Rutherford v. Talisker Canyons Fin., Co. ( 2019 )


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  •                This opinion is subject to revision before final
    publication in the Pacific Reporter
    
    2019 UT 27
    IN THE
    SUPREME COURT OF THE STATE OF UTAH
    PHILIP RUTHERFORD and WENDY RUTHERFORD,
    Respondents,
    v.
    TALISKER CANYONS FINANCE, CO., LLC; ASC UTAH, LLC; and
    SUMMIT SKI TEAM, INC.,
    Petitioners.
    No. 20140917
    Filed June 27, 2019
    On Certiorari to the Utah Court of Appeals
    Third District, Summit County
    The Honorable Todd M. Shaughnessy
    No. 100500564
    Attorneys:
    David A. Cutt, David S. Kottler, Salt Lake City, for respondents
    Justin J. Keys, Eric P. Lee, Park City, Timothy C. Houpt, Salt Lake
    City, for petitioners
    JUSTICE HIMONAS authored the opinion of the Court in which
    CHIEF JUSTICE DURRANT, JUSTICE PEARCE, and JUSTICE PETERSEN
    joined, and which ASSOCIATE CHIEF JUSTICE LEE joined as to Part I.
    ASSOCIATE CHIEF JUSTICE LEE authored an opinion dissenting in
    part.
    RUTHERFORD v. TALISKER
    Opinion of the Court
    JUSTICE HIMONAS, opinion of the Court:
    INTRODUCTION
    ¶1 Young Levi Rutherford crashed and was injured when he
    skied into a patch of thick, wet, machine-made snow. His parents
    brought claims for negligence and premises liability on his behalf
    against Talisker Canyons Finance Company and ASC Utah
    (collectively, Talisker). Talisker asks us to hold that the
    Rutherfords’ claims are barred by (1) a release of liability signed by
    Levi’s father or, alternatively, (2) Utah’s Inherent Risks of Skiing
    Act, Utah Code sections 78B-4-401 to -404 (the Act). We decline
    Talisker’s invitations.
    ¶2 Two of our decisions compel this result. First, in Hawkins
    ex rel. Hawkins v. Peart, 
    2001 UT 94
    , 
    37 P.3d 1062
    , superseded by
    statute as stated in Penunuri v. Sundance Partners, Ltd., 
    2013 UT 22
    ,
    
    301 P.3d 984
    , 1 we unambiguously declared that it would violate
    public policy to allow a parent to “release a minor’s prospective
    claim for negligence.” 
    Id. ¶ 10.
    Second, in Clover v. Snowbird Ski
    Resort, 
    808 P.2d 1037
    (Utah 1991), we unanimously held that claims
    for injuries caused by “inherent risks of skiing” are barred only to
    the extent that the risk was integral to the sport of skiing. 
    Id. at 1044–45.
    And three years later we loudly reaffirmed our
    commitment to Clover in White v. Deseelhorst, 
    879 P.2d 1371
    (Utah
    1994), abrogated on other grounds by Penunuri v. Sundance Partners,
    Ltd., 
    2017 UT 54
    , 
    423 P.3d 1150
    . Today, Talisker asks us to abandon
    our holding in Clover and turn turtle three decades of precedent
    and the settled expectations of skiers and the ski industry in favor
    of an alternate approach to interpreting the Act. But because of our
    established practices in statutory construction and precedential
    decisions in Clover and White, we reject this substitute construction.
    ¶3 Instead, we hold that Talisker has not convinced us that
    Clover was wrong, much less met its heavy burden to persuade us
    to overturn such weighty precedent. We therefore uphold the court
    of appeals’ decision that the district court was correct to apply
    Clover. We do, however, take this opportunity to streamline the
    1  Hawkins has been superseded by statute—Limitations on
    Liability for Equine and Livestock Activities, Utah Code sections
    78B-4-201 to -203—albeit only with respect to defined equine and
    livestock activities. See infra ¶¶ 21–22.
    2
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                            Opinion of the Court
    implementation of Clover’s holding and remand this case to the
    district court with instructions to apply Clover in a manner
    consistent with this opinion. We also agree with the court of
    appeals’ conclusion to affirm the district court’s partial grant of
    summary judgment to the Rutherfords, finding the release
    unenforceable under Utah law—although we do so for reasons
    other than those stated by the court of appeals.
    BACKGROUND
    ¶4 Ten-year-old Levi Rutherford was a member of the
    Summit Ski Team, an affiliate of the United States Ski and
    Snowboard Association (USSA), during the 2009–2010 winter
    season. Levi was an advanced skier who regularly skied “on the
    double blacks, which were the expert runs.” Levi’s father signed
    him up for the team online in the fall of 2009. In the process, Levi’s
    father signed an “Assumption of Risk and Release of Liability” on
    Levi’s behalf. The release purported to waive Levi’s right to sue
    USSA, the ski team, and any ski area operator for any injury due to
    any reason, including the negligence of one of the above-named
    entities. 2
    2  The Rutherfords argue that the “Assumption of Risk and
    Release of Liability” submitted by Talisker is not the one that Levi’s
    father signed. In the district court, USSA submitted an affidavit
    declaring that the release submitted was the one signed by Levi’s
    father. Levi’s father submitted an affidavit stating that while he
    “recall[s] reading at least part of a release page on USSA’s
    website,” he “do[es] not recall signing the” release submitted by
    USSA. We do not find any dispute of material fact as Levi’s father
    claims only that he does not remember signing this specific release,
    while USSA presented evidence that he did approve the release. A
    failure of memory does not create a disputed fact. See Hemphill v.
    State Farm Mut. Auto. Ins. Co., 
    805 F.3d 535
    , 541 (5th Cir. 2015)
    (“Lack of memory by itself is insufficient to create a genuine
    dispute of fact.”); Shiozawa v. Duke, 
    2015 UT App 40
    , ¶ 26, 
    344 P.3d 1174
    (finding no dispute of fact when witness “testified only that
    he did not remember” a specific fact). This remains true here,
    particularly given that, on review of cross-motions for summary
    judgment, “we view the facts in the light most favorable to
    (cont.)
    3
    RUTHERFORD v. TALISKER
    Opinion of the Court
    ¶5 On January 15, 2010, Levi’s parents dropped him off at The
    Canyons ski resort for ski team practice. 3 Levi met up with his
    coaches, who told him to take a warmup run while they set up
    gates for training on the Retreat run. At this time, multiple
    snow-making machines were in operation on Retreat. The coaches
    did not ask The Canyons to turn off the snow-making machines
    because “in the past [The Canyons] kept running the snow guns
    until they saw that people were up there . . . and then they would
    shut them off when they saw that [the ski team] was on that run.”
    The coach in charge of training that day testified in her deposition
    that she would not have had the team ski through the gates if the
    snow-making machines were still running by the time the course
    was set up “[b]ecause of [the] bad visibility and inconsistent snow.”
    ¶6 Levi took his warm up on Retreat while the snow-making
    machines were in operation, making visibility poor. Warning signs
    were posted at the top of the run, stating: “snowmaking in
    progress.” Despite the warning, Levi headed down Retreat without
    making turns. He went into a tuck position with his knees bent, his
    poles tucked under his arms, and his head near his knees. Near the
    bottom of the run, Levi ran into a mound of sticky, wet,
    machine-made snow that was roughly a foot high, which caused
    him to crash. Levi sustained a brain injury from the crash.
    ¶7 The Rutherfords filed suit on Levi’s behalf against the ski
    team and Talisker. After discovery, the parties filed multiple
    cross-motions for summary judgment. At issue here are the
    motions concerning whether the Rutherfords’ claims for negligence
    and premises liability against Talisker are barred either by the
    release signed by Levi’s father or by the Act.
    ¶8 Regarding the arguments for the release, the district court
    read this court’s precedent in Rothstein v. Snowbird Corp., 
    2007 UT 96
    , 
    175 P.3d 560
    , as meaning that all preinjury releases for
    recreational skiing are unenforceable, while, pursuant to Berry v.
    Greater Park City Co., 
    2007 UT 87
    , 
    171 P.3d 442
    , abrogated on other
    [Talisker, as] the losing party.” Keith v. Mountain Resorts Dev.,
    L.L.C., 
    2014 UT 32
    , ¶ 16 n.10, 
    337 P.3d 213
    .
    3  Both defendants Talisker Canyons Finance Company and ASC
    Utah were doing business as The Canyons at the time the events in
    this case took place.
    4
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                            Opinion of the Court
    grounds by Penunuri v. Sundance Partners, Ltd., 
    2017 UT 54
    , 
    423 P.3d 1150
    , preinjury releases for competitive skiing are enforceable.
    Based on this understanding, the district court held that the
    preinjury release signed by Levi’s father was unenforceable
    because the type of skiing Levi was engaged in at the time he
    crashed was more similar to recreational skiing than competitive
    skiing. The district court alternatively held that the release was
    unenforceable under Hawkins ex rel. Hawkins v. Peart, which held
    that a preinjury release signed by a parent on behalf of a minor was
    unenforceable for violating Utah public policy. 
    2001 UT 94
    , 
    37 P.3d 1062
    , superseded by statute as stated in Penunuri v. Sundance Partners,
    Ltd., 
    2013 UT 22
    , 
    301 P.3d 984
    . 4
    ¶9 The district court also denied Talisker’s motion in which it
    argued that the Act’s machine-made snow exemption 5 barred the
    Rutherfords’ claims. The court held that, pursuant to Clover v.
    Snowbird Ski Resort, 
    808 P.2d 1037
    (Utah 1991), there was a disputed
    question of material fact as to whether a skier wished to confront
    sticky, wet, machine-made snow from a machine that was allegedly
    4  As previously noted, supra ¶ 2 n.1, and as stated in Penunuri v.
    Sundance Partners, Ltd., 
    2013 UT 22
    , 
    301 P.3d 984
    , Hawkins has been
    superseded by statute, Limitations on Liability for Equine and
    Livestock Activities, Utah Code sections 78B-4-201 to -203. And at
    first glance, the district court’s ruling appears to be in potential
    conflict with Penunuri. This is not the case. On October 15, 2012, the
    district court ruled on the enforceability of the release, which relied
    on our holding in Hawkins. Penunuri, which acknowledged that the
    amended statute “effectively overrule[d] our conclusion in
    Hawkins,” was not issued until April 9, 2013. 
    2013 UT 22
    , ¶ 21 n.43.
    The Rutherfords argue that we can and should reconcile our
    holdings in Hawkins and Penunuri in this case by holding that “pre-
    injury releases signed by a parent on behalf of a minor are void and
    unenforceable as contrary to public policy,” and that this rule is
    altered only when “a statute is amended to” make such releases
    enforceable. We agree. See infra ¶¶ 21–22.
    5The Act’s “machine-made snow exemption” refers to Utah
    Code section 78B-4-402(1)(b), which includes “machine-made
    snow” in the Act’s exemplary list of the “inherent risks of skiing.”
    5
    RUTHERFORD v. TALISKER
    Opinion of the Court
    “not functioning properly” and whether that risk could be
    eliminated through the exercise of reasonable care.
    ¶10 Talisker appealed the district court’s partial grant of the
    Rutherfords’ motion for summary judgment and its denial of
    Talisker’s motion for summary judgment. The court of appeals
    affirmed the district court’s rulings.
    ¶11 With respect to the preinjury release, it affirmed on the
    ground that the 2006 amendment to the Act, coupled with our
    analysis in Rothstein, effectively overruled Berry and eliminated the
    distinction between preinjury releases for recreational and
    competitive skiing, making both types of releases unenforceable.
    Rutherford ex rel. Rutherford v. Talisker Canyons Fin. Co., 
    2014 UT App 190
    , ¶¶ 34–35, 
    333 P.3d 1266
    . Additionally, the court of appeals
    “reject[ed] the trial court’s determination that the . . . release is
    unenforceable because it was signed by a parent on behalf of a
    minor; rather, the release is unenforceable based on the Act’s policy
    statement.” 
    Id. ¶ 30.
    We granted certiorari to review the court of
    appeals’ decision. Based on our review, we hold that the court of
    appeals reached the correct result, but that its declaration that
    preinjury releases signed by parents on behalf of children do not
    generally offend Utah’s public policy was in error.
    ¶12 The court of appeals also affirmed the district court’s
    ruling with respect to the Act’s machine-made snow exemption,
    stating that there is a “question[] of fact regarding the applicability
    of the machine-made snow exemption” in the Act. 
    Id. ¶ 18.
    We
    affirm the court of appeals’ and the district court’s reliance on
    Clover in making this determination. However, we take this
    opportunity to clarify the implementation of Clover’s core holding
    and therefore remand this case to the district court to make a
    determination under Clover consistent with this opinion.
    ¶13 We exercise jurisdiction under Utah Code section
    78A-3-102(3)(a).
    STANDARD OF REVIEW
    ¶14 On certiorari, we review the decision of the court of
    appeals for correctness, “giving no deference to its conclusions of
    law.” State v. Harker, 
    2010 UT 56
    , ¶ 8, 
    240 P.3d 780
    (citation omitted)
    (internal quotation marks omitted). “Additionally, [with respect to
    the decision of the district court,] we ‘apply the same standard of
    review used by the court of appeals.’” Energy Claims Ltd. v. Catalyst
    6
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                            Opinion of the Court
    Inv. Grp. Ltd., 
    2014 UT 13
    , ¶ 17, 
    325 P.3d 70
    (citation omitted). And
    when, as here, “there are cross-motions for summary judgment, we
    view the facts in the light most favorable to the losing party.” Keith
    v. Mountain Resorts Dev., L.L.C., 
    2014 UT 32
    , ¶ 16 n.10, 
    337 P.3d 213
    (citation omitted).
    ANALYSIS
    ¶15 We first examine whether the release is enforceable. It is
    not. Absent a relevant, contrary expression of intent from the
    legislature, we adhere to our pronouncement in Hawkins ex rel.
    Hawkins v. Peart that a parent cannot release his or her minor child’s
    prospective claims for negligence. 
    2001 UT 94
    , 
    37 P.3d 1062
    ,
    superseded by statute as stated in Penunuri v. Sundance Partners, Ltd.,
    
