice Lee argues that the resolution of the “long-festering
    problem” of our interpretation of the Open Courts Clause is justified
    due to the extensive supplemental briefing we requested and
    received in this case. Infra ¶¶ 36–37, 53–54. We asked, in part,
    whether we should uphold or overrule our past precedent
    establishing the substantive interpretation of the Open Courts
    Clause. We appreciate the excellent briefing provided by the parties
    in this case, but find it unnecessary to reach the question of whether
    Judd should be overturned.
    17
    WAITE v. LABOR COMM’N
    Lee, A.C.J., concurring in the judgment
    issues of this magnitude in a case where doing so is necessary to the
    case’s resolution.
    Conclusion
    ¶ 35 For the reasons discussed above, Utah Code section 34A-2-
    417(2)(a)(ii) is a statute of repose that is constitutional under the
    Open Courts Clause of the Utah Constitution. Accordingly, we
    affirm the Utah Labor Commission’s order.
    ASSOCIATE CHIEF JUSTICE LEE, concurring in the judgment:
    ¶ 36 Today this court continues its gradual retreat from the
    balancing test set forth in Berry ex rel. Berry v. Beech Aircraft Corp., 
    717 P.2d 670
    (Utah 1985). I welcome the retreat but I think we need to go
    further. Berry has outlived its usefulness. The time has come to
    overrule it.
    ¶ 37 In the decades since Berry our open courts jurisprudence has
    been marked by confusion, inconsistency, and ongoing revisionism.
    The briefing in this case, moreover, has highlighted the
    incompatibility of the Berry test with the text and original meaning of
    the Open Courts Clause. I would overrule Berry. I would replace it
    with a standard that is more transparent, more workable, and more
    in line with the terms and historical understanding of the guarantee
    of a right to open courts. And I would uphold the constitutionality of
    the challenged provisions of the Workers’ Compensation Act under
    the revised standard that I would adopt.
    ¶ 38 The majority attempts to avoid the question of the viability
    of the Berry test. It says that it is “unnecessary” for us to reach the
    question whether the Berry line of cases “should be overturned” in
    order to resolve this case. Supra ¶ 32. Because the challenged
    workers’ compensation provisions are, in the court’s view,
    constitutional even under the Berry standard (as modified in Judd v.
    Drezga, 
    2004 UT 91
    , 
    103 P.3d 135
    ), the majority preserves the existing
    standard. Supra ¶ 32. The court defends its approach as a matter of
    judicial restraint and avoidance. And it criticizes my analysis as both
    “sua sponte” and unnecessary. Supra ¶ 33.
    ¶ 39 I cannot see how this is a matter of avoidance. Or how my
    approach can be deemed improper. The parties have presented
    extensive briefing on the question of the textual and historical basis
    for our Berry framework. And they have invited us to repudiate the
    Berry framework in light of one that is more in line with the original
    meaning of the Open Courts Clause. My decision to take the parties
    18
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                    Lee, A.C.J., concurring in the judgment
    up on their invitation is hardly a sua sponte act. See sua sponte,
    BLACK’S LAW DICTIONARY (10th ed. 2014) (defining sua sponte as
    “[w]ithout prompting or suggestion”). The standard that I propose
    admittedly draws a line that differs somewhat from that proposed
    by any of the parties. Instead of either retaining Berry or endorsing
    the view espoused in past dissenting opinions in the court I am
    advocating something of a middle ground. But surely there is no bar
    on a judge defining the law in a manner that strikes a balance
    between the extremes proposed by the parties. As judges we always
    retain the prerogative—if not the duty—to discern the applicable
    standard of law as we understand it (and without being bound by
    the legal standards espoused by the parties).74 That is what I seek to
    do here. I am trying to do my level best to articulate the governing
    law in response to the questions framed by the parties’ briefing.
    ¶ 40 The majority, moreover, is not really avoiding the question
    of the viability of the standard set forth in the Berry line of cases. It is
    openly affirming the viability of the standard by applying it in this
    case. All that is really avoided by the court is a transparent statement
    of an analytical basis for retaining the Berry-Judd standard. And the
    refusal to offer that kind of explanation doesn’t strike me as a matter
    of judicial restraint.
    ¶ 41 I think we need to reexamine Berry and openly decide
    whether it should be retained. And I think we should overrule it and
    replace it with a standard that is more workable and more faithful to
    the terms of the Open Courts Clause.
    ¶ 42 I explain the basis for my conclusions in the paragraphs
    below. First I offer some background on the Berry standard as it has
    been applied over time and by the majority today. Then I explain the
    basis for my conclusion that Berry is not entitled to deference as a
    matter of stare decisis. For that reason I next return to first
    principles—to a consideration of the text and original meaning of the
    Open Courts Clause, which in my view require us to repudiate Berry
    in favor of a more limited standard that would foreclose only the
    legislative abrogation of vested causes of action. Because the
    Workers’ Compensation Act does not cross that line, I close with my
    conclusion that we should uphold the Workers’ Compensation Act
    under the revised standard that I would apply.
    _____________________________________________________________
    74See Patterson v. Patterson, 
    2011 UT 68
    , ¶ 20, 
    266 P.3d 828
    (noting
    our “responsibility” to apply the law, refusing to be bound only to
    the parties’ arguments—which excluded a controlling statute).
    19
    WAITE v. LABOR COMM’N
    Lee, A.C.J., concurring in the judgment
    I. BERRY
    ¶ 43 In Berry we held that the Open Courts Clause of the Utah
    Constitution limits the power of the legislature to abrogate legal
    remedies recognized in the common law. Berry ex rel. Berry v. Beech
    Aircraft Corp., 
    717 P.2d 670
    , 680 (Utah 1985). Berry says that the
    legislature has the authority to cut back on existing causes of action
    if it “provides an injured person an effective and reasonable
    alternative remedy” or, absent such a substitute, if the court
    determines that the legislature was pursuing a reasonable means of
    eliminating a “clear social or economic evil.” 
    Id. ¶ 44
    For many years this court viewed the Berry standard as a
    high bar. In cases in which the legislature abrogated a common law
    remedy and provided no substitute, we effectively flipped the usual
    presumption of constitutionality—embracing what amounted to a de
    facto presumption of unconstitutionality.75 And we upheld
    legislation abrogating an existing remedy without the provision of a
    substitute only if the party defending the statute presented evidence
    _____________________________________________________________
    75  Wood v. Univ. of Utah Med. Ctr., 
    2002 UT 134
    , ¶ 46, 
    67 P.3d 436
    (Durham, C.J., writing for the majority on this issue) (“Contrary to
    the position taken by the lead opinion, this court has consistently
    rejected the presumption of constitutionality of statutes challenged
    under the remedies clause of article I, section 11.”); Hipwell ex rel.
    Jensen v. Sharp, 
    858 P.2d 987
    , 988 n.4 (Utah 1993) (“A majority of the
    [Condemarin] court agreed that because the [O]pen [C]ourts [C]lause
    was implicated, the cap must be analyzed under a heightened level
    of scrutiny for constitutional purposes.”); Lee v. Gaufin, 
    867 P.2d 572
    ,
    591 (Utah 1993) (Zimmerman, J., concurring in result) (“[W]hen we
    have found a statute to limit a right protected by the open courts
    provision, we have, de facto, shifted from a presumption that the
    limiting statute is constitutional to a presumption that the statute is
    unconstitutional, placing the burden to show that the Berry test is
    satisfied upon those seeking to uphold the challenged statute.”);
    Condemarin v. Univ. Hosp., 
    775 P.2d 348
    , 366 (Utah 1989) (holding that
    a statute implicating the Open Courts Clause required a heightened
    level of scrutiny for constitutional purposes); 
    id. at 368
    (Zimmerman,
    J., concurring in part) (“Because the interests at stake are specifically
    protected by the constitution, the presumption of validity that
    normally attaches to legislative action must be reversed once it is
    shown that the enactment under scrutiny does, in fact, infringe upon
    the interests enumerated in article I, section 11.”).
    20
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                    Lee, A.C.J., concurring in the judgment
    sufficient to persuade us of the weight and significance of the “social
    or economic evil” at issue.76
    ¶ 45 Many of our decisions in this field were announced by a
    divided court.77 A principal hallmark of the Berry test has been the
    _____________________________________________________________
    76 
    Berry, 717 P.2d at 680
    ; see, e.g., Hirpa v. IHC Hosps., Inc., 
    948 P.2d 785
    , 793–94 (Utah 1997) (upholding the abrogation of a remedy
    under the Good Samaritan Act; concluding that the common law
    “disincentives . . . licensed medical providers” from “render[ing]
    medical care,” constituting a “social evil”); Craftsman Builder’s
    Supply, Inc. v. Butler Mfg. Co., 
    1999 UT 18
    , ¶ 20–23, 
    974 P.2d 1194
    (upholding the builder’s statute of repose, Utah Code section 78-12-
    25.5; noting that the legislature identified two “clear social and
    economic evils”—“liability insurance costs and records storage
    costs”—and concluding that the statute is a reasonable and
    nonarbitrary “means to eliminate the stated evils”).
    77  Wood, 
    2002 UT 134
    , ¶ 38 (Wilkins, J., joined by Durrant, A.C.J.,
    and joined in part by Howe, J.) (majority opinion holding that the
    Utah Wrongful Life Act does not violate the Open Courts Clause); 
    id. ¶ 56
    (Durham, C.J., dissenting, joined by Russon, J.) (concluding that
    the Utah Wrongful Life Act violated the Open Courts Clause); Lyon
    v. Burton, 
    2000 UT 19
    , ¶¶ 53–66, 
    5 P.3d 616
    (Stewart, J., joined by
    Durham, A.C.J., advocating a dissenting view on the open courts
    issue) (concluding that the damages cap in Utah Code section 63-30-
    4 should be struck down as unconstitutional under the Open Courts
    Clause); 
    id. ¶ 83
    (Howe, C.J., concurring in result, joined by Russon,
    J.) (concluding that the statute should be upheld under the Open
    Courts Clause because “the legislature should be accorded broad
    discretion in providing an alternative remedy”); 
    id. ¶ 88
    (Zimmerman, J., concurring in the result) (asserting that the statute
    should be upheld and that Berry should be overruled); Day v. State ex
    rel. Utah Dep’t of Pub. Safety, 
    1999 UT 46
    , ¶¶ 46–48, 
    980 P.2d 1171
    (Stewart, J., joined by Durham, A.C.J., and Russon, J., and with
    Howe, C.J., concurring in the result) (majority decision striking
    down statute under the Open Courts Clause where the legislature
    did not identify any social or economic evil); 
    id. ¶¶ 52–54
    (Zimmerman, J., dissenting) (asserting that the court exceeded its
    authority in assessing the legislature’s justifications for the statute);
    Craftsman, 
    1999 UT 18
    , ¶ 23 (Russon, J., joined by Stewart, J., and
    with Howe, J., “concurring with reservation”) (majority decision
    upholding the constitutionality of a statute under the Open Courts
    Clause); 
    id. ¶ 32
    (Stewart, J., joined by Durham, A.C.J.) (writing
    (Continued)
    21
    WAITE v. LABOR COMM’N
    Lee, A.C.J., concurring in the judgment
    consistent call for its repudiation.78 For good reasons: Berry has
    spawned confusion and uncertainty from the outset, and its basis in
    the text and original meaning of the Open Courts Clause has quite
    credibly been questioned.79
    ¶ 46 Our open courts precedent is also marked by a gradual
    retreat from the Berry standard. A significant step in the retreat came
    in Judd v. Drezga, 
    2004 UT 91
    . There we disavowed the notion of
    independent judicial evaluation of the “social or economic evil” put
    forward in defense of legislation abrogating an existing cause of
    action—at least in circumstances in which the legislature has made
    explicit findings on that question. 
    Id. ¶¶ 11,
    13. In Judd, the
    “empirical truth” of legislative findings of a “clear social or economic
    evil” was conceded to be a “matter of some dispute.” 
    Id. ¶ 13.
    Yet we
    declined to “undertake the same investigation as the legislature.” 
    Id. separately in
    response to Justice Zimmerman); 
    id. ¶ 108
    (Zimmerman, J., concurring in the result) (arguing that Berry should
    be overruled); 
    Condemarin, 775 P.2d at 366
    (Durham, J., with
    Zimmerman, J., and Stewart, J., concurring in part) (majority
    decision striking down provision of Governmental Immunity Act
    limiting amount of claim against uninsured government entity
    because of injury or death, as applied to University Hospital); 
    id. at 375
    (Hall, C.J., dissenting, joined by Howe, A.C.J.) (disagreeing with
    the majority’s “depart[ure] from the traditional rational basis
    standard of review in assessing the constitutionality of the Utah
    Government Immunity Act”).
    78  Laney v. Fairview City, 
    2002 UT 79
    , ¶ 89, 
    57 P.3d 1007
    (Wilkins,
    J., concurring in part and dissenting in part) (opining that “the Berry
    test is a straw man analytical framework that permits one to justify a
    predetermined outcome”); Craftsman, 
    1999 UT 18
    , ¶ 108
    (Zimmerman, J., concurring in the result) (asserting that Berry “has
    proven to be unworkable,” “is subject to manipulation,” “leads to
    absurd results,” and “distorts our relationship with the legislature”).
    79 Laney, 
    2002 UT 79
    , ¶ 94 (Wilkins, J., concurring in part and
    dissenting in part) (“[T]he accompanying Berry test has proven to
    create more problems than it has solved. Compelling to me is that
    Berry has proven to be unworkable over a period of 17 years, has not
    been adhered to unanimously, has been questioned and chastised by
    members of this court, including one who agreed with the Berry
    interpretation initially, has been criticized by legal scholars, and
    presents separation of powers problems.”).
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                   Lee, A.C.J., concurring in the judgment
    Instead we held that the legislature is within its bounds when the
    basis for its findings “is fairly debatable.” 
    Id. ¶ 15
    .
    ¶ 47 This case is an important one in this significant series. The
    parties ask us either to reinforce the Berry standard or to extend the
    Judd restriction on that standard a step further. Mr. Waite says that
    the Berry requirement of a “clear social or economic evil” necessarily
    requires independent judicial evaluation of the policies advanced in
    favor of the workers compensation provision at issue. And he views
    Judd as a limited exception to the rule—under which we defer to the
    legislature (asking only where the social or economic evil is a matter
    of fair debate) only in the face of express legislative findings. The
    Labor Commission, on the other hand, asks us to extend the Berry-
    Judd standard to all cases, whether or not there are express legislative
    findings. It says that courts should never engage in an independent
    assessment of whether there is a sufficient “social or economic evil”
    to support the abrogation of an existing remedy.
    ¶ 48 This is an important question. Resolving it implicates not
    just a policy question of whether to extend Judd but the bigger
    jurisprudential question of the legal basis for the Berry standard that
    started us down this path. That is why we issued a supplemental
    briefing order in this case—asking the parties to present argument
    on whether the “text and original meaning” of the Open Courts
    Clause “provide a substantive guarantee against the elimination of
    remedies recognized by the law in the past”; on whether Berry and
    its progeny are entitled to deference “under the stare decisis
    standards discussed in Eldridge v. Johndrow, 
    2015 UT 21
    , ¶¶ 20-41,”
    
    345 P.3d 553
    ; on whether the test announced in Berry is the “proper
    test” for assessing legislation abrogating existing remedies; and on
    whether “the elements of the Berry test should be revised or
    adjusted.”
    ¶ 49 The parties and their amici—represented by able counsel—
    presented extensive briefing on these important questions. Yet the
    majority attempts to avoid them. It does not expressly consider the
    constitutional propriety of the Berry test (as adjusted in Judd). And it
    offers no analysis of the propriety of preserving these standards as a
    matter of stare decisis. Instead it claims the important questions
    presented—and argued by the parties—are “unnecessary to the
    resolution of this case.” Supra ¶ 32. Thus, the court upholds the Berry
    standard on principles of judicial restraint and avoidance. 
    Id. ¶ 50
    I find no logical or legal basis for this approach. In resolving
    this case by applying and extending the Berry-Judd standard, the
    majority is continuing to uphold the standard; it is simply
    23
    WAITE v. LABOR COMM’N
    Lee, A.C.J., concurring in the judgment
    withholding the basis for its analysis of these questions from public
    view.
    ¶ 51 The decision to extend Judd (and further limit Berry) may be
    a step in the right direction. It is if the Berry framework is either not
    true to the text and original meaning of the Open Courts Clause or if
    Berry is not entitled to deference as a matter of stare decisis. But the
    majority doesn’t offer those (or other) reasons for this decision. It just
    assumes the propriety of the Berry-Judd framework. And that strikes
    me as problematic. It is “emphatically” our “province and duty . . . to
    “say what the law is.” Marbury v. Madison, 
    5 U.S. 137
    , 177 (1803). We
    should fulfill that duty here.
    ¶ 52 The decision only to extend Judd, moreover, may be
    insufficient. If the Berry framework is not the correct constitutional
    standard and if it is not entitled to stare decisis respect then we
    should repudiate it entirely.
    ¶ 53 The lack of an explicit rationale in support of the court’s
    decision leaves lower courts and future litigants without the benefit
    of much-needed guidance in this long-muddled field. The watered-
    down Berry-Judd standard may be the substantial equivalent of
    federal “rational basis” review. If it is then the substantive
    component of the open courts guarantee has been effectively diluted
    out of existence.80 Alternatively, the “fairly debatable” formulation
    may imply some level of scrutiny beyond that required as a matter of
    federal constitutional law. The court doesn’t tell us. And by kicking
    this can down the road the majority is further perpetuating a long-
    festering problem—our establishment of a legal regime that has long
    been fueling costly litigation and extensive uncertainty about the
    scope of the power of our legislature to cut back on common law
    remedies.
    ¶ 54 We should stop kicking this can down the road. We should
    address the viability of the Berry test head-on. I would do so here.
    II. STARE DECISIS
    ¶ 55 A threshold question presented is whether our Berry line of
    cases is entitled to deference as a matter of stare decisis. We asked the
    _____________________________________________________________
    80 See Wood, 
    2002 UT 134
    , ¶ 43 (Durham, C.J., writing for majority
    on this issue) (concluding that “most, if not all, [article I] rights have
    generated some form of heightened judicial scrutiny” and that a
    “mere rational basis is insufficient for the legislature to intrude upon
    or eliminate” such rights).
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    parties to present arguments on this question under the standards
    set forth in our opinion in Eldridge v. Johndrow, 
    2015 UT 21
    , 
    345 P.3d 553
    . And that briefing persuades me that Berry and its progeny are
    ripe for reconsideration.
    ¶ 56 A key question under Eldridge is “how firmly” a line of
    “precedent has become established in the law since it was handed
    down.” 
    2015 UT 21
    , ¶ 22. In evaluating this question, we consider
    “the age of the precedent, how well it has worked in practice, its
    consistency with other legal principles, and the extent to which
    people’s reliance on the precedent would create injustice or hardship
    if it were overturned.” 
    Id. We also
    assess “the persuasiveness of the
    authority and reasoning on which the precedent was originally
    based.” 
    Id. ¶ 57
    The point of this inquiry is to balance the important goal of
    maintaining stability in the law against our ongoing commitment to
    getting the law “right.” The first-listed set of considerations is aimed
    at assessing the downsides of overruling precedent. If a law is
    working well in practice and sustains significant reliance interests, it
    may be costly to reform the law by overruling precedent. And that is
    a strike in favor of deference to precedent. The second consideration
    goes to the upside of overruling an erroneous precedent. The more
    clearly errant a prior decision, the greater the need to set it aside in
    advancing our commitment to the rule of law.
    ¶ 58 The argument for overruling a prior decision is strongest
    when the costs of overruling (from a reliance or stability standpoint)
    are low and the benefits (from a rule of law standpoint) are high. In
    my view that is the case here. Berry has never become “firmly”
    established. Quite the contrary, as noted, this decision has spawned
    extensive debate and ongoing revisionism (which continues in the
    majority opinion today). The Berry standard has not worked well “in
    practice.” Litigants and courts have long struggled with how to
    define and implement the standards set forth in these cases. 81 The
    _____________________________________________________________
    81  See supra ¶ 45 n.77 (highlighting the division among members
    of the court in the application of the Berry standard in our cases);
    Laney v. Fairview City, 
    2002 UT 79
    , ¶ 93, 
    57 P.3d 1007
    (Wilkins, J.,
    concurring in part and dissenting in part) (noting that “Justice
    Zimmerman, an initial Berry proponent, reluctantly reached the
    conclusion that the Berry interpretation of the Open Courts Clause
    and its progeny do not provide a workable analytical framework”
    (citations omitted)); 
    id. ¶ 94
    (Wilkins, J., concurring in part and
    dissenting in part) (noting “that Berry has proven to be unworkable
    (Continued)
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    WAITE v. LABOR COMM’N
    Lee, A.C.J., concurring in the judgment
    stated standards, moreover, are inherently fuzzy and difficult to
    apply with any predictability.82 This is simply not a field in which a
    litigant can claim that substantial “reliance” on our case law “would
    create injustice or hardship if it were overturned.” So the costs of
    repudiating the Berry framework are in my view limited.
    ¶ 59 The benefits, on the other hand, seem to me to be
    substantial. The Berry decision itself upset more than seventy years
    of settled precedent.83 And as explained in some detail below, there
    is little or no support in the text or original meaning of the Open
    Courts Clause for the Berry standard. This is just not a case in which
    we can find persuasive “the authority and reasoning on which th[is]
    precedent was originally based.” Eldridge, 
    2015 UT 21
    , ¶ 22.
    ¶ 60 For these reasons I would take up the invitation to revisit
    the proper standard for assessing the scope of the legislature’s power
    over a period of 17 years, has not been adhered to unanimously, has
    been questioned and chastised by members of this court, including
    one who agreed with the Berry interpretation initially, has been
    criticized by legal scholars, and presents separation of powers
    problems”); Craftsman Builder’s Supply, Inc. v. Butler Mfg. Co., 
    1999 UT 18
    , ¶ 108 (Zimmerman, J., concurring in the result) (asserting that
    the Berry test “has proven to be unworkable,” “is subject to
    manipulation,” “leads to absurd results,” and “distorts our
    relationship with the legislature”).
    82See Laney, 
    2002 UT 79
    , ¶ 89 (Wilkins, J., concurring in part and
    dissenting in part) (asserting that the Berry “test permits a majority
    of this court to substitute its judgment of what constitutes good
    public policy for the judgment of the legislature”).
    83 Compare Berry ex rel. Berry v. Beech Aircraft Corp., 
    717 P.2d 670
    ,
    680 (Utah 1985) (establishing for the first time in 1985 a constitutional
    limitation on legislative authority to prospectively alter the law
    giving rise to legal rights), with Union Sav. & Inv. Co. v. Dist. Court of
    Salt Lake City, 
    140 P. 221
    , 225 (Utah 1914) (interpreting the clause to
    require that the “courts must always be open to all alike” and
    precluding the legislature from “curtailing” this right of access), and
    Brown v. Wightman, 
    151 P. 366
    , 366–67 (Utah 1915) (reiterating that
    the clause imposes “a limitation upon the Legislature to prevent that
    branch of the state government from closing the doors of the courts
    against any person who has a legal right which is enforceable in
    accordance with some known remedy”).
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    to abrogate remedies recognized in the common law. I would not
    feel foreclosed from so doing by the doctrine of stare decisis.
    III. THE ORIGINAL MEANING OF THE OPEN COURTS CLAUSE
    ¶ 61 The Open Courts Clause is not unique to Utah. Most states
    have some variation on this sort of provision.84 And there is
    widespread agreement in the historical record that the language of
    the clause is rooted in principles passed down from as far back as
    England’s Magna Carta.85 So, to uncover the original meaning of this
    clause, we should treat its language as written in the language of the
    law86—as a legal term of art.87 I would therefore frame my
    interpretation of the Open Courts Clause with an understanding of
    the open courts case law in place at the time of the adoption of the
    Utah Constitution.
    _____________________________________________________________
    84 See Michael J. DeBoer, The Right to Remedy by Due Course of
    Law—a Historical Exploration and an Appeal for Reconsideration, 6
    FALKNER L. REV. 135, 137 n.3 (2014) (identifying constitutional open
    courts clauses in Alabama, Arkansas, Colorado, Connecticut,
    Delaware, Florida, Idaho, Illinois, Indiana, Kansas, Kentucky,
    Louisiana, Maine, Maryland, Massachusetts, Minnesota, Mississippi,
    Missouri, Montana, Nebraska, New Hampshire, North Carolina,
    North Dakota, Ohio, Oklahoma, Oregon, Pennsylvania, Rhode
    Island, South Carolina, South Dakota, Tennessee, Texas, Utah,
    Vermont, West Virginia, Wisconsin, and Wyoming).
    85See, e.g., Berry ex rel. Berry v. Beech Aircraft Corp., 
    717 P.2d 670
    ,
    674 (Utah 1985) (noting that the clause “originated with the Magna
    Carta”).
    86 Michael B. Rappaport & John O. McGinnis, The Constitution and
    the Language of the Law 7–8 (San Diego Legal Studies Paper No. 17-
    262 March 8, 2017).
    87 See Utah Stream Access Coal. v. Orange St. Dev., 
    2017 UT 82
    , ---
    P.3d --- (“A ‘cardinal rule of statutory construction’ says that a
    legislature’s use of an established legal term of art incorporates ‘the
    cluster of ideas that were attached to each borrowed word in the
    body of learning from which it was taken.’” (quoting FAA v. Cooper,
    