    2013 UT 22
    , 
    301 P.3d 984
    .
    ¶16 Second, we turn to interpreting the Act, relying on our
    time-honored tools of stare decisis and statutory interpretation. For
    purposes of our opinion today, we begin with our precedential
    tools. We do so because in Clover v. Snowbird Ski Resort, 
    808 P.2d 1037
    (Utah 1991), this court has already done much of the
    important work of interpreting the Act. And we find its reasoning
    both reasonable and persuasive, especially in light of the ambiguity
    in the Act’s construction and the historical context in which it was
    enacted. With this in mind, and in accord with our case law, we see
    no reason to abandon the Clover court’s core interpretation of the
    Act.
    ¶17 We do, however, take this opportunity to clarify the test
    announced in Clover in a way that implements the core holding of
    Clover by simplifying Clover’s two-prong subjective–objective
    inquiry into a one-step objective inquiry. We believe this
    clarification respects both the core holding of Clover and the
    language of the Act. Accordingly, we remand this case to the
    district court for a ruling consistent with this opinion.
    I. PREINJURY RELEASES SIGNED ON BEHALF OF MINOR
    CHILDREN VIOLATE PUBLIC POLICY
    ¶18 The release signed by Levi’s father violates public policy
    and is not enforceable. “Preinjury releases from liability for one’s
    negligence pit two bedrock legal concepts against one another: the
    right to order one’s relationship with another by contract and the
    obligation to answer in damages when one injures another by
    breaching a duty of care.” Rothstein v. Snowbird Corp., 
    2007 UT 96
    ,
    7
    RUTHERFORD v. TALISKER
    Opinion of the Court
    ¶ 6, 
    175 P.3d 560
    . With this tension in mind, we have stated that
    preinjury releases are enforceable unless the party challenging the
    release establishes an exception to that rule. Pearce v. Utah Athletic
    Found., 
    2008 UT 13
    , ¶ 14, 
    179 P.3d 760
    (“[P]eople may contract away
    their rights to recover in tort for damages caused by the ordinary
    negligence of others.”) abrogated on other grounds by Penunuri v.
    Sundance Partners, Ltd., 
    2017 UT 54
    , 
    423 P.3d 1150
    ; Berry v. Greater
    Park City Co., 
    2007 UT 87
    , ¶ 12, 
    171 P.3d 442
    (“[A] person should
    retain the power to contract away the right to recover damages for
    the negligence of another” but that right is “subject to many
    conditions and limitations.”), abrogated on other grounds by Penunuri,
    
    2017 UT 54
    .
    ¶19 Preinjury releases are generally governed by contract law.
    Hawkins ex rel. Hawkins v. Peart, 
    2001 UT 94
    , ¶ 5, 
    37 P.3d 1062
    (“[P]arties may obtain contractual releases from liability for
    negligent action . . . where one party agrees to release the other
    from liability for future injuries.”); Jacobsen Constr. Co. v. Structo Lite
    Eng’g, Inc., 
    619 P.2d 306
    , 310 (Utah 1980) (noting that “the field of
    contract law is more than adequate to deal with” preinjury
    releases). Nevertheless, preinjury releases remain subject to several
    exceptions. We have previously identified three such exceptions to
    preinjury release enforceability: “(1) releases that offend public
    policy . . . (2) releases for activities that fit within the public interest
    exception . . . and (3) releases that are unclear or ambiguous.”
    Pearce, 
    2008 UT 13
    , ¶ 14 (citations omitted). And while some
    jurisdictions conflate the public interest and public policy
    exceptions, 6 we have expressly distinguished the two in the context
    of preinjury releases. See id.; see also Penunuri v. Sundance Partners,
    Ltd., 
    2013 UT 22
    , ¶ 25, 
    301 P.3d 984
    .
    6 See, e.g., Brown v. Soh, 
    909 A.2d 43
    , 48 (Conn. 2006) (applying
    Tunkl public interest factors to determine whether “contract[]
    violate[d] public policy” (citation omitted) (internal quotation
    marks omitted)); Ash v. N.Y. Univ. Dental Ctr., 
    564 N.Y.S.2d 308
    , 313
    (N.Y. App. Div. 1990) (applying Tunkl public interest factors but
    holding that release was “invalid as a matter of public policy”);
    Olson v. Molzen, 
    558 S.W.2d 429
    , 432 (Tenn. 1977) (analyzing release
    under “public interest” factors but holding that release was
    “contrary to public policy”).
    8
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                             Opinion of the Court
    ¶20 Our public interest exception applies the six-factor test
    found in Tunkl v. Regents of University of California, 
    383 P.2d 441
    ,
    444–47 (Cal. 1963), which was adopted in Berry, 
    2007 UT 87
    , ¶ 15,
    and further analyzed in Pearce, 
    2008 UT 13
    , ¶¶ 16–21. In contrast,
    the public policy exception remains “a doctrine of vague and
    variable quality” based on “constitutional or statutory provisions
    or the common law.” Penunuri, 
    2013 UT 22
    , ¶ 26 (citations omitted)
    (internal quotations marks omitted). This delineation between the
    two standards is necessary to maintain the “fluid nature” of the
    public policy defense, available in other contract claims, and to
    avoid the conflation of that defense with the six Tunkl factors. Cf.
    Wolf v. Ford, 
    644 A.2d 522
    , 527 (Md. 1994). 7
    ¶21 In the context of releases signed by parents on behalf of
    minors, we have unambiguously held that preinjury releases for
    negligence violate public policy. See Hawkins, 
    2001 UT 94
    , ¶ 13. We
    based our conclusion on a number of observations, all of which
    remain equally forceful today. First, Talisker “has cited no source of
    law, and we are aware of none, granting parents in Utah a
    general[,] unilateral right to compromise or release a child’s
    existing causes of action without court approval or appointment to
    that effect.” 
    Id. ¶ 11.
    Quite to “the contrary, Utah law provides
    various checks on parental authority to ensure a child’s interests
    are protected.” 
    Id. Indeed, “[u]nder
    the Uniform Probate Code, for
    example, when a minor has a cause of action, the minor or another
    7   To address such concerns, some of the jurisdictions that
    conflate public interest and public policy do not limit their public
    policy exception to the six factors laid out in Tunkl. See 
    Brown, 909 A.2d at 48
    (holding that a “totality of the circumstances” test is to
    be applied, which may include analysis of the six factors); 
    Wolf, 644 A.2d at 527
    (stating that the six factors may be “considered by a
    court in determining whether a given transaction involves public
    interest, but the six factors are not conclusive”); Vodopest v.
    MacGregor, 
    913 P.2d 779
    , 786 (Wash. 1996) (en banc) (stating that
    the Tunkl factors “are not the exclusive considerations to which a
    court may look in the determination of public policy”). Even Tunkl
    itself states that “[n]o definition of the concept . . . can be contained
    within the four corners of a formula;” rather, the six factors are
    merely a “rough outline” of when an “exculpatory provision[] will
    be held 
    invalid.” 383 P.2d at 444
    –45.
    9
    RUTHERFORD v. TALISKER
    Opinion of the Court
    person interested in the minor’s welfare may petition for the
    appointment of a conservator.” Id.; see also UTAH CODE § 75-5-404.
    “Significantly, a parent may act as a minor’s conservator, not as a
    matter of right, but only when appointed by the court.” Hawkins,
    
    2001 UT 94
    , ¶ 11; see also UTAH CODE § 75-5-410(1). Furthermore,
    “we see little reason to base the validity of a parent’s contractual
    release . . . on the timing of [the] injury. Indeed, the law generally
    treats preinjury releases . . . with greater suspicion than postinjury
    releases.” Hawkins, 
    2001 UT 94
    , ¶ 13. 8
    ¶22 Talisker raises but one argument in opposition. According
    to Talisker, by superseding Hawkins with respect to certain equine
    and livestock activities, the legislature has made clear that
    preinjury releases signed by parents on behalf of their children do
    not offend public policy. Talisker’s logic does not follow, and this
    argument may hurt Talisker’s case more than it helps. Indeed, it is
    difficult to logically conclude that the legislature’s decision to allow
    for preinjury releases by parents for minors in one very narrow
    area translates to a general policy that all such preinjury releases
    are valid. The conclusion that the legislature meant to say that
    preinjury releases signed by parents for minors are valid only in the
    unique context of equine activities is equally likely. In short, the
    legislature’s action sheds no light on its view of the public policy
    surrounding the larger question, and, absent any positive signal
    from the legislature, we are loath to forsake Hawkins and its
    reasoning.
    8 Just as at the time we handed down Hawkins, the view that
    parental releases are not enforceable appears to continue to enjoy
    the support of a large majority of jurisdictions to take up the issue.
    See Hawkins, 
    2001 UT 94
    , ¶ 10 (“A clear majority of courts treating
    the issue have held that a parent may not release a minor’s
    prospective claim for negligence.”); see also Rosen v. B.J.’s Wholesale
    Club, Inc., 
    51 A.3d 100
    , 107 (Md. Ct. Spec. App. 2012) (“[W]e find
    that a substantial majority of the state courts that have squarely
    considered whether a release agreement may bar future negligence
    claims of a child have held that such agreements are invalid and
    unenforceable on public policy grounds.”), rev’d, 
    80 A.3d 345
    (Md.
    2013).
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                             Opinion of the Court
    ¶23 Having concluded that the preinjury release Levi’s father
    signed on Levi’s behalf does not preclude the Rutherfords’ claims,
    we turn to Talisker’s argument that the Act stands as a bar to the
    Rutherfords’ claims.
    II. CLOVER IS ENTITLED TO STARE DECISIS RESPECT
    ¶24 The district court denied Talisker’s motion for summary
    judgment on the issue of negligence and premises liability based on
    this court’s decision in Clover v. Snowbird Ski Resort, 
    808 P.2d 1037
    (Utah 1991), holding that there remained an issue of disputed
    material fact regarding the Act’s machine-made snow exemption
    that precluded summary judgment. The court of appeals affirmed
    the denial on the same grounds. See Rutherford ex rel. Rutherford v.
    Talisker Canyons Fin. Co., 
    2014 UT App 190
    , ¶ 18, 
    333 P.3d 1266
    .
    ¶25 In a supplemental briefing order, we invited the parties to
    brief the court on whether the test set forth in Clover should be
    repudiated or modified in any way. We also invited the parties to
    brief the court on what role stare decisis should play in
    consideration of that question.
    ¶26 Having considered the parties’ arguments and reviewed
    Clover at great length, we now hold that Clover should not be
    repudiated. Instead, we offer clarification on the implementation of
    Clover’s holding. Principles of stare decisis compel this result.
    A. Stare Decisis Framework
    ¶27 “[W]e do not overrule our precedents lightly.” State v.
    Guard, 
    2015 UT 96
    , ¶ 33, 
    371 P.3d 1
    (citations omitted) (internal
    quotation marks omitted). The stability and legitimacy of our legal
    system requires us to undertake the review of precedents in a spirit
    of deference and humility. See State v. Walker, 
    2011 UT 53
    , ¶ 68, 
    267 P.3d 210
    (Lee, J., concurring); see also Learned Hand, The Spirit of
    Liberty, in THE SPIRIT OF LIBERTY: PAPERS AND ADDRESSES OF LEARNED
    HAND 189, 190 (Irving Dillard ed., 3d ed. 1960) (“The spirit of
    liberty is the spirit which is not too sure that it is right.”).
    Concomitantly, “[t]hose asking us to overturn prior precedent have
    a substantial burden of persuasion.” Met v. State, 
    2016 UT 51
    , ¶ 43,
    
    388 P.3d 447
    (quoting State v. Menzies, 
    889 P.2d 393
    , 398 (Utah
    1994), superseded by constitutional amendment as stated in State v. Legg,
    
    2018 UT 12
    , 
    417 P.3d 592
    ) (internal quotation marks omitted). And
    as a result, “unless and until a party meets its burden of
    establishing that our prior case law is unworthy of stare decisis
    11
    RUTHERFORD v. TALISKER
    Opinion of the Court
    respect,” Waite v. Labor Comm’n, 
    2017 UT 86
    , ¶ 88, 
    416 P.3d 635
    (Pearce, J., concurring) (emphasis added), we do not overturn
    “weighty precedent[],”Eldridge v. Johndrow, 
    2015 UT 21
    , ¶ 22, 
    345 P.3d 553
    ; see also Neese v. Utah Bd. of Pardons & Parole, 
    2017 UT 89
    ,
    ¶ 57, 
    416 P.3d 663
    (“We . . . don’t overrule our precedents unless
    they’ve proven to be unpersuasive and unworkable, create more
    harm than good, and haven’t created reliance interests.”). Indeed,
    “[t]o reverse course, we require as well what we have termed a
    ‘special justification’—over and above the belief ‘that the precedent
    was wrongly decided.’ . . . What is more, stare decisis carries
    enhanced force when a decision . . . interprets a statute.” Kimble v.
    Marvel Entm’t, LLC, 
    135 S. Ct. 2401
    , 2409 (2015) (citation omitted). 9
    9  Our case law, and case law from around the country, has
    engaged with the idea that a court’s interpretation of a legislative
    enactment is subject to heightened stare decisis. See Hackford v. Utah
    Power & Light Co., 
    740 P.2d 1281
    , 1283 (Utah 1987) (Zimmerman, J.)
    (noting that in determining whether to overturn a prior decision,
    “[t]he answer must take into account the fact that we are not
    dealing with an interpretation of the common law . . . [;] [r]ather we
    are dealing with an interpretation of a statute”); 
    id. at 1288
    (Howe,
    J., concurring in result) (“The doctrine of stare decisis, weighty in
    any context, is especially so in matters of statutory construction.”
    (emphasis added) (citation omitted) (internal quotation marks
    omitted)), superseded on other grounds by statute as stated in Benda v.
    Roman Catholic Bishop of Salt Lake City, 
    2016 UT 37
    , 
    384 P.3d 207
    ; see
    also A.C. Fin., Inc. v. Salt Lake Cty., 
    948 P.2d 771
    , 775 (Utah 1997)
    (affirming Hackford factors considered in overruling precedent
    concerning statutory interpretation); Dep’t of Human Servs. v. Jacoby,
    
    1999 UT App 52
    , ¶ 19, 
    975 P.2d 939
    (noting that in interpreting a
    statute, “we consider not only the legislative intent but also the
    gloss judicial precedent attaches to the statute” (citing 
    Hackford, 740 P.2d at 1283
    )); accord Perry v. State, 
    741 A.2d 1162
    , 1195 (Md. 1999)
    (“[C]onsiderations of stare decisis weigh heavily in the area of
    statutory construction, especially where the legislature is free to
    change the court’s interpretation of its legislation . . . .” (citation
    omitted) (internal quotation marks omitted)); Conway v. Town of
    Wilton, 
    680 A.2d 242
    , 254 (Conn. 1996) (“Our decision that we
    should not overrule precedent unless cogent reason and
    inescapable logic require it has particular force when the precedent
    involved concerns the interpretation or construction of a statute.”).
    (cont.)
    12
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                            Opinion of the Court
    To be clear, “an argument that we got something wrong—even a
    good argument to that effect—cannot by itself justify scrapping
    settled precedent. Or otherwise said, it is not alone sufficient that
    we would decide a case differently now than we did then.” 
    Id. ¶28 In
    evaluating the weight that we should afford our
    precedents, we look primarily to two factors. First, we examine “the
    persuasiveness of the authority and reasoning on which the
    precedent was originally based.” Eldridge, 
    2015 UT 21
    , ¶ 22. In the
    context of statutory interpretation, “this means we consider
    whether the prior interpretation is ‘[]reasonable given the statutory
    framework in existence at that time.’” State v. Robertson, 
    2017 UT 27
    ,
    ¶ 31, 
    438 P.3d 491
    (alteration in original) (quoting A.C. Fin., Inc. v.
    Salt Lake Cty., 
    948 P.2d 771
    , 775 (Utah 1997)). Second, we determine
    “how firmly the precedent has become established in the law since
    it was handed down.” Eldridge, 
    2015 UT 21
    , ¶ 22; see also Robertson,
    
    2017 UT 27
    , ¶ 34 (“The second factor we consider in deciding
    whether to overrule a prior interpretation of a statute is ‘the degree
    to which that interpretation has worked itself into the state of the
    What some scholars have termed the “super stare decisis” owed
    to statutory precedents promotes a close and fruitful dialogue
    between the legislature and the courts. William N. Eskridge, Jr.,
    Overruling Statutory Precedents, 76 GEO. L.J. 1361, 1362 (1988)
    (“Statutory precedents . . . often enjoy a super-strong presumption
    of correctness.”). We have often encouraged such dialogue as a
    means of enhancing the effectiveness, legitimacy, and wisdom of
    our government. See, e.g., Living Rivers v. Exec. Dir. of the Utah Dep’t
    of Envtl. Quality, 
    2017 UT 64
    , ¶ 31 n.1, 
    417 P.3d 57
    (“We would
    welcome clarification from the legislature . . . .”); Jones v. Barlow,
    
    2007 UT 20
    , ¶ 61 n.4, 
    154 P.3d 808
    (“[T]his court engages in a
    dialogue with the legislature . . . .”). The legislature can preempt a
    field in which the judiciary has interpreted ambiguous language by
    enacting statutes that run contrary to our holdings. When the
    legislature instead re-enacts a statute without altering the
    ambiguous provisions, this conversation between the legislative
    and judicial branches is strong evidence that the legislature agrees
    with the court’s interpretation.
    While the extent to which this doctrine exists in our law may be
    somewhat of an open question, we note its general existence and
    the force of the logic behind its application.
    13
    RUTHERFORD v. TALISKER
    Opinion of the Court
    law.’” (quoting A.C. Fin. Inc. v. Salt Lake Cty., 
    948 P.2d 771
    , 775
    (Utah 1997))). In evaluating how firmly precedent has become
    established in the law, we look to a variety of factors including the
    age of the precedent, the public reliance on the precedent, the
    workability of the precedent, and the consistency of the precedent
    with other principles of law. See Eldridge, 
    2015 UT 21
    , ¶¶ 34–40; see
    also Robertson, 
    2017 UT 27
    , ¶¶ 34–38 (noting that we inquire
    whether “more good than harm will come by departing from
    precedent” and that this inquiry is informed by policy arguments
    and “practical factors” (citations omitted) (internal quotation marks
    omitted)). “Ultimately, we are concerned with whether overruling
    our precedent would upend broad swaths of the legal landscape.”
    Robertson, 
    2017 UT 27
    , ¶ 34. We therefore hold Talisker to a heavy
    burden in this case.
    B. Stare Decisis Applied to Clover
    ¶29 In Clover, this court unanimously rejected the notion that
    the Act categorically bars recovery for injury caused by risks
    enumerated in the Act’s exemplary 
    list. 808 P.2d at 1047
    . Instead,
    Clover held that there is a secondary inquiry required to determine
    whether the injury-causing enumerated risk is truly an inherent
    risk—and therefore a risk for which the skier cannot bring a
    claim—under the Act. 
    Id. at 1044–45.
    To implement this holding,
    Clover identified two categories of risks that it considered to be
    inherent risks within the meaning of the Act: (1) “risks . . . which
    skiers wish to confront as an essential characteristic of skiing” and
    (2) “hazards which no one wishes to confront but cannot be
    alleviated by the use of reasonable care on the part of a ski resort.”
    