    566 U.S. 284
    , 292 (2012)). This same principle applies in the context of
    constitutional interpretation. Where the terms employed in the
    constitution have a well-established legal meaning, we should
    interpret them consistent with that meaning.
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    WAITE v. LABOR COMM’N
    Lee, A.C.J., concurring in the judgment
    ¶ 62 Nineteenth-century open courts cases from other states are
    instructive in discovering the original public meaning of this
    provision at the time of Utah’s statehood in 1896.88 They make clear
    the meaning of the terms of art employed in the clause during the
    time period in which Utah adopted its similar provision. And based
    on those cases, I conclude that the Berry formulation is wrong. I find
    no basis for an open courts prohibition on legislative abrogation of a
    common law right of action—much less for the standard set forth in
    the Berry line of cases.
    ¶ 63 That said, I do not agree with the broad conclusion
    articulated in some prior opinions of members of this court—stating
    that the Open Courts Clause provides only a procedural limitation,
    and has no effect on the legislature’s substantive power to regulate.89
    Instead, and as explained, I find a historical basis for a limited
    restriction on the legislature’s substantive power to abrogate a
    common law cause of action: To the extent a given cause of action
    was vested as of the time of the legislature’s enactment, the Open
    Courts Clause prohibits retroactive abrogation of such claims.
    _____________________________________________________________
    88  My analysis is based on a review of all pre-statehood cases
    listed in the Westlaw citing references for the open courts provisions
    of each state that had enacted a clause prior to Utah’s statehood.
    89  See Laney v. Fairview City, 
    2002 UT 79
    , ¶ 85, 
    57 P.3d 1007
    (Wilkins, J., concurring in part and dissenting in part) (urging that
    Berry be overruled “in favor of the more procedural interpretation of
    the Open Courts Clause advanced in our jurisprudence prior to, and
    since, Berry”); Craftsman Builder’s Supply, Inc. v. Butler Mfg. Co., 
    1999 UT 18
    , ¶ 120, 
    974 P.2d 1194
    (Zimmerman, J., concurring in result)
    (concluding that “the constitutional protections of article I, section 11
    are procedural, not substantive”). Contra Tindley v. Salt Lake City Sch.
    Dist., 
    2005 UT 30
    , ¶ 13, 
    116 P.3d 295
    (“[T]he [O]pen [C]ourts [C]lause
    provides more than procedural protections; it also secures
    substantive rights, thereby restricting the legislature’s ability to
    abrogate remedies provided by law.”); Laney, 
    2002 UT 79
    , ¶ 30
    (“Throughout our state’s history, this court has consistently
    recognized that the plain meaning of the guarantee ‘impose[s] some
    substantive limitation on the legislature to abolish judicial remedies in
    a capricious fashion.’” (alteration in original) (emphasis in original)
    (quoting Craftsman, 
    1999 UT 18
    , ¶ 36 (Stewart. J, concurring))).
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    A. Nineteenth-Century Case Law
    ¶ 64 I find no basis in the nineteenth-century cases to conclude
    that the Open Courts Clause limits the legislature’s general power to
    abrogate an existing remedy. At most, the nineteenth-century open
    courts cases recognized a limit on the abrogation of a vested claim.
    And in that context, the courts sometimes spoke of the question
    whether the legislature had preserved an adequate substitute
    remedy. But the broad notion of an open courts limitation on
    legislative power to reform the scope of the injuries or claims
    protected by our substantive law was no part of open courts
    jurisprudence in the relevant time frame.
    ¶ 65 The nineteenth-century cases addressed a range of issues:
    the availability of a forum to assert a legal claim90; filing fee
    _____________________________________________________________
    90 See Ouachita Baptist Coll. v. Scott 
    42 S.W. 536
    , 537 (Ark. 1897)
    (applying principles of constitutional avoidance and interpreting
    statute in a manner that provided a forum for the parties to raise
    their claims); Sellars v. Myers, 
    34 N.E. 496
    , 497 (Ind. App. 1893)
    (holding that the Open Courts Clause protects the right “not only to
    institute . . . suit, but to prosecute to final judgment, unless he has
    forfeited this right by his vexatious conduct”); Liberty Twp. Draining
    Ass'n v. Brumback, 
    68 Ind. 93
    , 95–97 (1879) (applying principles of
    constitutional avoidance and interpreting statute to allow challenge
    to the regularity of proceedings not just amount of damages caused
    by an appropriation of lands to railroad); State v. Rightor, 
    2 So. 385
    ,
    386–87 (La. 1887) (opinion of Todd, J.) (noting the role of the Open
    Courts Clause in protecting against an injunction being issued to
    stop a court of competent jurisdiction from hearing a case); Davis v.
    Pierse, 
    7 Minn. 13
    , 18 (1862) (law prohibiting those aiding the
    rebellion against the United States from maintaining any suit in
    courts within Minnesota violated Open Courts Clause, among other
    constitutional provisions); Agin v. Heyward, 
    6 Minn. 110
    , 115 (1861)
    (“The bill of rights declares that every person is entitled to a certain
    remedy in the laws, for all injuries which he may receive in his
    person, property or character. This includes the enforcement of
    rights as well as the redress of wrongs. But how can we carry this
    provision or declaration into effect, if we deny, to the tribunals, in
    which the judicial power is vested, jurisdiction in any given case?
    There must of necessity, therefore, be some court of general
    jurisdiction, and among those established by the constitution, the
    District Court is the only court not limited by express words—the
    only one not in fact prohibited from entertaining original jurisdiction
    (Continued)
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    WAITE v. LABOR COMM’N
    Lee, A.C.J., concurring in the judgment
    requirements and amounts91; the impact of statutes of limitation and
    repose on court access92; vested rights, including the degree to which
    beyond specified limits.” (citation omitted)); Balt. & O.R. Co. v.
    Stankard, 
    46 N.E. 577
    , 578–79 (Ohio 1897) (holding that a contract
    provision foreclosing any recourse to the courts was invalid under
    the Open Courts Clause); Mullen v. Peck, 
    31 N.E. 1077
    , 1079 (Ohio
    1892) (discussing Open Courts Clause issue as right to have your
    “day in court”); McClain v. Williams, 
    73 N.W. 72
    , 74 (S.D. 1897) (“The
    provisions of section 20 [for open courts] . . . are satisfied by a trial in
    a court of competent jurisdiction, in which the right to trial by jury,
    in proper cases, is afforded . . . . None of the provisions of the
    constitution prohibit the legislature from limiting appeals to a
    defined class of cases . . . .”); Dodd v. Weaver, 34 Tenn. (2 Sneed) 670,
    672 (1855) (“The court cannot be closed; but must be open to the
    injured party, who is entitled to ‘remedy by due course of law.’”
    (citation omitted)).
    91  See Lassitter v. Lee, 
    68 Ala. 287
    , 290 (1880) (holding that where
    the law establishes “a condition precedent [that] is so unreasonable
    as to seriously impede, impair or cripple the rights designed to be
    guaranteed by these articles of the constitution, it can not be upheld
    or sustained by the courts” (citations omitted)); Wilson v. McKenna,
    