    Id. at 1047.
    In other words, courts must undertake a secondary
    inquiry—a “case-by-case” analysis informed by the two categories
    of inherent risks—to determine if the injury-causing risk is properly
    understood as an inherent risk of skiing within the meaning of the
    Act. 
    Id. at 1045.
        ¶30 While perhaps the implementation of this holding could
    have been more clearly articulated, the essential holding of Clover—
    that a secondary inquiry is required to determine whether risks
    enumerated in the Act constitute inherent risks of skiing as the
    legislature intended inherent risks to be understood—commands
    deference under stare decisis given the persuasiveness of its
    reasoning and the extent to which it has firmly established itself in
    the law. Based on the required stare decisis analysis, we conclude
    14
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                             Opinion of the Court
    that Talisker has been unable to meet the heavy burden necessary
    for us to overturn Clover. We now address each element of our stare
    decisis test.
    1. Persuasiveness
    ¶31 We find that the Clover court’s construction of the Act is
    persuasive. The Clover court correctly apprehended that the
    legislature intended the exemplary risks to be understood in the
    context of the Act as a whole and against the backdrop of the sport
    of skiing, affording them a common sense meaning. Understood in
    this way, the exemplary risks present textbook examples of the
    inherent risks of skiing and are never “subject to elimination,” as
    the dissent laments. Infra ¶ 114.
    ¶32 First, Clover’s construction ensured that the modifier
    “integral part” was given effect while also avoiding the pitfall of
    turning the list of enumerated risks into a nullity. Second, its
    interpretation avoided a parade of absurd consequences and
    comported with the codified purpose of the Act. 10 Finally, Clover’s
    interpretation respected the canon of constitutional avoidance.
    Clover recognized that, unless the Act was construed to allow suits
    arising from the negligence of ski area operators—i.e., from any
    risks that were not integral to the sport—the statute would
    effectively abolish the negligence cause of action against ski area
    operators. And this, in turn, could violate the Open Courts Clause
    of the Utah Constitution, which would require the court to strike
    down the Act.
    a. Clover’s Statutory Construction Analysis
    ¶33 The Clover court began its statutory analysis with a plain
    language puzzle posed by the Act. On the one hand, the statute
    includes a non-exhaustive exemplary list of “inherent risks of
    skiing.” 
    Clover, 808 P.2d at 1044
    –45. But, on the other hand, the
    statute defines the “inherent risks of skiing” as those “dangers or
    conditions which are an integral part of the sport of skiing.” 
    Id. at 1044
    (citation omitted).
    10  Clover understood that the purpose of the statute was “to
    clarify the law, not to radically alter ski resort 
    liability.” 808 P.2d at 1045
    (internal quotation marks omitted).
    15
    RUTHERFORD v. TALISKER
    Opinion of the Court
    ¶34 The interpretive puzzle, then, is what to do with the
    ambiguity generated when one of the listed risks manifests itself in
    such a way that it plainly is not “an integral part of the sport of
    skiing.” Talisker suggests that “integral part of the sport of skiing”
    is merely a synonym for “inherent.” In Talisker’s view, if a risk
    appears in the exemplary list, then the legislature has already
    determined that the risk is an integral part of the sport of skiing.11
    But this interpretation disrespects the structure of the statute. By
    Talisker’s reasoning, the phrase “integral part of the sport of
    skiing” does no work; the statute could just as easily state that ski
    area operators are shielded from liability for any of the “inherent
    risks of skiing, including, but not limited to,” the enumerated list of
    risks. In other words, the definition of “inherent risks of skiing”
    that Talisker prefers under the Act is the same as if the legislature
    had entirely omitted the phrase “integral part of the sport of
    skiing.” This flouts the canon against surplusage. See Turner v.
    Staker & Parson Cos., 
    2012 UT 30
    , ¶ 12, 
    284 P.3d 600
    (“Wherever
    possible, we give effect to every word of a statute, avoiding ‘[a]ny
    interpretation which renders parts or words in a statute inoperative
    or superfluous.’” (alteration in original) (citation omitted)).
    ¶35 The Clover court concluded that the best way to give effect
    to all terms in the statute was to hold that “the dangers listed in
    [the definition of ‘inherent risks of skiing’] are modified by the term
    ‘integral part of the sport of 
    skiing.’” 808 P.2d at 1044
    . And
    “[t]herefore, ski area operators are protected from suits to recover
    for injuries caused by one or more of the [enumerated risks] only to
    the extent that those [risks], under the facts of each case, are
    integral aspects of the sport of skiing.” 
    Id. Clover explained
    that this
    interpretation pays respect to the “ordinary and accepted meaning
    of the term ‘inherent’” as used by the legislature by limiting
    11   We note that this argument, which Talisker raises in its
    supplemental briefing, differs in some respects from the arguments
    that Talisker presented at oral argument, when Talisker at times
    seemed to suggest that inclusion on the exemplary list may not be
    dispositive. In the interest of readability, and because any
    differences in Talisker’s arguments over time do not affect our
    ultimate conclusion, this opinion does not differentiate between the
    different arguments made by Talisker at different stages of this
    litigation.
    16
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                             Opinion of the Court
    inherent risks to “risks that are so integrally related to skiing that
    the sport cannot be undertaken without confronting these risks.” 
    Id. at 1047.
    In the Clover court’s estimation, then, the legislature
    intended the enumerated risks to constitute inherent risks—and
    therefore bar recovery for injuries resulting therefrom—only when
    those risks are encountered in such a way that the risk is an integral
    part of the sport of skiing. We believe that this is a completely
    reasonable interpretation of the Act.
    ¶36 The dissent argues that the list in section 402 is “rendered
    superfluous if enumerated risks are still subject to elimination if
    they are not deemed ‘integral’ to skiing.” Infra ¶ 114. We disagree.
    The list still provides independent value even when subjected to
    the secondary inquiry under Clover.
    ¶37 The list is not rendered superfluous because section 404
    requires ski area operators to post warning signs that list the
    inherent risks of skiing set forth in section 402. UTAH CODE
    § 78B-4-404. In this sense the list provides important, independent
    value in the context of the statute because it is directly related to the
    discharge of a ski area operator’s duties under the Act. See infra
    ¶ 52 (explaining that ski area operators discharge their duty of
    reasonable care by posting signage that lists the enumerated
    inherent risks of skiing). 12
    12  The dissent argues that “the warning sign as imagined by the
    majority is pointless” and “a ski resort would have no reason to list
    [the enumerated] risks on a posted sign” if one accepts Clover and
    our majority opinion here. Infra ¶ 114 n.35. But as we have
    explained, this is simply not true. The legislature has explicitly
    required ski resorts to post warning signs that list the enumerated
    risks and explains the limitations on liability of ski area operators.
    UTAH CODE § 78B-4-404. This alone is reason enough for ski area
    operators to post these warning signs. Additionally, the legislature
    could have had any number of reasons for requiring the warning
    signs, even if the enumerated risks are subject to a secondary
    inquiry under Clover. Perhaps the legislature wanted to provide
    notice to patrons that ski resorts operate in a unique world of
    liability. Or perhaps the legislature wanted to inform first-time
    skiers—such as tourists who may be unfamiliar with the sport—of
    the types of risks they could expect to encounter while skiing. In
    (cont.)
    17
    RUTHERFORD v. TALISKER
    Opinion of the Court
    ¶38 Additionally, the list helps inform our understanding of
    what kind of non-enumerated risks are inherent risks of skiing
    through the canon of ejusdem generis. “In its simplest terms, ejusdem
    generis posits that general catchall terms appearing at the beginning
    or end of an exemplary statutory list are understood to be informed
    by the content of the terms of the list.” GeoMetWatch Corp. v. Utah
    State Univ. Research Found., 
    2018 UT 50
    , ¶ 26, 
    428 P.3d 1064
    (citation
    omitted) (internal quotation marks omitted). “Ejusdem generis
    presumes that in order to give meaning to a general term, the
    general term is understood as restricted to include things of the
    same kind, class, character, or nature as those specifically
    enumerated . . . .” 
    Id. (citation omitted)
    (internal quotation marks
    omitted). The Act uses the general catchall term of “dangers or
    conditions which are an integral part of the sport of . . . skiing.”
    UTAH CODE § 78B-4-402(1). If we were tasked with determining
    whether a danger or condition not covered by the exemplary list
    was an inherent risk of skiing, we would ask how the specifically
    enumerated risks can inform our understanding of the general
    “dangers or conditions which are an integral part of the sport of . . .
    skiing.” One way in which the specifically enumerated risks would
    inform our understanding is to consider the character and nature of
    those risks. Here, the specifically enumerated risks are presented in
    the “character” or “nature” in which a skier would reasonably
    expect to encounter them while skiing. Instead of listing, say,
    “faulty lift towers” or “improperly constructed terrain parks,” the
    Act simply lists “lift towers” and “terrain parks.” Therefore, we
    would only consider a non-enumerated danger or condition to
    constitute an inherent risk if that danger or condition was of the
    same character or nature as the enumerated risks—that is, if the
    danger or condition was one that a skier would reasonably expect
    to encounter while skiing. 13
    any event, the list of enumerated risks is not rendered superfluous
    by Clover because the enumerated risks are still important to
    fulfilling a ski area operator’s duty under section 404.
    13  The dissent mischaracterizes this discussion as standing for
    the proposition that “we can ignore the straightforward application
    of a list because its sole function might be to inform the meaning of
    the catchall.” Infra ¶ 113 n.34 (emphasis added). As we have just
    discussed above, the list serves the independent purpose of giving
    (cont.)
    18
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                            Opinion of the Court
    ¶39 And Clover’s interpretation also makes sense in practice.
    As Clover succinctly puts it, refusing to modify the list of risks by
    reference to the phrase “integral part of the sport of skiing” would
    “result in a wide range of absurd 
    consequences.” 808 P.2d at 1044
    –
    45. Under Talisker’s proposed interpretation of section 402, a
    collision with a lift tower that the ski resort has intentionally
    camouflaged as to be practically invisible to skiers is an “inherent
    risk of skiing” because “impact with lift towers” is an enumerated
    risk. That cannot be right; such an interpretation defies our
    understanding of the “ordinary and accepted meaning of the term
    ‘inherent’” as used by the legislature in the Act. 
    Id. at 1047.
    But
    such results are inevitable under Talisker’s interpretation.
    ¶40 Indeed, the universe of potential absurd scenarios is nearly
    limitless. For example, the Act includes “rocks” in the definition of
    inherent risks. UTAH CODE § 78B-4-402(1)(c). Given the location of
    ski resorts on mountains, skiers reasonably expect to encounter
    rocks while skiing. And if a skier’s injury was caused by a rock in
    the state or condition in which a skier would expect to encounter a
    rock while skiing, then the Act would undoubtedly bar recovery for
    that injury. But what skiers would not reasonably expect to
    encounter—and what the Act could not reasonably bar recovery
    for—are, for example, rocks gathered in a pile in the middle of a
    blind spot on a beginner ski run waiting to be placed for
    landscaping.
    ¶41 Fortunately, it is a common sense and long-standing canon
    of construction in Utah that, as between competing interpretations
    of an ambiguity in a statute, the one that avoids such nonsensical
    outcomes is generally preferred. See Anderson v. Utah Cty., 
    368 P.2d 912
    , 913 n.3 (Utah 1962) (“[I]t is a general rule that where a statute
    is ambiguous in terms and fairly susceptible of two constructions,
    content to section 404’s requirement that ski area operators post
    warning signs. See supra ¶ 37, n.12. Our discussion of ejusdem
    generis exists here only to demonstrate an additional, ancillary
    function of the list. In no way, shape, or form do we suggest that
    application in a hypothetical ejusdem analysis is “the sole function”
    of the list. Nor do we use ejusdem to interpret or “overrid[e]” the
    enumerated risks, as the dissent suggests. Infra ¶ 113 n.34. Instead,
    we have simply posited how the list would help inform an ejusdem
    analysis of a non-enumerated risk.
    19
    RUTHERFORD v. TALISKER
    Opinion of the Court
    the unreasonableness or absurdity which may follow one
    construction or the other may properly be considered.
    Unreasonable, absurd, or ridiculous consequences should be
    avoided.” (citation omitted) (internal quotation marks omitted)); see
    also Bagley v. Bagley, 
    2016 UT 48
    , ¶ 27, 
    387 P.3d 1000
    (“[T]he absurd
    consequences canon . . . merely resolve[s] an ambiguity by
    choosing the reading that avoids absurd results.” (third alteration
    in original) (citation omitted) (internal quotation marks omitted));
    Utley v. Mill Man Steel, Inc., 
    2015 UT 75
    , ¶ 46, 
    357 P.3d 992
    (Durrant,
    C.J., writing for the majority on this issue) (“Our caselaw
    recognizes two different interpretive tools concerning absurdity.
    We have referred to the first as the absurd consequences canon and
    to the second as the absurdity doctrine. We apply the absurd
    consequences canon to resolve ambiguities in a statute.”). 14
    ¶42 The dissent takes what it seems to view as a different tack
    than Talisker, arguing that listed risks are only inherent risks to the
    extent that the injury-causing risk “falls within the ordinary
    meaning of the terms of the statute.” Infra ¶ 186 n.50. But it is
    unclear exactly what the dissent means when it says it would
    conduct an ordinary meaning analysis.
    ¶43 For example, the pile of rocks intended for later
    landscaping placed in the middle of a beginner run is not a risk that
    a skier would expect to encounter when skiing. And it seems that
    the pile of rocks is certainly a “surface . . . condition[] such as . . .
    rocks” within the ordinary meaning of the term. UTAH CODE § 78B-
    4-402(1)(c). After all, it is a pile of rocks on the surface of a ski run.15
    14  The dissent accuses us of “distort[ing] the absurdity
    doctrine.” Infra ¶ 133. This criticism entirely misses the point. We
    do not contend that the absurdity doctrine applies here. Because
    we conclude—contra to the dissent—that section 402 is ambiguous,
    “the question is not one of overriding text that is unmistakably
    clear” and therefore “we view this as a case for the absurd
    consequences canon, not the absurdity doctrine.” Utley, 
    2015 UT 75
    ,
    ¶ 39 n.14 (Lee, A.C.J., concurring in the judgment on this issue).
    15 It is easy to think of similar hypotheticals. For example, a
    twenty-yard bare spot running through the middle of a groomed
    ski run is not a risk that a skier would expect to encounter. But it is
    (cont.)
    20
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                             Opinion of the Court
    The dissent should—but fails to—own that its interpretation
    inexorably leads to this absurd consequence and responds that, “at
    least arguably,” this pile of rocks would not “qualify as a ‘natural’
    ‘surface or subsurface condition.’” Infra ¶ 131. But it is entirely
    unclear why this would be the case—and the dissent’s qualification
    of its conclusion with “at least arguably” suggests that it does not
    know either. 16
    b. Purpose of the Act
    ¶44 This court’s analysis in Clover was based largely on “[t]he
    express purpose of the statute, codified in section [78B-4-401],
    [which] is ‘to clarify the law in relation to skiing injuries and the
    risk[s] inherent in the 
    sport.’” 808 P.2d at 1045
    . To clarify means to
    “make . . . easier to understand.” Clarify, WEBSTER’S II NEW COLLEGE
    DICTIONARY (3d ed. 2005). As we stated in Clover, the legislature’s
    purpose in clarifying the law does not suggest an intent to
    “radically alter ski resort liability,” rather it shows an intent to
    make the law of ski resort liability as it existed in 1979—when the
    legislature passed the Act—easier to 
    understand. 808 P.2d at 1045
    .
    To determine the persuasiveness of Clover’s holding, we must look
    at the law as it existed in 1979 when the Act came into effect.
    ¶45 To better understand the confluence of events that
    culminated in the Act’s passage in 1979, it is helpful to have a basic
    understanding of the doctrine of assumption of risk. There are
    three distinct branches of assumption of risk: (1) primary express,
    inescapable that the bare spot would be considered a “bare spot[]”
    under the dissent’s analysis.
    16 Although the dissent bemoans what it views as a lack of
    predictability with the Clover test, it is unclear that the dissent’s
    own proposed analysis lends itself to predictability. The dissent
    repeatedly resorts to qualifiers such as “could reasonably be
    dismissed as,” “[t]he same may hold,” and “at least arguably” when
    using its ordinary meaning analysis to engage our hypotheticals.
    Infra ¶ 131 (emphases added). If the dissent is actually unable to
    determine whether these hypotheticals qualify as inherent risks
    under its analysis then it should so indicate. Likewise, if the dissent
    thinks that the risks in the hypotheticals, such as the pile of rocks or
    the twenty-yard bare spot, actually would qualify as inherent risks
    under its analysis, it should own up to that fact.
    21
    RUTHERFORD v. TALISKER
    Opinion of the Court
    (2) primary implied, and (3) secondary. Moore v. Burton Lumber &
    Hardware Co., 
    631 P.2d 865
    , 869–70 (Utah 1981). Primary express
    assumption of risk “involves a contract[] . . . in which a party
    expressly contracts not to sue for injury . . . which may thereafter be
    occasioned by the acts of another.” Jacobsen Constr. Co. v. Structo-
    Lite Eng’g, Inc., 
    619 P.2d 306
    , 310 (Utah 1980). As we have held the
    preinjury liability release in this case to be unenforceable, 
    see supra
    ¶¶ 18–23, this branch is not at issue here.
    ¶46 Primary implied, more often called primary assumption of
    risk, “involves a relationship in which [the] defendant simply owes
    no duty of care to the plaintiff.” 
    Moore, 631 P.2d at 870
    . Because no
    duty is owed, there can be no negligence. This branch of
    assumption of risk applies when a person is “injured as a
    consequence of being exposed to a risk which the [defendant] in the
    exercise of due care could not avoid.” Tiller v. Atl. Coast Line R.R.
    Co., 
    318 U.S. 54
    , 71 (1943) (Frankfurter, J., concurring); see also
    Wendy A. Faber, Comment, Utah’s Inherent Risks of Skiing Act:
    Avalanche from Capitol Hill, 1980 UTAH L. REV. 355, 358 (“Primary
    assumption of risk involves no fault because it refers to dangers
    that are ‘inherent’ in a given activity—dangers that cannot be
    alleviated by reasonable care.”) [hereinafter Faber, Utah’s Inherent
    Risks of Skiing Act]; Kent Feuerhelm et al., From Wright to Sunday
    and Beyond: Is the Law Keeping Up With the Skiers?, 1985 UTAH L. REV.
    885, 886 (“Primary assumption of risk bars a plaintiff from
    recovering for injuries caused by dangers inherent in the activity.
    Because the dangers are inherent, the theory assumes that no
    reasonable amount of care can alleviate the risk, thus no fault is
    involved.”). Primary assumption of risk is perhaps best understood
    to negate the further existence of any duty on the behalf of the
    defendant once the defendant has discharged its initial duty of
    reasonable care. That is, once a ski area operator has taken
    reasonable care to protect its patrons, it cannot be held liable for
    any injuries resulting from those inherent risks that persist despite
    the exercise of reasonable care.
    ¶47 Secondary assumption of risk applies when a person
    “unreasonabl[y] encounter[s] . . . a known and appreciated risk.”
    
    Moore, 631 P.2d at 870
    . This branch is treated, for all intents and
    purposes, as a “phase of contributory negligence.” Jacobsen 
    Constr., 619 P.2d at 310
    . Whereas the primary assumption of risk doctrine
    provides that there is no duty, thereby barring a claim for
    negligence, secondary assumption of risk is an affirmative defense
    22
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                            Opinion of the Court
    to a substantiated claim of negligence. 
    Id. Under this
    branch, if a
    plaintiff proves that the defendant is negligent, the defendant may
    still avoid liability by establishing secondary assumption of risk. In
    fact, prior to 1973, secondary assumption of risk served as a
    “complete bar to recovery” for plaintiffs. 
    Id. at 309.
        ¶48 In 1973, the Utah Legislature adopted the Utah
    Comparative Negligence Act, 1973 Utah Laws 710–11, “to avoid the
    harshness visited upon plaintiffs as a result of the all-or-nothing
    nature of the former rule of law,” Jacobsen 
    Constr., 619 P.2d at 309
    .
    Specifically, the Comparative Negligence Act stated that
    “[c]ontributory negligence shall not bar recovery in an action . . . to
    recover damages for negligence . . . if such negligence was not as
    great as the negligence . . . of the person against whom recovery is
    sought.” 1973 Utah Laws 710–11. Additionally, the Comparative
    Negligence Act provided that, for purposes of the act,
    “‘contributory negligence’ includes ‘assumption of risk.’” 
    Id. at 711.
    Assumption of risk as used in this context represented the
    secondary form of assumption of risk. 
    Moore, 631 P.2d at 870
    ; see
    also Jacobsen 
    Constr., 619 P.2d at 312
    (“We thus hold that under our
    comparative negligence statute ‘assumption of the risk’ . . . is to be
    treated . . . in its secondary sense . . . .”). 17
    ¶49 Additionally, by 1979, there was broad national consensus
    that the common law defense of assumption of risk was being
    eroded by case law, especially with respect to ski area operators.
    See Sunday v. Stratton Corp., 
    390 A.2d 398
    , 401–03 (Vt. 1978) (holding
    that a snow-covered bush is not an assumed risk of skiing); Michael
    J. Farrow, Comment, Ski Operators and Skiers—Responsibility and
    17 Although the Comparative Negligence Act used the blanket
    term “assumption of risk,” a closer examination of primary and
    secondary assumption of risks confirms that, as used in this
    context, only the secondary assumption of risk is in play. This
    follows because the primary assumption of risk reflects the notion
    that no duty was owed to the plaintiff. In those cases, there could
    be no comparative negligence as between plaintiff and defendant
    because defendant could never be negligent as a matter of law. See
    Hale v. Beckstead, 
    2005 UT 24
    , ¶ 24, 
    116 P.3d 263
    (“Where there is no
    duty, there is no fault to compare or distribute under the
    comparative fault scheme.”).
    23
    RUTHERFORD v. TALISKER
    Opinion of the Court
    Liability, 14 NEW ENG. L. REV. 260, 268–70 (1978–79) (discussing the
    ski industry’s reaction to the Sunday decision). Thus, when the
    legislature passed the Act to “clarify the law,” by providing that
    skiers “assume[] the risks inherent in the sport of skiing,” it seems
    clear that the legislature intended to restore and maintain the law
    of ski resort liability as it existed prior to the perceived erosion of
    the defense of assumption of risk. UTAH CODE § 78B-4-401. This is
    supported by the fact that the confusion in the law that the
    legislature intended to clarify was only the “confusion as to
    whether a skier assumes the risks inherent in the sport of skiing.” 
    Id. (emphasis added).
        ¶50 In Clover, we cited Wright v. Mt. Mansfield Lift, Inc., 96 F.
    Supp. 786 (D. Vt. 1951), for the proposition that “when the [Act]
    was enacted the majority of jurisdictions employed the doctrine of
    primary assumption of risk” to ski area operator 
    liability. 808 P.2d at 1045
    ; see also Faber, Utah’s Inherent Risks of Skiing Act at 359
    (“[P]rimary assumption of the risk . . . traditionally governed ski
    injury litigation.”). Relying on the doctrine of primary assumption
    of risk, we concluded that the legislature was attempting to define
    and clarify the duty of ski area operators under this existing
    doctrine. 
    Clover, 808 P.2d at 1045
    –46. This appears to be correct.
    ¶51 Talisker argues that the legislature actually intended to
    redefine the duty of ski area operators in the Act, and that ski area
    operators therefore owe no duty to skiers for any of the risks listed
    in section 402 as “inherent risks of skiing.” However, such an
    interpretation would amount to a radical alteration of tort law,
    which is something the legislature did not intend. Rather, as we
    noted in Clover, the legislature’s purpose according to section 401
    was to clarify that ski area operators may still raise a defense of
    primary assumption of risk against a skier’s claim for liability.18
    18  While the Act appears to have conflated the two forms of
    assumption of risk when it announced that “[n]otwithstanding
    anything in [the Comparative Negligence Act] to the contrary, no
    skier shall make any claim against . . . any ski operator for injury
    resulting from any of the inherent risks of skiing,” 1979 Utah Laws
    909, this is understandable given the Comparative Negligence Act’s
    ambiguous use of the term “assumption of risk,” 
    see supra
    ¶ 49
    n.17. This confusion is even more understandable given that the
    Act was passed before we issued our decisions in Jacobsen
    (cont.)
    24
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                            Opinion of the Court
    Under this doctrine, ski area operators owe a duty to exercise
    reasonable care, but a skier assumes the inherent risks of skiing to
    the extent that those risks persist after the ski area operator’s
    exercise of reasonable care. See 
    Wright, 96 F. Supp. at 790
    –91; see also
    supra ¶ 46.
    ¶52 The legal principle that the legislature was trying to
    reassert, then, is that ski area operators have the duty to exercise
    reasonable care with respect to the inherent risks of skiing, but
    skiers assume those risks to the extent those risks persist after a ski
    area operator’s exercise of reasonable care. And in doing so, the
    legislature provided the standard of reasonable care required of ski
    area operators with respect to the inherent risks of skiing.
    Specifically, section 78B-4-404 provides that “[s]ki area operators
    shall post trail boards at one or more prominent locations within
    each ski area which shall include a list of the inherent risks of
    skiing . . . as defined in [the Act].” Therefore, once a ski area
    operator posts trail boards warning skiers of the inherent risks of
    skiing, it has discharged its duty of reasonable care—and therefore
    owes no further duty—with respect to the inherent risks of skiing,
    and skiers assume the risk of any injury caused by those risks to the
    extent that they are inherent risks within the meaning of the Act.19
    This understanding of the Act comports with the self-described
    purpose of the Act to “clarify the law” by providing ski area
    operators with a means to assert the defense of primary assumption
    of risk while also maintaining a cause of action for skiers injured by
    Construction and Moore, which delineated between the different
    forms of assumption of risk and declared the Comparative
    Negligence Act to apply only as to secondary assumption of risk.
    See supra ¶ 48.
    19 This does not mean that ski area operators are automatically
    absolved from liability for injuries caused by risks listed on the trail
    boards they post. Instead, the Act still requires a case-by-case
    analysis to determine whether the injury-causing risk is truly an
    inherent risk of skiing. If the injury-causing risk is determined to
    not be an inherent risk of skiing, then the case falls outside the
    purview of the Act and the ski area operator’s compliance with
    section 404 becomes immaterial with respect to defining the ski
    area operator’s duty.
    25
    RUTHERFORD v. TALISKER
    Opinion of the Court
    risks that they do not assume, such as those risks created by ski
    area operator negligence.
    ¶53 This interpretation is further bolstered by the fact that the
    word “negligence” is mentioned nowhere in the Act.
    Unlike the dissent, we find it nigh impossible to believe that the
    legislature intended to completely abolish the negligence cause of
    action with respect to enumerated risks when the Act itself says
    nothing about negligence. It is one thing to say that the legislature
    could have spoken more clearly, it is entirely another to apply that
    concept when the act in question neglects to mention its alleged
    core purpose. Legislatures, after all, “do[] not . . . hide elephants in
    mouseholes.” Whitman v. Am. Trucking Ass’ns, 
    531 U.S. 457
    , 468
    (2001). And abolishing negligence claims is one heck of a big
    elephant. 20
    ¶54 Based on this discussion of the purpose of the Act, we hold
    that the core holding of Clover continues to be persuasive in that the
    Act does not demonstrate a legislative intent to categorically bar
    recovery for injuries caused by risks enumerated in section 402.
    Rather, the Act intended to reassert the availability of the defense
    of primary assumption of risk for ski area operators—even in cases
    involving one of the enumerated risks.
    c. Constitutional Avoidance
    ¶55 The Clover court also recognized that construing the Act to
    bar claims arising from the negligence of ski area operators (i.e.,
    20  The dissent argues that “there is nothing elephant-ish about
    the establishment of a bar on a negligence claim for injuries arising
    from inherent risks of skiing.” Infra ¶ 126. We disagree. Such a
    reading would directly contradict the doctrine of primary
    assumption of risk because primary assumption of the risk still
    presupposes a baseline exercise of reasonable care. If the Act barred
    all claims for listed risks—even those risks that could have been
    eliminated through the exercise of reasonable care such as the pile
    of rocks or the twenty-yard bare spot—then the Act would not be
    embracing the doctrine of primary assumption of risk. And this
    would have represented a major departure from the status quo.
    Furthermore, such a scheme would also raise some serious
    constitutional questions, which we address below. See infra ¶¶ 55–
    58.
    26
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                             Opinion of the Court
    from risks that were not integral to the sport) could violate the
    Open Courts Clause of the Utah Constitution. 
    See 808 P.2d at 1044
    n.38 (“Because we interpret [the Act] as not prohibiting legitimate
    negligence claims, we do not reach Clover’s argument that the
    statute violates . . . [the Open Courts Clause] of the Utah
    Constitution . . . .”).
    ¶56 The Open Courts Clause “declares that an individual shall
    have a right to a ‘remedy by due course of law’ for injury to
    ‘person, property, or reputation.’” Berry ex rel. Berry v. Beech Aircraft
    Corp., 
    717 P.2d 670
    , 674 (Utah 1985) (quoting UTAH CONST. art. 1,
    § 11). We have acknowledged that we have “an obligation of
    deference to legislative judgments in a Berry review.” Judd v.
    Drezga, 
    2004 UT 91
    , ¶ 11, 
    103 P.3d 135
    . And while the Open Courts
    Clause does not prohibit the legislature from “creat[ing],”
    “defin[ing],” and “moderniz[ing]” the law, it nonetheless “acts as a
    substantive check on legislative power.” Waite v. Utah Labor
    Comm’n, 
    2017 UT 86
    , ¶ 18, 
    416 P.3d 635
    (citation omitted) (internal
    quotation marks omitted). In Berry, this court announced a three-
    part test to determine whether legislation violates the Open Courts
    Clause.
    ¶57 First, we look to see “whether the legislature has abrogated
    a cause of action.” Waite, 
    2017 UT 86
    , ¶ 19. If the legislature has
    abrogated a cause of action, “we then determine whether ‘the law
    provides an injured person an effective and reasonable alternative
    remedy.’” 
    Id. (quoting Berry,
    717 P.2d at 680). And finally, if there is
    no alternative remedy, we look to see “if there is a clear social or
    economic evil to be eliminated and [if] the elimination of an
    existing legal remedy is not an arbitrary or unreasonable means for
    [eliminating such evil].” 
    Id. (quoting Berry,
    717 P.2d at 680) (internal
    quotation marks omitted). If no “clear social or economic evil” is
    being eliminated, then the legislative act runs afoul of the Open
    Courts Clause.
    ¶58 It is easy to see why the Clover court considered
    constitutional avoidance in reaching its decision. If the Act was
    interpreted to prohibit all negligence claims arising from injuries
    caused by one of the Act’s enumerated risks, then it is possible that
    the Act could pose a serious Open Courts issue. In reading the
    ambiguity in the statute to mean that every claim requires a
    27
    RUTHERFORD v. TALISKER
    Opinion of the Court
    case-by-case analysis, the Clover court avoided deciding this thorny
    constitutional question. 21 And because Talisker has not carried its
    burden in persuading us that Clover was not well reasoned, we
    need not rule on this issue either.
    d. Treatment of Clover in Other Jurisdictions
    ¶59 Other jurisdictions have also found Clover persuasive in
    analyzing their own inherent risk statutes. For example, Kopeikin v.
    Moonlight Basin Management, LLC found Clover and its successor,
    White v. Deseelhorst, 
    879 P.2d 1371
    (Utah 1994), “particularly
    helpful” in analyzing whether Montana’s statutory scheme—which
    was “similar” to Utah’s—allowed a suit for negligent design or
    maintenance of a cat track. 
    981 F. Supp. 2d 936
    , 939, 943 (D. Mont.
    2013). After summarizing the core holding of Clover, Kopeikin drew
    on Clover to conclude that “[Montana’s Inherent Risks of Skiing
    Act] should be read in a manner that avoids constitutional
    violations and gives meaning to all of its provisions,” and that
    doing so would help avoid “absurd results.” 
    Id. at 945–46.
    Specifically, Kopeikin held that “Montana’s statutory definition of
    ‘inherent dangers and risks of skiing’ must be read in conjunction
    with the ski area operator’s statutory duty of reasonable care”
    because “[a] mechanical application of the statute focused solely on
    the object with which the plaintiff collided would produce results
    21   The dissent argues that “‘[m]ere doubts about the
    constitutionality’ of the statute ‘are not enough to override the
    legislature’s intent’” when the statute “lends itself to only one
    reasonable interpretation.” Infra ¶ 137. While we may take no issue
    with this assertion, we take issue with the premise that there is
    “only one reasonable interpretation” of the Act. Because there is
    not only one reasonable interpretation of the Act, 
    see supra
    ¶¶ 33–
    43, our acknowledgment of an Open Courts concern here is entirely
    appropriate.
    Furthermore, the Open Courts issue here is not a “vague
    constitutional question,” as the dissent suggests. Infra ¶ 136. It
    presents a discrete and cognizable constitutional question: Would a
    prohibition on all suits involving injuries caused by risks
    enumerated in the Act violate the Open Courts Clause of the Utah
    Constitution? The existence of an exact constitutional question only
    bolsters the appropriateness of considering the Open Courts issue
    in our stare decisis analysis.
    28
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                             Opinion of the Court
    that are ‘entirely arbitrary’ . . . .” 
    Id. at 945
    (quoting 
    Clover, 808 P.2d at 1045
    ). In this sense, Kopeikin fully endorses Clover’s holding that a
    secondary inquiry is required to determine whether a listed risk is
    truly an inherent risk, even in the face of a statute that simply
    provided “‘[i]nherent dangers and risks of skiing’ means those
    dangers or conditions that are part of the sport of skiing, including:
    [listed risks].” 
    Id. at 939
    (citing Mont. Code Ann. § 23-2-702(2)).
    ¶60 Additionally, the New Hampshire Supreme Court relied
    on Clover in upholding New Hampshire’s Inherent Risks of Skiing
    statute against a challenge alleging that it violated a provision of
    the New Hampshire Constitution that guarantees all litigants a
    remedy. Nutbrown v. Mount Cranmore, Inc., 
    671 A.2d 548
    , 550–52
    (N.H. 1996). In so doing, it found Clover’s parallel analysis of Utah’s
    Inherent Risks of Skiing Act persuasive—concluding that the New
    Hampshire statute “embodie[d] the doctrine of primary
    assumption of risk” and limited recovery only for injuries caused
    by “dangers inherent in the sport” of skiing. 
    Id. at 551.
    22
    2. Firmly Established
    ¶61 The question then turns to whether Clover is “firmly
    established” in Utah law—including the extent to which it has
    22  The dissent contends that Nutbrown does not “endorse[] the
    framework of the Clover decision.” Infra ¶ 160. Instead, because the
    New Hampshire code also contained a separate statute that
    contained specific duties with which a ski resort is charged, the
    dissent believes that “Nutbrown cites Clover only for the proposition
    that ‘[t]he statute does not purport to immunize a ski area operator
    for injuries caused by the operator’s own negligent or intentional
    acts’” and provides no endorsement for Clover. Infra ¶ 160
    (alteration in original) (quoting 
    Nutbrown 671 A.2d at 551
    ). But the
    context of that quote is crucial. The immediately preceding
    sentence states, “[s]ignificantly, the limitation on recovery found in
    [the New Hampshire statute that defines inherent risks of skiing],
    applies only to injuries caused by ‘dangers inherent in the sport’ of
    skiing.” 
    Nutbrown, 671 A.2d at 551
    (citation omitted). In this
    context, it is clear that Nutbrown is citing Clover for the proposition
    that the limitation on recovery for “dangers inherent in the sport”
    does not include immunization “for injuries caused by the
    operator’s own negligent or intentional acts.” 
    Id. 29 RUTHERFORD
    v. TALISKER
    Opinion of the Court
    created reliance interests and whether it has proven workable in
    practice. See Eldridge, 
    2015 UT 21
    , ¶ 22. We believe that it is.
    ¶62 Our conclusion is informed by a number of considerations.
    Clover is entitled to deference under stare decisis because the
    legislature is free to change its conclusion at any time by amending
    the Act. And in the years since Clover was decided, the legislature
    has not amended the Act to overrule the holding of Clover. In
    declining to do so, Clover has become firmly established in Utah
    law. Furthermore, under the prior construction canon, by
    amending and re-enacting the Act without negating Clover’s core
    holding, Clover has been carried forward by the legislature as an
    authoritative interpretation of the Act. As a consequence, Talisker
    has not demonstrated that this history has not created a public
    reliance on Clover. And finally, Talisker has not carried its burden
    in convincing us that Clover has proven to be unworkable in
    practice.
    a. Legislative Treatment of Clover
    ¶63 Clover was decided in 1991 and in our 1994 opinion, White
    v. Deseelhorst, we directly invited the legislature to tell us if we
    incorrectly interpreted the Act in Clover. 
    879 P.2d 1371
    , 1377 (Utah
    1994), abrogated on other grounds by Penunuri v. Sundance Partners,
    LTD, 
    2017 UT 54
    , 
    423 P.3d 1150
    , (Zimmerman, C.J., concurring) (“If
    the legislature disagrees with Clover’s construction of the inherent
    risks of skiing statute, it can change it, but we should leave the
    matter where it lies.”). Despite ample opportunity and an express
    invitation, it has not done so.
    ¶64 Our legislature has had at least two opportunities to
    overrule the core holding of Clover. In 1993, and again in 2006, the
    legislature made changes to the definitions section of the Act—the
    very same section on which Clover’s analysis turns. In 2006, for
    example, the definition of skiing was expanded “to include
    participation in, or practicing or training for, competitions or
    special events.” Rutherford ex rel. Rutherford v. Talisker Canyons Fin.
    Co., 
    2014 UT App 190
    , ¶ 35, 
    333 P.3d 1266
    (quoting 2009 Utah Laws
    549, 549) (internal quotation marks omitted).
    ¶65 As the court of appeals recognized, Senator Lyle Hillyard,
    the 2006 amendment’s sponsor, specifically stated that the 2006
    amendment was not intended “to exempt the negligence of the ski
    resort” from the liability Clover had imposed. 
    Id. ¶ 35
    n.13 (quoting
    30
    Cite as: 
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                            Opinion of the Court
    Recording of Utah Senate Floor Debates, 56th Leg., Gen. Sess. (Feb
    13, 2006) (statement of Sen. Lyle Hillyard)). And “where a
    legislature amends a portion of a statute but leaves other portions
    unamended, or re-enacts them without change, the legislature is
    presumed to have been satisfied with prior judicial constructions of
    the unchanged portions of the statute and to have adopted them as
    consistent with its own intent.” Christensen v. Indus. Comm’n, 
    642 P.2d 755
    , 756 (Utah 1982); see also SCALIA & GARNER, READING LAW
    at 322 (noting that when a phrase has been “authoritatively
    interpreted” by a jurisdiction’s highest court, “a later version of
    that act perpetuating the wording [of that phrase] is presumed to
    carry forward that interpretation”). 23
    ¶66 We are loath to embrace legislative history as an
    interpretive tool for statutory interpretation without first
    exhausting other interpretive tools. But it is relevant for purposes of
    applying our stare decisis principles—principles that, in the
    statutory context, emphasize the legislature’s ability to reverse a
    court’s decision and the importance of crafting statutory stare decisis
    principles in such a way that we promote, when possible,
    interbranch dialog. The fact that the legislature has specifically
    taken up the Act, not once, but twice, and expressly declined to
    23  The dissent argues that the full text of Senator Hillyard’s
    comments actually cuts against support for Clover because (1) the
    example of negligence Senator Hillyard supplied was not an
    enumerated inherent risk, and (2) he stated support for “the
    ‘policy’ that the ‘state made in the 1980s,’ not the common law
    developments since that time.” Infra ¶¶ 169–171. But Senator
    Hillyard—the sponsor of the bill—was clear in his comments: “I
    should indicate that there’s no intention in this to exempt the
    negligence of the ski resort.” Recording of Utah Senate Floor
    Debates, 56th Leg., Gen. Sess. (Feb. 13, 2006) (statement of Sen. Lyle
    Hillyard). His subsequent example of negligence that falls outside
    the list of enumerated risks (which is not dispositive of whether it
    is an inherent risk because the list is non-exhaustive) does not
    undercut his statement’s value. Further, neither Senator Hillyard
    nor any other legislator said anything to cast shade on Clover.
    31
    RUTHERFORD v. TALISKER
    Opinion of the Court
    amend it so as to do away with Clover’s holding, is a good reason to
    continue to accord Clover weighty stare decisis. 24
    b. Reliance
    ¶67 In light of Clover’s age, the legislature’s choice to leave
    Clover untouched since it was decided, and the unmistakable
    importance of the ski industry to Utah’s economy, it is easy to see
    how Clover has resulted in widespread public reliance.
    ¶68 For example, there can be no doubt that ski resorts have
    invested in infrastructure and personnel to abate potential
    negligence actions under Clover, with some resorts investing more
    and some less, each with an eye toward getting a competitive
    advantage. There can be no doubt that contracts are in place to
    supply, maintain, and replace this infrastructure and that some of
    the personnel forewent other employment opportunities in favor of
    working at the resort. Nor can there be any doubt that insurers and
    resort owners have negotiated policies and premiums against the
    backdrop of Clover. And consider the potential commercial
    advantage that Utah ski resorts may have obtained over other ski
    resorts by virtue of Clover’s construction of the Act—which may
    afford more opportunities for relief to injured skiers in Utah and
    hence, at the margins, more incentive to ski in the state. We
    respectfully suggest that it is naïve to think that Clover has not
    generated significant reliance interests in an industry as large and
    complicated as Utah’s ski industry. And again, Talisker certainly
    has not met its burden of dispelling this notion. 25
    24 The dissent argues that legislative inaction in this area does
    not “indicate legislative acquiescence. And it is sheer speculation to
    assume the contrary.” Infra ¶ 165. Under different circumstances
    we might agree, but not here. The fact that we have expressly
    invited the legislature to address our holding in Clover, 
    White, 879 P.2d at 1377
    , coupled with a well-heeled ski industry, the
    legislature revising the Act on multiple occasions, and Senator
    Hillyard’s comments lead us to the conclusion that “legislative
    acquiescence” is far from “sheer speculation” in this case.
    25The dissent argues that the reliance interests we identify here
    are “minimal.” Infra ¶ 175. We disagree. Moreover, this is beside
    the point: even if the dissent was correct and the reliance on Clover
    we have identified in this opinion was minimal, Talisker has not
    (cont.)
    32
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                             Opinion of the Court
    c. Workability
    ¶69 Additionally, Talisker has not met its burden of producing
    evidence to suggest that Clover is unworkable.
    ¶70 For one, Clover’s workability is evidenced by the fact that,
    despite being nearly thirty years old, it has not generated
    substantial appellate litigation. This suggests that district courts are
    able to understand and apply Clover in ski area operator liability
    cases. Of course, other explanations are also possible. But it is
    Talisker’s burden to show us that Clover is poorly understood. To
    carry this burden of persuasion, Talisker must adduce evidence of
    confusion and lack of reliance among litigants and in the lower
    courts. It has not done so.
    ¶71 Importantly, the ski industry appears to have done nothing
    to “correct” Clover in the legislature. Indeed, when asked at oral
    argument, both Talisker and amicus Ski Utah stated that they were
    unaware of any efforts made to lobby the legislature to alter
    Clover’s core holding. Certainly, if the standard were as unworkable
    as Talisker and amici suggest, Utah’s ski industry would have, at
    some point in the last twenty-eight years, introduced some
    evidence in the record demonstrating the industry’s confusion and
    consternation. It did not.
    ¶72 Furthermore, other jurisdictions have drawn on Clover’s
    analysis in evaluating their own liability statutes. For example, the
    Supreme Court of North Dakota has adopted Clover’s core holding.
    North Dakota’s version of the Act provided that “[e]ach skier
    expressly assumes the risk . . . for any injury . . . caused by the
    following: variations in terrain; surface or subsurface snow or ice
    conditions; bare spots, rocks, trees, or other forms of forest growth
    or debris.” Bouchard v. Johnson, 
    555 N.W.2d 81
    , 83 (N.D. 1996)
    (citation omitted) (internal quotation marks omitted). In declining
    to interpret the statute to “act as a complete bar to any recovery,”
    the court stated that “the better view is contained in the Utah
    Supreme Court’s decision in Clover.” 
    Id. at 83–84.
    It accordingly
    held that “[t]here should be no liability for a ski area operator if the
    design of the ski run creates natural conditions, necessary to the
    made this argument or, for that matter, demonstrated any lack of
    reliance. And because Talisker is the party asking us to overturn
    Clover, the burden of persuasion is Talisker’s to bear.
    33
    RUTHERFORD v. TALISKER
    Opinion of the Court
    enjoyment of the sport.” 
    Id. at 85.
    But “[c]onversely, if the design
    problem was created by the operator’s negligence and was not an
    inherent risk associated with the sport, liability for the operator
    should exist.” 
    Id. ¶73 The
    dissent claims that “[t]he ‘proper standard’ endorsed
    by Bouchard is not the Clover framework.” Infra ¶ 156. It asserts that
    Bouchard is different because the North Dakota statute “begins with
    an extensive list of ‘duties’ that ‘[e]very ski operator shall have”
    and then notes that because skiing is hazardous despite all feasible
    safety measures, “‘[e]ach skier expressly assumes the risk of’
    injuries resulting from enumerated inherent risks of skiing.” Infra
    ¶ 157 (alterations in original) (quoting 
    Bouchard, 555 N.W.2d at 83
    ).
    But Bouchard does exactly what Clover does: it interprets the
    statutorily enumerated inherent risks of skiing—those that a skier
    assumes and cannot be a basis for legal recovery—to only include
    those risks when they “do[] not present a danger beyond what
    might be anticipated for the skier who assumes the risk inherent in
    skiing.” 
    Bouchard, 555 N.W.2d at 85
    . Right after setting out the
    standard that the dissent claims is “not the Clover framework,” the
    Bouchard court goes on to give an example that squarely fits within
    Clover:
    [I]f a tree exists as part of the ski run design and
    does not present a danger beyond what might be
    anticipated for the skier who assumes the risk
    inherent in skiing, there should be no liability for
    injuries caused by the tree. The risk of a collision
    with a tree of this nature is an inherent risk.
    However, notwithstanding the express reference to trees
    in [the North Dakota statute], if a tree or tree stump
    creates a risk which cannot be said to be inherent in
    the sport design, the operator should be liable for
    any injuries caused by this danger.
    