    52 Ill. 43
    , 48–49 (1869) (holding unconstitutional a requirement to
    pay a tax before challenging it); Succession of Grover, 
    22 So. 313
    , 315
    (La. 1897) (holding bond requirement for costs was not unreasonable
    under Open Courts Clause); Knee v. Balt. City Passenger Ry. Co., 
    40 A. 890
    , 893 (Md. 1898) (discussing reasonableness of fees and propriety
    at common law and distinguishing these fees from historical
    payments made to expedite or slow down a case); Lommen v. Minn.
    Gaslight Co., 
    68 N.W. 53
    , 54 (Minn. 1896) (discussing original legal
    term of art meaning of “justice freely and without purchase”);
    Dutcher v. Culver, 
    24 Minn. 584
    , 589–90 (1877) (upholding
    requirement of posting security as a prerequisite to asserting a claim
    for replevin); Willard v. Bd. of Cty. Comm’rs of Redwood Cty., 
    22 Minn. 61
    , 64–65 (1875) (upholding provision requiring payment of costs);
    State ex rel. Davidson v. Gorman, 
    41 N.W. 948
    , 949–50 (Minn. 1889)
    (striking down requirement to pay tax assessment prior to
    challenging the assessment); Adams v. Corriston, 
    7 Minn. 456
    , 461
    (1862) (“We can see no valid objection to a reasonable fee of this
    kind. The constitution does not guar[]antee to the citizen the right to
    litigate without expense, but simply protects him from the
    imposition of such terms as unreasonably and injuriously interfere
    with his right to a remedy in the law, or impede the due
    (Continued)
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    administration of justice.”); Weller v. City of St. Paul, 
    5 Minn. 95
    , 100–
    01 (1860) (reversing dismissal of action based on failure to comply
    with requirement to pay all taxes owed with interest as a condition
    precedent to challenging the assessment); State v. McCarver, 
    20 S.W. 1058
    , 1058–59 (Mo. 1893) (discussing the right to be heard—“open to
    every person”—and finding that the inability to pay transcript fee
    due to indigence cannot bar from having case decided); Perce v.
    Hallett, 
    13 R.I. 363
    , 364 (1881) (“The provision has a history which
    sheds light on its meaning. It was borrowed from Magna Charta, and
    in England the generality of jurists and legislators have supposed
    and acted on the supposition that it does not prohibit such fees. The
    better opinion is that it was designed to abolish, not fixed fees,
    prescribed for the purposes of revenue, but the fines which were
    anciently paid to expedite or delay law proceedings and procure
    favor.” (citation omitted)); Spalding v. Bainbridge, 
    12 R.I. 244
    , 244
    (1879) (“We certainly should not dismiss the suit, if it clearly
    appeared that the non-compliance was because of the plaintiff's
    inability on account of poverty.”); Whittaker v. City of Janesville, 
    33 Wis. 76
    , 90 (1873) (applying principles of constitutional avoidance to
    allow equitable claim to be raised in opposition to allegedly
    unlawful tax assessment).
    92 See Thornton v. Turner, 
    11 Minn. 336
    , 339–40 (1866) (interpreting
    statute not to impose statute of repose because to do so would
    violate the Open Courts Clause); Baker v. Kelley, 
    11 Minn. 480
    , 491–94
    (1866) (finding unconstitutional a statute of limitations as too short
    and cutting off a cause of action in the law before it can accrue);
    Preston v. Drew, 
    33 Me. 558
    , 560–63 (1852) (applying constitutional
    avoidance and interpreting a statute to allow replevin of unlawfully
    confiscated liquors because the property rights in the confiscated
    liquors had vested, but noting that it would be within the power of
    the legislature to prospectively declare that no one may acquire a
    property interest in liquors on account of their adverse effects to
    society); Byers v. Penn. R.R. Co., 
    5 Pa. D. 683
    , 683–86 (Pa. Ct. Com. Pl.
    1896) (striking down a statute of limitations on an as applied
    challenge brought by litigants whose cases were pending when the
    act was passed because to apply the act to these cases would deprive
    the litigants of a vested right to recover under the law that existed at
    the time they filed their claims). But see Hill v. Lund, 
    13 Minn. 451
    ,
    452–53 (1868) (concluding that a reasonable statute of limitations
    does not violate the Open Courts Clause).
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    WAITE v. LABOR COMM’N
    Lee, A.C.J., concurring in the judgment
    the legislature could retroactively alter the law governing a cause of
    action that accrued prior to the new legislation93; the sale of justice,
    including one-sided attorney fee provisions and other unequal
    burdens in litigation94; unnecessary delay, including statutes staying
    _____________________________________________________________
    93 See Parker v. Sanders, 
    46 Ark. 229
    , 234–36 (1885) (holding that
    vested rights do not include rights in a particular procedure for
    adjudicating claim or particular remedies); Commercial Bank of
    Natchez v. Chambers, 16 Miss. (8 Sneeds) 9, 56–58, 61 (Miss. Err. &
    App. 1847) (holding that legislative enactments that undermine
    vested rights are contrary to Open Courts Clause); Lafferty v. Shinn,
    
    38 Ohio St. 46
    , 48–49 (1882) (noting that shortening a limitation
    period as to existing rights might violate the Open Courts Clause);
    Templeton v. Linn Cty., 
    29 P. 795
    , 795–97 (Or. 1892) (reasoning that
    while vested rights cannot be deprived, no one can have a vested
    right in the general state of the law); Menges v. Dentler, 
    33 Pa. 495
    ,
    498–99 (1859) (“The law which gives character to a case, and by
    which it is to be decided (excluding the forms of coming to a
    decision), is the law that is inherent in the case, and constitutes part
    of it when it arises as a complete transaction between the parties. If
    this law be changed or annulled, the case is changed, and justice
    denied, and the due course of law violated.”); 
    Byers, 5 Pa. D. at 683
    –
    86 (holding that as to a cause of action that has already accrued the
    legislature cannot enact a law eliminating the claim retroactively);
    Von Baumbach v. Bade, 
    9 Wis. 559
    , 576–80 (1859) (citing U. S. Supreme
    Court cases holding that existing laws of remedies are a legal
    backdrop relied on by parties entering contracts such that changing
    the remedies may impair the vested rights if the changes upset
    reliance interests).
    94 See Randolph v. Builders’ & Painters’ Supply Co., 
    106 Ala. 501
    , 501
    (1895) (ruling one-sided attorney fee provision violated Open Courts
    Clause placing litigants on an unequal footing); Kan. Pac. Ry. Co. v.
    Mower, 
    16 Kan. 573
    , 582–83 (1876) (rejecting an open courts challenge
    to a one-sided attorney fee statute); Russell v. Belcher, 
    76 Me. 501
    ,
    503–04 (1884) (linking judicial disqualification requirements to the
    requirement that “justice shall be administered freely and without
    sale”); Cameron v. Chi., Milwaukee & St. Paul Ry. Co., 
    65 N.W. 652
    ,
    653–54 (Minn. 1896) (upholding attorney fee provision); 
    Lommen, 68 N.W. at 54
    (rejecting an open courts challenge to a law requiring the
    party requesting a “struck jury” pay the costs associated with the
    procedure, looking to the original term of art understanding of
    “justice freely and without purchase”); Chi., St. Louis & New Orleans
    R.R. Co. v. Moss, 
    60 Miss. 641
    , 648–52 (1882) (holding that one-sided
    (Continued)
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    execution of judgments or delaying specific cases95; and the scope of
    the public’s right to observe legal proceedings.96
    ¶ 66 Not surprisingly, this focus on court access to vindicate
    vested legal rights is reflected in the text of Utah’s Open Courts
    Clause. Our clause, which contains language similar to that adopted
    by other states, reads as follows:
    All courts shall be open, and every person, for an
    injury done to him in his person, property or
    reputation, shall have remedy by due course of law,
    which shall be administered without denial or
    unnecessary delay; and no person shall be barred from
    prosecuting or defending before any tribunal in this
    State, by himself or counsel, any civil cause to which he
    is a party.
    UTAH CONST. art. I, § 11. The phrases “courts shall be open” and
    “administered without denial or unnecessary delay” speak
    unequivocally to access to the courts. In light of my research, I would
    hold that the phrase “for an injury done to him in his person,
    attorney fee provision violated the clause as imposing unequal
    access or advantage in asserting a claim); Vierling v. Stifel Brewing
    Co., 
    15 Mo. App. 125
    , 132–33 (1884) (discussing term of art meaning
    of “sale of justice” going back to Magna Carta); Helena Steam-Heating
    & Supply Co. v. Wells, 
    40 P. 78
    , 79–80 (Mont. 1895) (discussing one-
    sided attorney fees); Wortman v. Kleinschmidt, 
    30 P. 280
    , 284–85
    (Mont. 1892) (same).
    95 See Bumgardner v. Howard Cty. Cir. Ct., 
    4 Mo. 50
    , 51 (1835)
    (concluding that law postponing execution of a judgment in
    particular cases violated Open Courts Clause protection against
    delay of justice); City of Toledo v. Preston, 
    34 N.E. 353
    , 355–56 (Ohio
    1893) (discussing issue of delay with respect to hearing a claim);
    Townsend v. Townsend, 7 Tenn. (Peck) 1, 21 (1821) (holding that
    statute delaying cases for two years is unconstitutional).
    96 See State v. Rogers 
    19 So. 909
    , 912–13 (Ala. 1895) (determining
    that public board at issue was not exercising judicial power so it was
    not required to meet in public); Swann v. Kidd, 
    79 Ala. 431
    , 432 (1885)
    (“This clause is known to have been taken in substance from Magna
    Charta; and history shows that its chief purpose was to assail the
    existing evil of anciently holding courts in clandestine sessions, and
    of paying fines to the king and his officers, for delaying or
    expediting law-suits, and for obtaining justice.”).
    33
    WAITE v. LABOR COMM’N
    Lee, A.C.J., concurring in the judgment
    property or reputation, shall have remedy by due course of law”
    reinforces the principle of access to the courts to vindicate vested
    legal rights. But it does not mean that the legislature cannot
    prospectively adjust the substantive law as it deems appropriate.
    B. Utah Open Courts Clause Jurisprudence
    ¶ 67 Much of what we said in Berry ex rel. Beech v. Beech Aircraft
    Corp., 
    717 P.2d 670
    (Utah 1985), is consistent with the original
    meaning of the Open Courts Clause—including the conclusion that
    the Open Courts Clause is implicated by a statute of repose. In Berry
    we indicated that “[t]he clear language of the section guarantees
    access to the courts and a judicial procedure that is based on fairness
    and equality.” 
    Id. at 675
    (citations omitted). The Berry court further
    asserted that
    the framers of the Constitution intended that an
    individual could not be arbitrarily deprived of effective
    remedies designed to protect basic individual rights. A
    constitutional guarantee of access to the courthouse
    was not intended by the founders to be an empty
    gesture; individuals are also entitled to a remedy by
    “due course of law” for injuries to “person, property,
    or reputation.”
    