    Bouchard, 555 N.W.2d at 85
    –86 (emphasis added). It is clear that the
    North Dakota Supreme Court found no issues with the
    implementation of a secondary inquiry—one very similar to the
    secondary inquiry in Clover—to determine whether listed risks are
    truly inherent risks in the context of the statute.
    34
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                            Opinion of the Court
    ¶74 Given the evidence of legislative approval, public reliance,
    and general workability, 26 Talisker has not carried its heavy burden
    to persuade us to overturn this precedent and nothing today
    convinces us that we should overrule the core holding of Clover.
    III. CLOVER’S TEST CLARIFIED
    ¶75 Our overarching goal when interpreting a statute is to
    “implement the intent of the legislature.” State v. Rushton, 
    2017 UT 21
    , ¶ 11, 
    395 P.3d 92
    . In doing so, we turn first to the plain language
    of the statute itself. GeoMetWatch Corp. v. Utah State Research Found.,
    
    2018 UT 50
    , ¶ 15, 
    428 P.3d 1064
    . When the language of the statute is
    plain and unambiguous, this court will look no further to discern
    legislative intent. Savely v. Utah Highway Patrol, 
    2018 UT 44
    , ¶ 25,
    
    427 P.3d 1174
    . However, “if doubt or uncertainty exists as to the
    26  The dissent fails to give any credence to Clover’s favorable
    out-of-state press. But the dissent does selectively cite other cases—
    Glover v. Vail Corp., 
    955 F. Supp. 105
    (D. Colo. 1997) and Hanus v.
    Loon Mountain Recreation Corp., No. 13-cv-44-JL, 
    2014 WL 1513232
    (D.N.H. Apr. 16, 2014)—for the proposition that other courts have
    questioned the viability of the Clover framework. Infra ¶¶ 161–162.
    These cases are not persuasive. Hanus simply states that it finds
    Clover unpersuasive “for the reasons discussed in Glover,” Hanus,
    
    2014 WL 1513232
    , at *5 n.5, so it is only as persuasive as Glover.
    And Glover is fundamentally flawed. Its analysis of Colorado’s
    analog to the Act is at odds with the Colorado Supreme Court’s
    own, authoritative interpretation.
    Glover held that the phrase “integral part of the sport of skiing”
    in Colorado’s Inherent Risks of Skiing Act did not require the
    Glover court to analyze whether each listed risk had, in fact,
    manifested in a way that was “integral” to the sport of skiing. See
    
    Glover, 955 F. Supp. at 109
    . But in Graven v. Vail Assocs, Inc., 
    909 P.2d 514
    (Colo. 1995) (en banc), the Colorado Supreme Court held
    that “[t]he dangers and risks detailed in [the Colorado Inherent
    Risks of Skiing Act] . . . . must be read with [the phrase ‘integral
    part of the sport of skiing’] in mind”—a phrase that, the Colorado
    Supreme Court held, imposed a “limitation” on the extent to which
    the listed risks were “inherent risks of skiing” as a matter of law. 
    Id. at 519.
    This case, which is authoritative and predates Glover,
    directly contradicts Glover’s approach and therefore undermines its
    persuasiveness.
    35
    RUTHERFORD v. TALISKER
    Opinion of the Court
    meaning or application of an act’s provisions, [we] . . . analyze the
    act in its entirety and harmonize its provisions in accordance with
    the legislative intent and purpose.” 
    Id. (citation omitted)
    (internal
    quotation marks omitted).
    ¶76 Having acknowledged the ambiguity in the Act’s
    definition of inherent risks of skiing, 
    see supra
    ¶¶ 31–43, we now
    turn to the best way to resolve that ambiguity. As discussed earlier,
    Clover held that inclusion of a risk in the Act’s exemplary list does
    not end the inquiry into whether that risk constitutes an inherent
    risk of skiing. 
    808 P.2d 1037
    , 1045 (Utah 1991). Rather, the Act
    requires a case-by-case analysis to determine whether the injury-
    causing risk is truly an inherent risk of skiing under the Act. 
    Id. We agree
    with this holding.
    ¶77 To implement this holding, Clover announced a test that
    asks whether a skier “wishes (or does not wish) to confront” a
    certain risk. If a skier wishes to confront a risk, then it is an inherent
    risk. 
    Id. at 1047.
    But if the risk is one a skier would not wish to
    confront, then it is an inherent risk only if a ski area operator could
    not eliminate the risk through the exercise of ordinary care. 
    Id. ¶78 While
    Clover’s holding is faithful to the purpose of the Act,
    
    see supra
    ¶¶ 44–54, we believe that the Clover test could be
    implemented in a way that more precisely tracks the legislative
    intent of the Act. In announcing this clarification, we do not aim to
    overturn the results of our prior decisions in this area. Instead, we
    aim to clarify the implementation of law and more clearly bring it
    in line with the intent of the legislature.
    ¶79 The two-prong analysis under Clover in which a court first
    makes a subjective determination of whether a skier wishes to
    confront a risk followed by an objective determination of the ability
    to eliminate the risk (in the event that the risk is one a skier does
    not subjectively wish to confront), can be effectively collapsed into
    a one-step objective inquiry. Specifically, this objective inquiry asks
    whether a skier reasonably expects to encounter the risk when
    skiing. 27 If so, then the risk is an integral part of the sport of skiing
    27  The dissent argues that this clarification does more than
    clarify the holding in Clover. In its view, our clarification
    “completely rewrit[es]” Clover and “pays no more than lip service
    to the doctrine of stare decisis.” Infra ¶ 90. We disagree.
    (cont.)
    36
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                            Opinion of the Court
    It is true, as the dissent points out, that the clarified test does
    away with the two categories of inherent risks announced in Clover
    and expounded on in White. Indeed, we own the fact that we are
    “transforming a two-step subjective inquiry into a one-part
    objective one.” Infra ¶ 149 n.44. But we are untroubled by this as a
    matter of stare decisis for two reasons.
    First, we do not view the creation of two categories of inherent
    risks as the core holding of Clover. As explained above, 
    see supra
    ¶ 29, the core holding of Clover is that there is a secondary inquiry
    required when evaluating whether an enumerated risk is truly an
    inherent risk of skiing. As we noted in White, “Clover . . . clarified
    the manner in which the [Act] is to be applied. Courts cannot
    determine that a risk is inherent in skiing simply by asking whether
    it happens to be one of those listed in [section 
    402].” 879 P.2d at 1374
    . Instead, “to determine whether the [Act] applies, we must
    decide whether the particular risk which allegedly caused [the]
    injury was an integral part or essential characteristic of the sport of
    skiing.” 
    Id. In this
    sense, we do no damage to Clover because the
    clarified test is indeed a secondary inquiry that we can use to
    evaluate whether an injury-causing risk, enumerated or not, is an
    inherent risk of skiing.
    Second, the single objective inquiry of whether a skier
    reasonably expects to encounter a risk does the same work as the
    two categories of inherent risks announced in Clover. With respect
    to the first category of inherent risks in Clover, it seems clear that a
    skier reasonably expects to encounter those risks which he or she
    wishes to confront. And with respect to the second category, it
    seems equally clear that risks a skier does not wish to confront but
    cannot be eliminated through the use of reasonable care are largely
    synonymous with risks a skier reasonably expects to encounter.
    While a skier may not wish to confront certain things such as rocks,
    forest growth, and lift towers, a skier nonetheless reasonably
    expects to encounter these things in their ordinary state—in the
    context of skiing—because they are risks that cannot be eliminated
    through the exercise of reasonable care and therefore inhere in the
    sport.
    Because our clarification today remains true to the core holding
    of Clover and does the same work as the Clover test, we view it as
    just that—a clarification. And we are always free to “clarif[y]
    ambiguities in past opinions without overruling their holdings.” In
    (cont.)
    37
    RUTHERFORD v. TALISKER
    Opinion of the Court
    and therefore an inherent risk of skiing. And by extension, the list
    of enumerated risks captures those risks that the legislature
    believed to be inherent risks of skiing when they are encountered in
    the way that skiers would reasonably expect to encounter them. We
    believe this test effectively captures the legislature’s intent when it
    announced that skiers assume the inherent risks of skiing as a
    matter of law. 28
    re Adoption of Baby B., 
    2012 UT 35
    , ¶ 60 n.23, 
    308 P.3d 382
    . “Such a
    decision is entirely consistent with the principle of stare decisis.” 
    Id. 28 The
    dissent laments that our clarification “seems to articulate
    two alternative standards,” infra ¶ 185, and “sounds alternatively as
    either a question of law . . . or a fact-intensive mixed question,”
    infra ¶ 91. In the dissent’s view, cases decided under this
    framework are not decided “as a matter of law” because they could
    be potentially “subject to a factual negligence inquiry.” Infra ¶ 106.
    We see no inconsistency in the reality that a determination under
    this framework may require a predicate factual inquiry in some
    cases—even those involving enumerated risks. A determination
    made under this framework may involve predicate factual
    findings, but the ultimate conclusion is nevertheless made as a
    matter of law.
    It is true that the Act’s public policy section states that one
    purpose of the Act is “to establish as a matter of law that certain
    risks are inherent in [the] sport [of skiing].” Indeed, the Act
    establishes “as a matter of law that certain risks are inherent” to
    skiing. But this does not lead to the conclusion that the reference to
    “certain risks” is a reference to the enumerated risks, as the dissent
    suggests. Infra ¶ 114. Instead, as this court held in Clover, those
    certain risks that are inherent to skiing are those risks that are
    “integral part[s] of the sport of 
    skiing.” 808 P.2d at 1044
    (internal
    quotation marks omitted). Therefore, under the Act, risks that are
    an integral part of the sport of skiing are inherent to the sport of
    skiing as a matter of law.
    The potential for factual inquiry, whether it be through expert
    testimony or otherwise, to determine whether a risk is an integral
    part of the sport of skiing does not affect the ultimate conclusion
    that any risk found to be an integral part of the sport of skiing is an
    inherent risk under the Act as a matter of law. In other words, once
    a risk has been shown to be an integral part of the sport of skiing—
    (cont.)
    38
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                            Opinion of the Court
    ¶80 To determine the legislature’s intent we can turn to the
    Act’s definition of inherent risks of skiing in section 402. Along
    with the general definition of inherent risks of skiing, the Act also
    provides an exemplary list of inherent risks of skiing in section 402.
    Crucial to our understanding of the legislature’s intent is the way in
    which the exemplary risks are presented: the risks listed in section
    402 are presented in an entirely unremarkable manner. That is, all
    of the risks are presented in the manner in which a skier would
    reasonably expect to encounter them. See supra ¶ 38. This is useful
    for understanding exactly what types of risks for which the
    legislature intended to bar recovery.
    ¶81 For example, the Act bars recovery for injury caused by
    impact with lift towers. The relevant inquiry in a case involving an
    impact with a lift tower is whether the legislature meant for the Act
    to cover the kind of impact with a lift tower at issue in the case. In
    deciphering what kinds of impact with lift towers the legislature
    envisioned when drafting the statute, it is telling that the legislature
    chose to simply use “lift towers” with no other qualifying terms.
    This language conjures up images of standard lift towers as any
    skier would reasonably expect to encounter them. Similarly, the use
    of “impact” suggests that the types of impacts contemplated with
    lift towers are those impacts that a skier could reasonably expect to
    occur while skiing. Interpreting the exemplary risks in this manner
    dispatches with the possibility of the kind of absurd or
    unreasonable results that the legislature could not have intended
    when applying the Act. See Anderson v. Utah Cty., 
    368 P.2d 912
    , 913
    n.3 (Utah 1962) (“[I]t is a general rule that where a statute is
    ambiguous in terms and fairly susceptible of two constructions, the
    unreasonableness or absurdity which may follow one construction
    or the other may properly be considered. Unreasonable, absurd, or
    ridiculous consequences should be avoided.” (citation omitted)
    which is done by showing that a skier would reasonably expect to
    encounter that risk—there is no more discussion to be had about
    whether that risk is inherent: risks that a skier would reasonably
    expect to encounter are inherent risks as a matter of law. And the
    import of that conclusion is that a plaintiff may not recover from a
    ski area operator for any injury resulting therefrom.
    39
    RUTHERFORD v. TALISKER
    Opinion of the Court
    (internal quotation marks omitted)). 29 Instead of barring recovery
    for an impact with a lift tower lying on its side waiting to be
    erected or painted to blend in with its alpine setting, the Act bars
    recovery for impacts with lift towers as skiers reasonably expect to
    encounter them. By extension, instead of barring recovery for an
    injury in which the chairlift cable snaps and a skier is thrown from
    a lift chair into a lift tower, the Act bars recovery for impacts as
    skiers would reasonably expect them to occur, such as skiing out of
    control and crashing into an ordinary lift tower. 30
    29  While we have referred to this canon as the “absurd
    consequences canon,” see, e.g., Utley v. Mill Man Steel, Inc., 
    2015 UT 75
    , ¶ 39 n.14, 
    357 P.3d 992
    , we note that the designation is
    somewhat of a misnomer. Instead of encompassing only truly
    “absurd” consequences, this interpretive canon also applies in
    cases involving ambiguities that ask us to choose between two
    plausible constructions. In cases presenting two plausible readings,
    the absurd consequences canon, generally speaking, causes us to
    prefer the more reasonable interpretation, even if the less
    reasonable interpretation could not be accurately described as
    “absurd.”
    30  The dissent complains that our use of the adjective “ordinary”
    “sounds like the framing of a legal question,” while the rest of our
    framework “seems more of a factual inquiry.” Infra ¶ 188. And the
    dissent views this as creating “internal tension” in our approach.
    Infra ¶ 188. Not so. All that is meant here by use of the word
    “ordinary” is that the lift tower is encountered in the way in which
    a skier would reasonably expect to encounter it. In some cases,
    such as the dissent’s proposed hypothetical about a lift tower a
    plaintiff claims to be negligently designed, infra ¶ 192, a factual
    inquiry may be necessary to determine whether the lift tower is one
    skiers would reasonably expect to encounter—or in other words,
    whether it is an ordinary lift tower.
    Furthermore, we disagree with the dissent’s assertion that “we
    must identify what counts as part of the relevant ‘way’” in which
    risks are encountered. Infra ¶ 191. There is no reason to cabin the
    analysis to the color, shape, placement, design, etc. of the risk in
    determining whether a skier would reasonably expect to encounter
    it. All elements of a given risk are relevant to the determination of
    (cont.)
    40
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                             Opinion of the Court
    ¶82 In addition to tracking the commonplace descriptions of
    risks in section 402, requiring an analysis of whether a skier would
    reasonably expect to encounter a given risk aligns with the purpose
    of the Act. As section 401 states, the purpose of the Act was to
    “clarify the law” as it existed in 1979. As discussed earlier, the Act
    served to reassert the defense of primary assumption of risk with
    respect to ski injuries. See supra ¶¶ 44–54. Under a primary
    assumption of risk analysis, the question is not necessarily whether
    a skier would “wish” to encounter a certain risk, but whether a risk
    is inherent or essential to the sport of skiing and therefore whether
    the risk is one that a skier reasonably expects to encounter when
    participating in the sport. See, e.g., Hansen v. Flying J Travel Plaza, 57
    Fed. App’x 214, 216 (6th Cir. 2003) (“A baseball spectator assumes
    the risk of injury because it is common knowledge that hard balls
    may be thrown or batted at great speeds into the stands.”); Fleury v.
    IntraWest Winter Park Operations Corp., 
    372 P.3d 349
    , 355 (Colo.
    2016) (Marquez, J., dissenting) (“The many hazards listed in
    [Colorado’s Inherent Risks of Skiing Act] as ‘inherent dangers and
    risks of skiing’ are common, everyday conditions that any skier . . .
    reasonably can expect to encounter . . . .”); Morgan v. State, 
    685 N.E.2d 202
    , 207 (N.Y. 1997) (“[B]y engaging in a sport . . . a
    participant consents to those commonly appreciated risks which
    are inherent in and arise out of the nature of the sport generally
    . . . .”); Turcotte v. Fell, 
    502 N.E.2d 964
    , 968 (N.Y. 1986) (“As a
    general rule, participants properly may be held to have consented,
    by their participation, to those injury-causing events which are
    known, apparent or reasonably foreseeable consequences of the
    participation.”). Regardless of whether a skier wishes to confront
    the inherent risks of skiing, skiers nonetheless reasonably expect to
    encounter those risks that inhere in the sport.31
    ¶83 Because the legislature described the listed risks in their
    ordinary forms and the Act served to reassert the availability of the
    whether it was presented in the way a skier would reasonably
    expect to encounter it.
    31  The dissent faults us for not quantifying the level of
    expectation necessary for a risk to be considered an integral part of
    the sport of skiing. Infra ¶ 193. But we repeatedly state that the
    level of expectation required is a reasonable expectation. See supra
    ¶¶ 79–82.
    41
    RUTHERFORD v. TALISKER
    Opinion of the Court
    defense of primary assumption of risk, we hold today that the
    inherent risks of skiing are those risks which a skier would
    reasonably expect to encounter while skiing. And with respect to
    the risks enumerated in section 402, those risks are inherent risks of
    skiing only to the extent that a skier could reasonably expect to
    encounter them. We believe that this clarification of Clover remains
    true to the core holding of that case while simultaneously
    interpreting the language of the Act in a way that comports with
    the intent of the legislature. And although we expect the outcomes
    under this clarified standard to be the same as the outcomes under
    the old standard, we nonetheless remand this case to the district
    court to determine whether a skier would reasonably expect to
    encounter the wet, sticky snow that Levi encountered at The
    Canyons.
    ¶84 The legislature, of course, retains the power to amend the
    Act and overrule our interpretation, which it has thus far declined
    to do. To the extent our current holding is not in line with the
    legislature’s actual intent, “we [continue to] invite the Utah
    Legislature to revisit the [Act] to provide clarity in this area.” State
    v. McNearney, 
    2011 UT App 4
    , ¶ 10 n.2, 
    246 P.3d 532
    .
    CONCLUSION
    ¶85 We affirm the court of appeals with respect to the
    preinjury release. The preinjury release executed by Levi’s father on
    his behalf is void as against public policy. We also affirm the court
    of appeals to the extent that it chose to apply Clover to these facts.
    We remand, however, for a determination in accordance with our
    clarified implementation of Clover’s holding as to whether there
    exists a disputed issue of material fact with respect to the
    machine-made snow exemption.
    ASSOCIATE CHIEF JUSTICE LEE, dissenting in part:
    I. INTRODUCTION
    ¶86 The Inherent Risks of Skiing Act is simple and
    straightforward. It provides a detailed but non-exclusive list of
    “inherent risks” of skiing, UTAH CODE § 78B-4-402(1)—a list that
    includes “snow or ice conditions” of all kinds, including
    “machine-made snow.” 
    Id. § 78B-4-402(1)(b).
    And it bars claims
    42
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                        Lee, A.C.J., dissenting in part
    against ski resorts for injuries resulting from these and other
    “inherent risks” enumerated by the legislature. 
    Id. § 78B-4-403.
        ¶87 Our case law has distorted the clear terms of this statute. In
    Clover v. Snowbird Ski Resort, 
    808 P.2d 1037
    (Utah 1991), we erased
    the categorical bar on recovery for inherent risks of skiing listed in
    the statute and introduced negligence into the equation. In so doing
    we nullified the statutory list of inherent risks and redefined that
    term in accordance with a new liability regime of our own making.
    Clover conditions statutory immunity on proof that the risk in
    question (even one listed in the statute) is one that “no one wishes
    to confront” and that “cannot be alleviated by the use of reasonable
    care on the part of a ski resort.” 
    Clover, 808 P.2d at 1047
    .
    ¶88 This standard has never been elucidated in any workable
    detail. We have never explained how a court is to decide whether a
    risk is one that a skier may “wish[] to confront,” or what sort of
    evidence may be permitted or required to prove this threshold
    element. The closest we have come to an explanation is a set of
    categorical statements in White v. Deseelhorst—that risks such as
    “steep grades, powder, and mogul runs” are risks that skiers wish
    to confront (and that ski resorts are thus “relieved of any obligation
    to eliminate”), and that risks like “bare spots, forest growth, rocks,
    stumps, . . . lift towers and other structures” are risks that skiers do
    not wish to confront (and thus that are inherent only if they cannot
    be “eliminated by reasonable care”). 
    879 P.2d 1371
    , 1375 (Utah
    1994) (alteration in original) abrogated on other grounds by Penunuri v.
    Sundance Partners Ltd., 
    2011 UT 54
    , 
    423 P.3d 1150
    . We have never
    offered any clarification on our methods of devising these
    categories, however. And we have never prescribed a standard or
    means of proving that a risk is one that “cannot be alleviated by the
    use of reasonable care on the part of a ski resort.” 
    Clover, 808 P.2d at 1047
    . Our opinions in this field, moreover, have been deeply
    divided—with various members of the court questioning the
    compatibility of the Clover framework with the text of the statute.1
    1See White v. Deseelhorst, 
    879 P.2d 1371
    , 1377 (Utah 1994)
    (Zimmerman, C.J., concurring) (noting that he “may not agree”
    (cont.)
    43
    RUTHERFORD v. TALISKER
    Lee, A.C.J., dissenting in part
    ¶89 These and other concerns prompted us to invite the parties
    to submit supplemental briefs on whether we should reformulate
    the Clover standard of liability. The petitioners responded with an
    extensive showing of the basis for repudiating the Clover standard
    under our doctrine of stare decisis. They have highlighted the degree
    to which Clover distorts the legal framework enacted by the
    legislature—depriving the statutory list of inherent risks of any
    meaning, and replacing the statutory grant of immunity with a
    vague inquiry into negligence. And they have questioned the
    workability of the existing framework by noting the difficulty of
    (and lack of any guidance in our cases on) deciding whether a risk
    is one that a skier “wishes to confront.” The respondents, for their
    part, asked us to retain the Clover framework. They urged a
    reaffirmation of this precedent under the doctrine of stare decisis.
    But they offered little or no help in prescribing a workable means of
    applying Clover to a case like this one.
    ¶90 The majority rejects the petitioners’ request that we
    repudiate Clover. It opines at length about the importance of the
    doctrine of stare decisis. And it purports to “clarify” and
    “streamline” the Clover standard in a way that renders it more
    transparent and workable. Supra ¶¶ 3, 12. For all its fulmination,
    however, the court pays no more than lip service to the doctrine of
    stare decisis—stating a patriotic commitment to Clover as super
    precedent in one breath while completely rewriting the Clover
    standard in the next. The rewriting is substantial. The majority
    replaces the two-part standard from Clover with a one-part
    standard of its own making. Under the majority opinion we ask
    only what a “reasonable skier” would “expect to confront.” We
    have reframed the first step and eliminated the second. And we
    apparently have abandoned the two categories of risks set forth in
    White—with “steep grades, powder, and mogul runs” on the “wish
    to confront” side and “’bare spots, forest growth, rocks, stumps, . . .
    lift towers and other structures’” on the “prefer to avoid” side.
    with Clover); 
    id., (Russon, J.
    , dissenting) (asserting that Clover
    “contradicts the plain language” of the statute).
    44
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                        Lee, A.C.J., dissenting in part
    ¶91 Despite this reformulation, the court does nothing to solve
    the workability problems that have plagued our courts for decades
    and that prompted our supplemental briefing order and multiple
    oral arguments in this court. The court relabels the standard—
    replacing the verb “wish” with “expect.” And it frames the
    question in objective terms. But the court’s opinion never answers
    any of the practical questions that we posed to the parties in our
    supplemental briefing order. In fact, it compounds the
    unworkability of Clover by presenting a standard that sounds
    alternatively as either a question of law (as to whether the risk in
    question is presented in a manner that falls within the ordinary
    meaning of the terms of the statutory list) or a fact-intensive mixed
    question (as to whether a reasonable skier would expect to
    encounter the type of risk that is presented in the relevant
    circumstances). See infra Part II.D (discussing this problem). And
    the majority never tells us how either of these standards is to be
    established—by the court as a matter of law, or by a fact-finder
    weighing evidence. Nor does the court clarify what it means for a
    given risk to be “expected,” or how expectation is to be proven
    (through expert testimony, etc.). See infra Part II.D.
    ¶92 We can do better. Once we own up to the fatal workability
    problems with Clover we should do more than just rearrange deck
    chairs. We should state a clear, workable standard that gives voice
    to the statutory scheme enacted by our legislature. I would do so. I
    would apply the Inherent Risks of Skiing Act as written and hold
    that the petitioners are entitled to immunity under the statute if
    they can establish that the plaintiff’s injuries in this case resulted
    “from any of the inherent risks of skiing,” UTAH CODE § 78B-4-403,
    listed in the statute, such as “snow or ice conditions as they exist or
    may change,” including “machine-made snow,” and “variations . . .
    in terrain” resulting from “snowmaking or grooming operations.”
    