    Id. ¶ 68
    The Berry court also concluded that “‘no one has a vested
    right in any rule of law’ under either the open courts or the due
    process provision of the Utah Constitution.” 
    Id. at 675
    –76 (quoting
    Masich v. U.S. Smelting, Ref. & Mining Co., 
    191 P.2d 612
    , 624 (Utah
    1948)). And it further determined that “neither the due process nor
    the open courts provision constitutionalizes the common law or
    otherwise freezes the law governing private rights and remedies as
    of the time of statehood.” 
    Id. at 676
    (citation omitted).
    ¶ 69 Berry also stated that
    [i]t is . . . one of the important functions of the
    [l]egislature to change and modify the law that governs
    relations between individuals as society evolves and
    conditions require. However, once a cause of action
    under a particular rule of law accrues to a person by
    virtue of an injury to his rights, that person’s interest in
    the cause of action and the law which is the basis for a
    legal action becomes vested, and a legislative repeal of
    the law cannot constitutionally divest the injured
    person of the right to litigate the cause of action to a
    judgment.
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    Id. (citations omitted).
    In addition, the Berry court rejected the
    contention that the Open Courts Clause “is only a ‘philosophical
    statement’ that imposes no limitations on legislative power.” 
    Id. And it
    ultimately concluded that the legislature’s enactment of a statute of
    repose for product liability claims implicated the Open Courts
    Clause.
    ¶ 70 All of this is consistent with the nineteenth-century case law
    that I have reviewed. Yet Berry also departed from the standards set
    forth in the nineteenth-century cases in one important respect. The
    court interpreted the Open Courts Clause as a limit on the authority
    of the legislature to alter the law that gives rise to legal rights and
    available remedies, rather than a limitation on the state’s authority to
    restrict access to the courts to vindicate vested legal rights. To
    support its view the court mostly cited contemporary case law from
    other jurisdictions. See 
    id. at 677–78
    (citing contemporary cases from
    other jurisdictions striking down statutes of repose). And in so doing
    it strayed from the original meaning of our Open Courts Clause.
    ¶ 71 In addition the Berry court emphasized dicta from our
    decision in Masich. In that dicta the Masich court considered a
    hypothetical: “Assuming the legislature can abolish the common law
    right of action for negligence, must it return a substitute right to each
    and every employee in some way affected by the abrogation to meet
    the test of 
    constitutionality?” 191 P.2d at 624
    . Masich said no: “If the
    legislature were to abolish all compensation and all common law
    rights for negligence of an employer, no contention could reasonably
    be made that it was a proper exercise of police power.” 
    Id. ¶ 72
    But this dicta is irreconcilable with the dicta that
    immediately preceded it, in which the Masich court indicated that
    “no one has a vested right in any rule of law” and reasoned that
    “[m]any states must have held that both statutory rights and
    common law rights can be taken away.” 
    Id. If not
    so, reasoned the
    Masich court, any statutes “which abolish actions for seduction,
    breach of promise, criminal conversation, and alienation of
    affections, would be unconstitutional.” 
    Id. The court
    in Masich offers
    no principle to reconcile its contradictory views on the
    constitutionality of legislative abrogation of some common law
    rights but not others.
    ¶ 73 In contrast to the standard laid down in Berry, the
    nineteenth-century cases consistently recognized legislative power to
    change the substance of the law establishing liability and to alter
    35
    WAITE v. LABOR COMM’N
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    available remedies. Those cases uniformly rejected open courts
    challenges asserting the contrary.97 So our Berry line of cases is
    _____________________________________________________________
    97 See Ex parte Pollard, 
    40 Ala. 77
    , 93 (1866) (“This provision had its
    origin in ‘Magna Charta,’ and was intended as a restriction upon
    royal power. It is an historical truth, that in England, the struggle has
    constantly been to place limitations upon the power of the crown,
    and not upon that of the parliament. We admit, however, that in our
    country, it applies to legislative and all other power. But, whilst it is
    the promulgation of a wholesome restriction, and is of no little value
    as a safeguard against error and injustice, the landmarks of
    legislative authority are rather to be found in the division of power
    contained in the constitution, among the three branches of
    government, and the specific limitations imposed by the instrument
    on the law-making branch, than in this general declaration of the bill
    of rights.” (citations omitted)); 
    Parker, 46 Ark. at 235
    –36 (“The
    general assembly is vested with the power to change, control,
    modify and abolish remedies in the manner and to the extent the
    state can do so, subject to the limitations on that power, if any,
    contained in the constitution of the state. It is true, every person is
    entitled to a certain remedy for all injuries or wrongs to his person,
    property or character; but to the legislature belongs the power to
    determine and provide the remedy. He ought to obtain justice freely
    and without purchase; promptly and without delay; but it is the
    duty of the legislature to provide the mode and proceedings in
    which it shall be administered. In the absence of constitutional
    limitations, the courts have no right to interfere with the exercise of
    this power. Section 13 of article 2 of the constitution is an abstract
    declaration of right, and is not a limitation on the power of the
    legislature. It is too uncertain and indefinite to form rules for judicial
    decisions, and serves rather as an admonition addressed to the
    judgment and the conscience of all persons in authority than a
    limitation.” (citation omitted)); Johnson v. Higgins, 60 Ky. (3 Met.) 566,
    571 (1861) (“To say that the [open courts] provision was, in any wise,
    designed to regulate the jurisdiction of the courts, would at once
    bring it into collision with art. 4, sec. 17, which, in so many words,
    gives that power to the legislature.”); State v. Dubuclet, 
    28 La. Ann. 698
    , 703 (1876) (“The [open courts] article of the constitution does not
    prescribe this process of law that he is entitled to. Justice shall be
    administered without denial or unreasonable delay. The article is
    silent as to how justice shall be administered. Yet, in seeking the
    adequate remedy, due process of law must be followed; justice is to
    be administered by due process of law. It is for the Legislature to
    (Continued)
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    incompatible with the historical standard on this point. These cases,
    as noted, purport to limit legislative authority to eliminate causes of
    action—whether through statutes of repose or by changing rules
    governing liability or limiting available remedies. See, e.g., Berry, 
    717 P.2d 670
    ; Judd v. Drezga, 
    2004 UT 91
    , 
    103 P.3d 135
    . This is inconsistent
    with the original meaning of the Open Courts Clause.
    ¶ 74 In fact, I have not found a single open courts case in the pre-
    statehood era striking down a statute on account of a prospective
    legislative abrogation of a common law cause of action. A Minnesota
    case, Allen v. Pioneer Press Co., 
    41 N.W. 936
    (Minn. 1889), comes
    closest to stretching an Open Courts Clause in this manner. Allen
    suggested in dicta that “principles of natural justice” might impose
    an outer bound on the legislature’s authority to change common law
    causes of action. See 
    id. at 938.
    But the Allen court nonetheless upheld
    the legislative abrogation of several remedies in libel suits, noting the
    “wide latitude [that] must, of necessity, be given to the legislature in
    determining both the form and the measure of the remedy for a
    wrong.” See 
    id. at 938–39.
        ¶ 75 Thus, Allen generally invoked open courts principles and
    referred (in dicta) to a nebulous outer limit on legislative authority.
    But the Allen court never connected that limit to the text of the Open
    prescribe the due process of law . . . .”); Stratton v. European & N. Am.
    Ry. Co., 
    74 Me. 422
    , 428 (1883) (“But, says the counsel, it is a ‘legal
    maxim that for every right there is a remedy,’ and therefore one of
    these actions must be maintainable. The maxim we admit in its full
    force, but the conclusion does not follow. In the legal sense there is
    no difficulty about the remedy, which is a ‘judicial means of
    enforcing a right or redressing a wrong.’ The trouble here is in
    establishing the right. The right to redress for such an injury as is
    here complained of, is given by the statute and by that alone. . . .
    What the statute gives it may take away.”); 
    Preston, 33 Me. at 560
    –61
    (“The State, by its legislative enactments, operating prospectively,
    may determine that articles injurious to the public health or morals,
    shall not constitute property, within its jurisdiction. . . . If a
    legislature should declare that no person should acquire any
    property in them, for such a purpose, there would be no occasion for
    complaint that it had violated [the Open Courts Clause or any other]
    provision of the constitution.”); 
    Templeton, 29 P. at 797
    (Or. 1892)
    (distinguishing vested rights from mere expectancies and concluding
    that legislature has authority to change the law giving rise to rights,
    so no one can have a vested right in the general state of the law).
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    WAITE v. LABOR COMM’N
    Lee, A.C.J., concurring in the judgment
    Courts Clause per se; it attributed that limit to “principles of natural
    justice.”98 And it nevertheless recognized broad legislative discretion
    to define legal rights and available remedies. 
    Id. at 938.
        ¶ 76 The “natural justice” limit in Allen is not only dicta; it is an
    outlier in the cases from the relevant time period. The overwhelming
    majority of cases roundly rejected the theory that the Open Courts
    Clause limited the legislature’s authority to change the law giving
    rise to legal rights and the available remedies. See supra ¶ 73 n.97.
    And again, no open courts case from the nineteenth century struck
    down legislation for abrogating a common law cause of action.
    ¶ 77 The open courts cases in place at the time of our
    constitution’s framing recognized a limit on the legislative
    _____________________________________________________________
    98 
    Allen, 41 N.W. at 938
    (“The guaranty of a certain remedy in the
    laws for all injuries to person, property, or character, and other
    analogous provisions, such as those against exacting excessive bail,
    imposing excessive fines, inflicting cruel and inhuman punishments,
    and the like, inserted in our bill of rights, the equivalents of which
    are found in almost every constitution in the United States, are but
    declaratory of general fundamental principles, founded in natural
    right and justice, and which would be equally the law of the land if
    not incorporated in the constitution. There is unquestionably a limit
    in these matters, beyond which, if the legislature should go, the
    courts could and would declare their action invalid. But inside of
    that limit there is, and necessarily must be, a wide range left to the
    judgment and discretion of the legislature, and within which the
    courts cannot set up their judgment against that of the legislative
    branch of the government. These constitutional declarations of
    general principles are not, and from the nature of the case cannot be,
    so certain and definite as to form rules for judicial decisions in all
    cases, but up to a certain point must be treated as guides to
    legislative judgment, rather than as absolute limitations of their
    power. And in determining whether in a given case a statute violates
    any of these fundamental principles incorporated in the bill of rights,
    it ought to be tested by the principles of natural justice, rather than
    by comparison with the rules of law, statute or common, previously
    in force. Again, it must be remembered that what constitutes ‘an
    adequate remedy’ or ‘a certain remedy’ is not determined by any
    inflexible rule found in the constitution, but is subject to variation
    and modification, as the state of society changes. Hence a wide
    latitude must, of necessity, be given to the legislature in determining
    both the form and the measure of the remedy for a wrong.”).
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    abrogation of “vested rights”—rights in claims that had accrued
    prior to the enactment of the legislation in question.99 But there was a
    general consensus in the cases that no one had a general vested right
    in the law; only vested causes of action were protected. With this in
    mind, courts routinely held that the legislature had plenary
    authority to prospectively amend or abrogate existing causes of
    action or available remedies.100
    ¶ 78 The vested rights cases might be the root of the modern
    notion of a general open courts limit on legislative power to abrogate
    causes of action.101 In the vested rights context, after all, courts
    _____________________________________________________________
    99  See, e.g., Commercial Bank of 
    Natchez, 16 Miss. at 56
    –58, 61
    (holding that legislative enactments that undermine vested rights are
    contrary to the Open Courts Clause); 
    Lafferty, 38 Ohio St. at 48
    –49
    (noting that shortening a limitation period as to existing rights might
    violate the Open Courts Clause); Templeton, 
    29 P. 795
    at 795–97
    (reasoning that while vested rights cannot be deprived, no one has a
    vested right in the general state of the law); 
    Menges, 33 Pa. at 497
    –99
    (“The law which gives character to a case, and by which it is to be
    decided (excluding the forms of coming to a decision), is the law that
    is inherent in the case, and constitutes part of it when it arises as a
    complete transaction between the parties. If this law be changed or
    annulled, the case is changed, and justice denied, and the due course
    of law violated.”); 
    Byers, 5 Pa. D. at 683
    –86 (holding that as to a cause
    of action that has already accrued the legislature cannot enact a law
    eliminating the claim retroactively); Von 
    Baumbach, 9 Wis. at 576
    –80
    (citing U.S. Supreme Court cases holding that existing remedies laws
    are a legal backdrop relied on by parties entering contracts, such that
    changing the remedies might impair vested rights where there are
    reliance interests).
    100  See, e.g., 
    Stratton, 74 Me. at 428
    (“But, says the counsel, it is a
    ‘legal maxim that for every right there is a remedy,’ and therefore
    one of these actions must be maintainable. The maxim we admit in
    its full force, but the conclusion does not follow. In the legal sense
    there is no difficulty about the remedy, which is a ‘judicial means of
    enforcing a right or redressing a wrong.’ The trouble here is in
    establishing the right. The right to redress for such an injury as is
    here complained of, is given by the statute and by that alone. . . .
    What the statute gives it may take away.”).
    101For example, in Horton v. Oregon Health and Science University,
    the Oregon Supreme Court characterized the nineteenth century
    consensus as supporting limits on legislative authority, but cited
    (Continued)
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    WAITE v. LABOR COMM’N
    Lee, A.C.J., concurring in the judgment
    sometimes considered whether the law preserved an adequate
    substitute remedy.102 But on closer scrutiny, these cases do not
    establish a general open courts limitation on the legislative power,
    and so there is no general requirement that the legislature preserve a
    substitute remedy in all cases. Instead, nineteenth-century open
    courts cases simply recognize constitutional limits on the retroactive
    application of legislation in a manner abrogating or limiting vested
    claims or remedies.
    ¶ 79 For these reasons I would overrule the holdings in the Berry
    line of cases that the Open Courts Clause restricts the legislative
    power to reform the common law under a test that balances our
    sense of social policy. The nineteenth-century understanding of the
    open courts guarantee does not encompass a restriction on
    legislative reassessment of common law causes of action. Courts in
    the relevant time frame repeatedly acknowledged the legislature’s
    plenary authority to prospectively alter laws giving rise to legal
    rights.103 That principle, moreover, leads to the conclusion that the
    legislature likewise has the power to impose statutes of limitation
    and repose on a prospective basis. And if the legislature has the
    greater power to abrogate a cause of action altogether, it must also
    have the lesser power to place time limitations on asserting claims.
    only vested rights cases for this proposition. 
    376 P.3d 998
    , 1021–1025
    (Or. 2016). In fact, the first case cited by the Oregon court expressly
    rejected the proposition for which Horton cited it. The Oregon court
    reasoned that Stowell v. Flagg, 
    11 Mass. 364
    (1814), supports the view
    that the legislature must substitute one remedy for another. 
    Horton, 376 P.3d at 1021
    –22. But that court misinterpreted Stowell, which
    expressly identified plenary legislative authority to alter the law that
    gives rise to rights. Stowell stated that “[a]s the common law action is
    founded on a wrong done by the defendant, and the process itself
    presupposes a tort, when the legislature has authorized the act itself
    complained of, we cannot conceive that the action 
    remains.” 11 Mass. at 365
    . In other words, if a statute expressly authorizes a
    course of conduct that the common law once deemed tortious, the
    common law is overruled, no injury is done by the conduct, and no
    remedy need be afforded.
    102  See 
    Parker, 46 Ark. at 235
    –36 (1885) (asserting plenary
    legislative authority to establish and alter remedies); 
    Byers, 5 Pa. D. at 683
    –86 (suggesting that the legislature may change remedies
    retroactively only if some substitute remedy remains).
    103   See cases cited supra note 101.
    40
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    ¶ 80 As noted above, there are a few cases from the era of the
    Utah founding that express open courts concerns regarding statutes
    of limitation or repose.104 On examination, however, these courts
    were protecting against legislative interference with access to courts
    to vindicate vested rights.
    ¶ 81 And “vested rights” is itself a term of art with a specific,
    historical meaning. Thomas Cooley’s treatise on constitutional
    limitations illuminates the meaning of vested rights during the
    period. In the treatise, Cooley states that
    a right cannot be considered a vested right, unless it is
    something more than such a mere expectation as may
    be based upon an anticipated continuance of the
    present general laws: it must have become a title, legal
    or equitable, to the present or future enjoyment of
    property, or to the present or future enforcement of a
    demand, or a legal exemption from a demand made by
    another.
    THOMAS M. COOLEY, CONSTITUTIONAL LIMITATIONS 511 (2d ed. 1871).
    Under this definition, there is no legislative interference with vested
    rights where the legislature alters the “general laws” changing the
    legal landscape under which rights might vest in the future. See 
    id. (“Acts of
    the legislature . . . cannot be regarded as opposed to
    fundamental axioms of legislation, ‘unless they impair rights which
    are vested; because most civil rights are derived from public laws;
    and if, before the rights become vested in particular individuals, the
    convenience of the State procures amendments or repeals of those
    laws, those individuals have no cause of complaint. The power that
    authorizes or proposes to give may always revoke before an interest
    is perfected in the donee.’”(quoting Merrill v. Sherburne, 
    1 N.H. 199
    ,
    213–14 (1818))).
    ¶ 82 Thus, vested rights would not be disrupted by the
    enactment of a prospectively applicable statute of repose. The repose
    period would become part of the general law governing the accrual
    of a right of action; where a claim fails to accrue in the repose period,
    no right would vest and, therefore, no right could be improperly
    disturbed by the statute. This notion of vested rights is consistent
    with the pre-statehood cases articulating plenary legislative
    authority to alter the law that gives rise to rights.105
    _____________________________________________________________
    104   See cases cited supra note 92.
    105   See cases cited supra note 101.
    41
    WAITE v. LABOR COMM’N
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    ¶ 83 This approach is also consistent with the nineteenth-century
    cases applying open courts provisions to statutes of repose or
    limitation. In each case, the plaintiffs had a vested property right that
    subsequent legislation purported to extinguish through the
    enactment of a statute of repose. In Byers v. Pennsylvania Railroad
    Company, for example, the court was primarily concerned with the
    retroactive application of a statute of limitations to pending cases—
    cutting off rights of action that had previously accrued and were
    then pending in the 
    courts. 5 Pa. D. at 683
    –86. In the remaining cases,
    courts were concerned with laws precluding recourse to the courts to
    redress an injury to vested rights in personal or real property.
    
    Preston, 33 Me. at 558
    , 560–63 (right to bring action for replevin of
    personal property unlawfully confiscated by the government);
    
    Thornton, 11 Minn. at 339
    –40 (right to bring action for trespass
    caused by flooding); 
    Baker, 11 Minn. at 489
    –90 (right to bring
    ejectment action). While the facts of these cases vary, in each case,
    the court determined that the plaintiff’s real (or personal) property
    rights had vested106 and the legislature’s enactment of a statute of
    repose operated to cut off any opportunity to access the courts to
    pursue a remedy for the violation of a vested right.107
    _____________________________________________________________
    106 
    Preston, 33 Me. at 558
    , 560–63 (“The prohibition to sell them
    cannot prevent any person from acquiring and possessing them for
    his own use without any intention to sell them. Nor can it prevent
    their transport from one town or city to another, or through the
    State, when there is no intention to make sale of them. There is
    nothing found in the Act indicative of an intention to prevent their
    being property, when thus possessed or used.”); 
    Thornton, 11 Minn. at 337
    , 339–40 (“The complaint shows facts constituting a trespass to
    the plaintiff’s real estate, whereby he is damaged. A cause of action
    has accrued to the plaintiff for the recovery of such damages.”);
    
    Baker, 11 Minn. at 498
    –99 (“That the plaintiff was the owner of the
    land and authorized to prosecute and defend in the courts, his rights
    thereto, is admitted.”).
    107 See 
    Preston, 33 Me. at 558
    , 560–63 (ruling on constitutional
    avoidance grounds that the statute should be interpreted narrowly
    to allow replevin actions to recover unlawfully confiscated alcohol);
    
    Thornton, 11 Minn. at 339
    –40 (“If a structure, intended as a milldam,
    is erected, but not used so as to flow back water to the detriment of
    any person until more than two years after the date of its erection,
    then, according to the defendant’s construction of this act, no right of
    action would exist in favor of those injured. If this is the meaning of
    (Continued)
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    ¶ 84 Accordingly, the original meaning of the Open Courts
    Clause would not limit legislative authority to prospectively enact
    statutes of repose. And because the Berry standard has engendered
    no reliance interests due to the incoherence of its content, supra ¶ 58,
    I would repudiate our contrary holding in Berry. 
    See 717 P.2d at 678-79
    (rejecting view that legislature may prospectively preclude a
    cause of action from vesting by establishing a statute of repose).
    ¶ 85 I would also recognize a substantive Open Courts Clause
    limitation on legislation retroactively limiting the time for raising a
    vested claim. That limitation would be framed by the above-cited
    the law, it would seem to be in contravention of that clause of the
    Constitution which provides that ‘every person is entitled to a
    certain remedy in the laws for all injuries or wrongs which he may
    receive in person, property or character.’ But this, we think, is not its
    meaning. The section above quoted only attempts to limit the time
    within which actions may be commenced for ‘damages occasioned
    by the erection of a milldam.’”); 
    Baker, 11 Minn. at 489
    –99 (“That he
    has been deprived of either his property, or legal rights, by that due
    process of law which ‘proceeds upon inquiry, and renders judgment
    after trial,’ cannot be pretended. If the statute should be sustained, it
    would effect this; for a person is deprived of his property and legal
    rights when he is forbidden to test or question the validity of the title
    of an adverse claimant. The statute would deprive a person of his
    property if he fails to do an act which may be done or omitted
    without any violation of law, and which neither his duty or interest
    requires him to do, and makes the performance of such act a
    condition to his rights to sue for or defend his property in the courts;
    whereas the constitution declares that he shall not be deprived of his
    property by any mere legislative act, and that he shall be entitled to
    ‘justice freely and without purchase, completely and without denial,
    promptly and without delay, conformably to the laws.’ There can be
    no difference in principle between requiring a party to bring a suit,
    pay a sum of money, or do any other act as a condition to a status in
    court, or the enjoyment of his property. That justice is not ‘free’ and
    ‘without purchase,’ within either the spirit or letter of the constitution,
    which can only be obtained on either condition. We do not mean to
    question the power of the Legislature to require a party to pay the
    necessary costs of litigation, or to prescribe rules for the guidance of
    courts and litigants, but it seems very clear that beyond this they
    cannot attach any conditions or limits to the rights that are
    guaranteed absolutely, unconditionally, freely, and certainly, by the
    constitution.” (emphasis in original)).
    43
    WAITE v. LABOR COMM’N
    Pearce, J., concurring
    cases, which ask whether the statute preserves a reasonable period
    for plaintiffs to bring claims that vested prior to the enactment of the
    statute of limitation or repose. See, e.g., 
    Baker, 11 Minn. at 494
    (“We
    have seen that the Legislature have not the right or power to deny a
    person a reasonable time within which to commence an
    action . . . .”).
    IV. PETITIONERS’ CLAIMS
    ¶ 86 The claims at issue here are premised entirely on the Berry-
    Judd theory that I would repudiate. Because the legislature once
    afforded a right to recover total disability benefits, petitioners
    contend that it could not abrogate that right through a statute of
    repose. I would reject that claim because it relies on a premise that
    has no basis in the Open Courts Clause. Petitioners do not assert that
    their claims had vested prior to the enactment of the repose statute.
    Nor could they—the provisions at issue were enacted long before
    they suffered their respective injuries.
    ¶ 87 I would accordingly affirm. I would hold that Petitioners
    failed to state a claim under our Open Courts Clause because the
    clause does not limit legislative authority to prospectively alter the
    law giving rise to legal rights.
    JUSTICE PEARCE, concurring:
    ¶ 88 Because our case law currently recognizes that the Open
    Courts Clause “embrace[s] a substantive conception of the open
    courts protection,” the result the majority reaches is correct. In re
    Adoption of B.Y., 
    2015 UT 67
    , ¶ 57, 
    356 P.3d 1215
    . And the analysis the
    majority employs remains the correct analytical model unless and
    until a party meets its burden of establishing that our prior case law
    is unworthy of stare decisis respect.
    ¶ 89 I write separately to echo the view that Justice Lee
    articulates in his separate concurrence—that our Open Courts Clause
    jurisprudence is not entitled to much stare decisis weight. I also
    write to express my admiration for Justice Lee’s research into the
    historical understanding of the meaning of the Open Courts Clause.
    Justice Lee has provided a model for the type of research and
    analysis that I would hope this court sees from parties in future
    cases.
    ¶ 90 By writing separately, I do not wish to appear critical of this
    court and its decades-long effort to definitively interpret the Open
    Courts Clause. To the contrary, the question is difficult and the
    stakes are high because it explores the often blurry lines that
    44
    Cite as: 
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                              Pearce, J., concurring
    separate the powers that the people of Utah have divided between
    the branches of their government.
    ¶ 91 But if we start from the premise that our powers are limited
    to those the Utah Constitution gives us, our need for an extra
    measure of care comes into sharp focus. If the people of Utah
    intended that the Open Courts Clause provide a guarantee against
    the elimination of remedies, and we find that they did not, we will
    read out of the Constitution an important protection that the people
    of Utah intended. If, on the other hand, we conclude we have the
    ability to strike down legislation for reasons the Utah Constitution
    never contemplated, we may find ourselves impermissibly treading
    upon territory that the people of Utah gave to the Legislature.
    ¶ 92 That consideration alone would cause me to hesitate before I
    ever considered the meaning of the Open Courts Clause to be
    definitively answered. See, e.g., Agostini v. Felton, 
    521 U.S. 203
    , 235
    (1997) (the policy rationale underlying stare decisis “is at its weakest
    when we interpret the Constitution because our interpretation can be
    altered only by constitutional amendment or by overruling our prior
    decisions”); St. Joseph Stock Yards Co. v. United States, 
    298 U.S. 38
    , 94
    (1936) (Stone and Cardozo, JJ., concurring) (“The doctrine of stare
    decisis . . . has only a limited application in the field of constitutional
    law.”); see also Jack L. Landau, Some Thoughts About Constitutional
    Interpretation, 115 PENN ST. L. REV. 837, 838 (2011) (“[I]n the case of
    state constitutional interpretation, the pull of stare decisis may not be
    as strong as it is in other contexts.”).
    ¶ 93 Our test for assessing precedential weight confirms that our
    Open Courts Clause jurisprudence is particularly susceptible to
    reexamination. In Eldridge v. Johndrow, we opined that
    [o]ur decisions have identified two broad factors that
    distinguish between weighty precedents and less
    weighty ones: (1) the persuasiveness of the authority
    and reasoning on which the precedent was originally
    based, and (2) how firmly the precedent has become
    established in the law since it was handed down. The
    second factor encompasses a variety of considerations,
    including the age of the precedent, how well it has
    worked in practice, its consistency with other legal
    principles, and the extent to which people’s reliance on
    the precedent would create injustice or hardship if it
    were overturned.
    
    2015 UT 21
    , ¶ 22, 
    345 P.3d 553
    .
    45
    WAITE v. LABOR COMM’N
    Pearce, J., concurring
    ¶ 94 As to the first factor, the history of our interpretation of the
    Open Courts Clause undercuts the persuasiveness of the authority.
    In one of our earliest opportunities to address the Open Courts
    Clause, we held that article I, section 11 required that the “courts
    must always be open to all alike” and that the Legislature could not
    “curtail[]” that access. Union Sav. & Inv. Co. v. Dist. Court, 
    140 P. 221
    ,
    225 (Utah 1914). One year later, in Brown v. Wightman, we opined
    that the clause places “a limitation upon the Legislature to prevent
    that branch of the state government from closing the doors of the
    courts against any person who has a legal right which is enforceable
    in accordance with some known remedy.” 
    151 P. 366
    , 366–67 (Utah
    1915). We also noted that the “right and power, as well as the duty,
    of creating rights and to provide remedies, lies with the Legislature,
    and not with the courts.” 
    Id. at 367.
    Soon after that, we reiterated that
    the Open Courts Clause did not permit this court to “reach out and
    usurp powers which belong to another independent and co-ordinate
    branch of the state government.” Salt Lake City v. Utah Light &
    Traction Co., 
    173 P. 556
    , 563 (Utah 1918).108 Thirty years later, in
    Masich v. United States Smelting, Refining and Mining Co., we held that
    the Open Courts Clause allowed the Legislature to eliminate a
    common law right to a remedy for an employer’s negligence that
    caused a partial disability from silicosis. 
    191 P.2d 612
    , 624–25 (Utah
    1948) (“[B]oth statutory rights and common law rights can be taken
    away, otherwise, there can be no question that acts which abolish
    actions for seduction, breach of promise, criminal conversation, and
    alienation of affections, would be unconstitutional.”).
    ¶ 95 In 1985, we dramatically changed our view of the Open
    Courts Clause. See Berry ex rel. Berry v. Beech Aircraft Corp., 
    717 P.2d 670
    (Utah 1985). The Berry court acted as if it wrote on a blank slate
    and did not even attempt to wrestle with our prior Open Courts
    Clause case law. And since that time, various members of this court
    have, with varying degrees of vehemence, assailed Berry’s test and
    its underlying reasoning. See Craftsman Builder’s Supply, Inc. v. Butler
    Mfg. Co., 
    1999 UT 18
    , ¶ 108, 
    974 P.2d 1194
    (Zimmerman, J.,
    concurring) (“I would overrule Berry.”); Laney v. Fairview City, 
    2002 UT 79
    , ¶ 85, 
    57 P.3d 1007
    (Wilkins, J., concurring in part and
    dissenting in part) (“I would overturn Berry in favor of the more
    procedural interpretation of the Open Courts Clause . . . .”); Wood v.
    _____________________________________________________________
    108Chief Justice Joseph E. Frick, whose service on the court began
    in 1906—just ten years after statehood—authored Union Savings,
    Brown, and Utah Light & Traction.
    46
    Cite as: 
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                              Pearce, J., concurring
    Univ. of Utah Med. Ctr., 
    2002 UT 134
    , ¶ 9 n.1, 
    67 P.3d 436
    (two
    members of this court agreed “that the decision in Laney to adhere to
    the Berry interpretation and test was erroneous” but applied the
    Berry test out of respect for stare decisis). The continued willingness
    of certain members of this court to dedicate pages of ink to arguing
    with Berry has undoubtedly undercut Berry’s ability to persuade. See,
    e.g., Laney, 
    2002 UT 79
    , ¶ 93 (Wilkins, J., concurring in part and
    dissenting in part) (“Clearly, the members of this court, past and
    present, do not agree that Berry is the best method for analyzing
    Open Courts challenges.”). In 2002, two members of this court
    concluded that
    the Berry interpretation of the Open Courts Clause is
    erroneous; the accompanying Berry test has proven to
    create more problems than it has solved. . . . Berry has
    proven to be unworkable over a period of 17 years, has
    not been adhered to unanimously, has been questioned
    and chastised by members of this court . . . has been
    criticized by legal scholars, and presents separation of
    powers problems.
    
    Id. ¶ 94
    (Wilkins, J., concurring in part and dissenting in part).
    ¶ 96 Perhaps because of this court’s continued public discussion
    of Berry, we have been asked on several occasions to revisit the
    holding. See, e.g., Judd v. Drezga, 
    2004 UT 91
    , ¶ 11, 
    103 P.3d 135
    ;
    Laney, 
    2002 UT 79
    , ¶ 29; Ross v. Schackel, 
    920 P.2d 1159
    , 1162 (Utah
    1996).109 Certain precedents, such as Marbury v. Madison, 
    5 U.S. 137
    (1803), have “consistently draw[n] the Court’s esteem as a pillar of
    our constitutional order.” Randy J. Kozel, Precedent and Reliance, 62
    EMORY L.J. 1459, 1476 (2013). But some “are plainly more likely than
    others to be reconsidered and overruled.” 
    Id. Our Open
    Courts
    Clause precedent falls into this latter category. The repeated dissents
    have signaled unease and the willingness of members of this court to
    reconsider our jurisprudence.
    _____________________________________________________________
    109  Our modifications to Berry also undercut the persuasiveness of
    Berry’s original reasoning. Most significantly, in Judd, this court
    abandoned heightened scrutiny for article I, section 11 challenges.
    
    2004 UT 91
    , ¶¶ 30–31. And today the majority further clarifies Judd’s
    reframing of the Berry test. See supra ¶¶ 22–24. As the amicus Board
    of Regents notes in its brief, “testing reliance is a challenge” because
    “it is difficult to know what the current test is.”
    47
    WAITE v. LABOR COMM’N
    Pearce, J., concurring
    ¶ 97 The judicial back and forth also speaks to Eldridge’s second
    factor: how firmly the precedent has become established. As noted
    above, several separate opinions have condemned Berry. See supra
    ¶ 96. The bar has been on notice that this court has continued to
    debate the meaning of the Open Courts Clause such that it would
    not create an injustice or hardship if it were overturned; at least no
    one has yet to articulate the injustice and hardship that would result
    if this court overturned Berry. All of this inclines me to conclude that
    the precedential weight of Berry and its offspring is low and that the
    constitutional meaning of the Open Courts Clause is ripe for re-
    examination in the appropriate case.
    ¶ 98 By commenting upon the state of our jurisprudence, I do not
    wish to suggest that a party seeking to overturn Berry will not have
    some lifting to do. To replace Berry, a party will need to do more
    than just convince this court that Berry does not accurately reflect the
    framers’ original intent. Rather, that party will need to convince us
    that there is a better, more correct interpretation of the Open Courts
    Clause.110 As we have noted with respect to other constitutional
    language, this requires review of the plain language informed by
    “historical evidence of the framers’ intent.” Am. Bush v. City of S. Salt
    Lake, 
    2006 UT 40
    , ¶ 10, 
    140 P.3d 1235
    . Counsel should also look to
    lessons from our common law, Utah’s “particular . . . traditions,” and
    “court decisions made contemporaneously to the framing of Utah’s
    constitution in sister states” with similar provisions in an effort to
    discern the meaning of the constitution. 
    Id. ¶ 11
    (alteration in
    original) (citation omitted).
    ¶ 99 After this case was fully briefed, we asked111 the parties
    and the Attorney General’s Office—and permitted amicus—to brief
    four questions, including article I, section 11’s original meaning. In
    response, we received well-argued and well-written briefs that
    discussed the constitution’s plain language, the interpretation of
    other states’ open courts provisions, and the historical backdrop
    _____________________________________________________________
    110 As Samuel Rayburn, former Speaker of the United States
    House of Representatives, once said, “Any jackass can kick down a
    barn, but it takes a good carpenter to build one.” See, e.g., CRAIG
    VOLDEN & ALAN E. WISEMAN, LEGISLATIVE EFFECTIVENESS IN THE
    UNITED STATES CONGRESS: THE LAWMAKERS 4 (2014).
    111   Ask is a euphemistic way to describe a supplemental briefing
    order.
    48
    Cite as: 
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                             Pearce, J., concurring
    against which the voters of Utah approved a constitution that
    contained an open courts clause.
    ¶ 100 The briefs we received are the types of briefs we need
    when presented with a question concerning the original meaning of
    constitutional language. The briefs analyze the plain meaning of the
    constitutional text, our prior case law, the interpretation other courts
    have given to similarly worded provisions in their state
    constitutions, and what lessons might be gleaned from the historical
    context. We need briefs of this quality, because without the parties’
    help, we risk engaging in what Justice Blackmun might describe as a
    “self-guided tour” of the historical record. See Griffin v. United States,
    
    502 U.S. 46
    , 60 (1991) (Blackmun, J., concurring). However, it appears
    that before we can put the debate surrounding the Open Courts
    Clause to rest, we will need to more closely examine the historical
    record.
    ¶ 101 Indeed, reviewing our Open Courts Clause case law, it
    appears that often we based our conclusions on—or at least
    buttressed our conclusions with—generalizations about Utah
    history.112 Our case law follows a pattern of asserting one, likely true,
    fact about Utah history and letting the historical analysis flow from
    that single fact. For example, in Laney, this court bolstered its
    reasoning that the Open Courts Clause provided a substantive
    guarantee by noting that the “open courts provision was adopted, as
    part of the original Constitution itself, at the end of the nineteenth
    century, during a period when abuse had generated concern and
    distrust of the legislative branch in numerous states.” 
    2002 UT 79
    ,
    ¶ 33. Similarly, some members of this court have drawn meaning
    from the observation that Utah’s early settlers were “hostile to the
    common law, lawyers, and courts” at the time the Open Courts
    Clause was drafted. Craftsman, 
    1999 UT 18
    , ¶ 132 (Zimmerman, J.,
    concurring). While I don’t presently have reason to doubt the
    general accuracy of either historical assertion, I worry that undue
    reliance on arguments based primarily upon the zeitgeist risks
    _____________________________________________________________
    112 We are apparently not alone. One commentator has opined
    that interpretations of open courts clauses across the country have
    lacked the “good historical research” that serves as “a necessary
    predicate to principled judicial interpretation.” Jonathan M.
    Hoffman, By the Course of the Law: The Origins of the Open Courts
    Clause of State Constitutions, 74 OR. L. REV. 1279, 1281 (1995).
    49
    WAITE v. LABOR COMM’N
    Pearce, J., concurring
    converting the historical record into a type of Rorschach test where
    we only see what we are already inclined to see.113
    ¶ 102 Justice Lee’s concurring opinion marks a significant
    departure from the facile historical analysis our case law has tended
    to employ. The concurrence tackles the enormous task of reviewing
    the jurisprudence existing at the time the framers of the Utah
    Constitution saw fit to include the Open Courts Clause in the draft
    constitution they put before the people of Utah and anchors its
    analysis there. As a result, the concurrence stands on much firmer
    footing than our previous attempts to ascertain the meaning of the
    Open Courts Clause. Having modeled the type of research and
    analysis we will need if we are to opine upon the original
    understanding of constitutional provisions, I am hopeful that parties
    will begin to follow suit in their briefing and in the future we can
    rule on arguments that have been thoroughly tested by the
    adversarial process.
    ¶ 103 I concur in the majority’s decision and applaud its
    recognition that its opinion does not “signal an end to [the] debate”
    concerning the meaning of the Open Courts Clause. Supra ¶ 34. I also
    applaud Justice Lee’s departure from the overly simplified historical
    arguments that became the foundation of our prior case law. Because
    of the importance of the constitutional question and the possibility
    that lessons remain for us to learn from the historical record, stare
    decisis principles should not prevent us from revisiting the Open
    Courts Clause’s meaning in the appropriate case.
    _____________________________________________________________
    113  What appears to be missing from our jurisprudence is
    reference to direct historical evidence or primary source material.
    There are a couple of possible explanations. First, it is possible that it
    doesn’t exist—that, to the extent the framers of the Utah Constitution
    had any thoughts about how the Open Courts Clause should be
    interpreted, they have been lost to the fogs of time. Second, it is
    possible that we haven’t looked, or looked with enough diligence, in
    the right places. We are attorneys and judges, not historians. I would
    encourage those using the historical record to endeavor to go beyond
    what we have previously referenced, because, as one commentator
    has noted, “[t]he cure for poor historical analysis is to try to do it
    better, not to ignore history altogether.” Hoffman, By the Course of
    Law, supra note 112 at 1283.
    50
    

Document Info

Docket Number: Case No. 20150384

Judges: Durrant, Durham, Himonas

Filed Date: 12/1/2017

Precedential Status: Precedential

Modified Date: 3/2/2024

Authorities (33)

Perce v. Hallett ( 1881 )

Spalding v. Bainbridge ( 1879 )

St. Joseph Stock Yards Co. v. United States ( 1936 )

Marbury v. Madison ( 1803 )

Griffin v. United States ( 1991 )

Agostini v. Felton ( 1997 )

Laney v. Fairview City ( 2002 )

Lee v. Gaufin ( 1993 )

Wood v. University of Utah Medical Center ( 2002 )

Sun Valley Water Beds of Utah, Inc. v. Herm Hughes & Son, ... ( 1989 )

Hipwell by and Through Jensen v. Sharp ( 1993 )

State v. Thomas ( 1998 )

Eldridge v. Johndrow ( 2015 )

In Re Adoption of B.Y. ( 2015 )

Hirpa v. IHC Hospitals, Inc. ( 1997 )

Sheppick v. Albertson's, Inc. ( 1996 )

Aetna Life Ins. Co. v. Ind. Comm. of Utah ( 1929 )

Craftsman Builder's Supply, Inc. v. Butler Manufacturing Co. ( 1999 )

Petersen v. Utah Labor Comm'n ( 2017 )

Utah Stream Access Coal. v. Orange St. Dev. ( 2017 )

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