    Id. § 78B-4-402(1)(b),(d).
    I would interpret the listed “[i]nherent
    risks of skiing” in their ordinary sense. And I would reverse and
    remand to allow the parties to present evidence and argument to
    the district court on the question whether the injury in question
    resulted from these or other inherent risks of skiing.
    ¶93 This approach respects the independent meaning canon
    and related canons cited by the majority. See supra ¶¶ 33-38. The
    45
    RUTHERFORD v. TALISKER
    Lee, A.C.J., dissenting in part
    cited canons all emphasize a central point—that the statutory
    definition of “[i]nherent risks of skiing” includes a phrase (“an
    integral part of the sport of . . . skiing”) that should be given
    independent meaning as a modifier of the statutory “[i]nherent
    risks.” But that is common ground. Everyone agrees that the
    “integral part of the sport” clause has this independent meaning as
    a modifier. The question is how the modifier works—in particular,
    whether it calls for a court to make an independent assessment of
    whether even a listed risk of skiing is “integral” to the sport, or
    whether listed risks are deemed categorically “integral” by being
    listed. I see no basis for the former approach. It fails because it
    completely nullifies the detailed statutory list of inherent risks. My
    reading, by contrast, gives meaning both to the statutory list and to
    the “integral part of the sport” clause.
    ¶94 Under my reading, listed risks are categorically included
    as “[i]nherent risks of skiing.” That is the whole point of the
    statutory list. See UTAH CODE § 78B-4-401 (emphasizing that the
    statute’s purpose is to “establish as a matter of law that certain risks
    are inherent in th[e] sport” (emphasis added)); 
    id. § 78B-4-402(1)
    (indicating that listed risks are “includ[ed]” in the “dangers or
    conditions which are an integral part of the sport of . . . skiing”).
    And that list can be treated as categorical without depriving the
    “integral to the sport” clause of its own meaning. The statutory
    definition, after all, also encompasses unlisted risks—the list is only
    exemplary. So for an unlisted risk a court must make its own
    independent assessment of whether it is an “integral part of the
    sport” of skiing. That is the independent meaning of this clause.
    ¶95 My approach also leaves room for the majority’s concerns
    about “absurd” applications. If a ski area operator were ever to
    stoop to the folly of constructing a “lift tower” that is “practically
    invisible to skiers,” supra ¶ 39, an injured skier could simply assert
    that such a tower does not fall within the ordinary meaning of the
    sort of “lift tower” that is “includ[ed]” as an “[i]nherent risk[] of
    skiing.” Or, alternatively, the injured skier could seek resort in the
    doctrine of absurdity—a safety valve built into our law of
    interpretation that is designed specifically to deal with the kinds of
    absurd problems that the majority has imagined. If and when these
    sorts of outliers come to the court, we could then decide whether to
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    override clear statutory text on the ground that “no rational
    legislator could possibly have intended” such an application.
    Garfield Cty. v. United States, 
    2017 UT 41
    , ¶ 23 n.55, 
    424 P.3d 46
    . But
    that is not what the majority is doing here. It is not saying that the
    circumstance before us in this case is so absurd as to justify an
    isolated departure from the statutory text on the facts of this case. It
    is conjuring absurd possibilities to support the sweeping
    conclusion that the statute can never mean what it says. That is not
    how the doctrine of absurdity works. Or at least it is not how it has
    ever worked before today. See John F. Manning, The Absurdity
    Doctrine, 116 HARV. L. REV. 2387, 2388 (2003) (noting that the
    absurdity doctrine operates to override the text when a “given
    application” would produce absurd results).
    ¶96 I respectfully dissent. I would hold that the Inherent Risks
    of Skiing Act means what it says. And I would reverse and remand
    to allow the district court and the parties to assess the question of
    liability in this case in accordance with the statutory standard.
    II. ANALYSIS
    ¶97 In enacting the Inherent Risks of Skiing Act, the legislature
    found that the sport of skiing “significantly contribut[es] to the
    economy of this state” and concluded that insurance “premiums”
    for “ski area operators” “have risen sharply in recent years due to
    confusion as to whether a skier assumes the risks inherent in the
    sport of skiing.” UTAH CODE § 78B-4-401. With these concerns in
    mind, the legislature also adopted a statement of “purpose”: “to
    clarify the law in relation to skiing injuries and the risks inherent in
    that sport, to establish as a matter of law that certain risks are
    inherent in that sport, and to provide that, as a matter of public
    policy, no person engaged in that sport shall recover from a ski
    operator for injuries resulting from those inherent risks.” 
    Id. The operative
    terms of the statute effectuate this purpose. But Clover
    overrides those statutory terms. And it does so in a manner that is
    unworkable and thus unworthy of deference under our doctrine of
    stare decisis.
    ¶98 I set forth the basis for my conclusions and my response to
    the majority in the paragraphs below. First I highlight the
    incompatibility of Clover with the text of the Inherent Risks of
    47
    RUTHERFORD v. TALISKER
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    Skiing Act. Second, I explain the basis for my conclusion that Clover
    is not only wrong but so clearly wrong and so unworkable that the
    usual presumption of stare decisis is rebutted. Third, I articulate a
    legal standard that is dictated by the text and structure of the
    Inherent Risks of Skiing Act and describe the grounds on which I
    would reverse and remand the case to the district court. Fourth, I
    highlight problems and unanswered questions with the majority’s
    reformulation of the Clover test, emphasizing that the new test
    represents a substantial departure from the old one while also
    managing not to answer any of the practical problems highlighted
    by the parties in their briefing in this case.
    A. Clover is Incompatible with the Statute
    ¶99 The text of the Inherent Risks of Skiing Act is clear,
    straightforward, and categorical. It says that “no skier may make
    any claim against, or recover from, any ski area operator for injury
    resulting from any of the inherent risks of skiing.” 
    Id. § 78B-4-403.
        ¶100 The statute also prescribes a comprehensive definition of
    the “inherent risks of skiing.” It says that “‘[i]nherent risks of
    skiing’ means those dangers or conditions which are an integral
    part of the sport of recreational, competitive, or professional
    skiing.” 
    Id. § 78B-4-402(1).
    And it sets forth a list of risks that are
    “includ[ed]” in the statutory definition. 
    Id. The non-exclusive
    statutory list includes “snow or ice conditions as they exist or may
    change, such as hard pack, powder, packed powder, wind pack,
    corn, crust, slush, cut-up snow, or machine-made snow.” 
    Id. § 78B-
    4-402(1)(b) It also includes “variations or steepness in terrain,
    whether natural or as a result of slope design, snowmaking or
    grooming operations, and other terrain modifications.” 
    Id. § 78B-
    4-
    402(1)(d) These terms, as noted, should be interpreted in
    accordance with their ordinary meaning.
    ¶101 The Clover framework overrides the categorical
    immunity called for by the statute. It does so by obliterating the
    concept of statutory immunity for enumerated risks “establish[ed]
    as a matter of law,” 
    Id. § 78B-
    4-401, and “includ[ed]” in the
    definition of “[i]nherent risks of skiing,” 
    id. § 78B-4-402(1)
    , and
    substituting instead an assessment of whether any given risk
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    should qualify for statutory protection “under the facts of each
    case.” Clover v. Snowbird Ski Resort, 
    808 P.2d 1037
    , 1044 (Utah 1991).
    ¶102 Under Clover the statutory list of “inherent risks of
    skiing” is superfluous. Infra ¶¶ 114–18. Instead of embracing the
    statutory list the Clover court replaces it with two new tiers of “risks
    of skiing”—those risks skiers “wish to confront” and those they do
    not. 
    Clover, 808 P.2d at 1046
    –47. Under Clover, “[t]he inherent risks
    of skiing are those dangers that skiers wish to confront as essential
    characteristics of the sport of skiing or hazards that cannot be
    eliminated by the exercise of ordinary care on the part of the ski
    area operator.” 
    Id. In other
    words, Clover divides the “inherent risks
    of skiing” into “two categories”: (1) those “risks, such as steep
    grades, powder, and mogul runs, which skiers wish to confront as
    an essential characteristic of skiing”; and (2) those risks “which no
    one wishes to confront but cannot be alleviated by the use of
    reasonable care on the part of a ski resort.” 
    Id. at 1047.
        ¶103 These “categories” bear no relation to the text and
    structure of the Inherent Risks of Skiing Act. The statute makes no
    mention of the inquiry into the skier’s mindset—of wishing, or not
    wishing, to confront certain risks. And the statutory list of
    “inherent risks” leaves no room for the Clover court’s formulation.
    The statute treats all listed risks equally. All are identified as
    “inherent risks of skiing.” And all are on parallel statutory terms.
    ¶104 The Clover court overrides this structure. It says that
    some of the listed risks qualify for statutory immunity but others
    do not. And it says that the dividing line depends on a criterion
    nowhere listed in the statute—on whether it is a risk skiers “wish to
    confront.”
    ¶105 The Clover opinion provides no definition of this crucial
    criterion. But it does identify some of the risks listed in the statute
    that purportedly qualify for statutory protection: “steep grades,
    powder, and mogul runs.” 
    Id. This only
    highlights the
    incompatibility of the Clover standard with the terms and structure
    of the Inherent Risks of Skiing Act. Perhaps there are good policy
    reasons for treating risks like “steep grades, powder, and mogul
    runs” differently from other, more treacherous risks identified by
    the legislature—like “bare spots, forest growth, rocks, stumps,
    49
    RUTHERFORD v. TALISKER
    Lee, A.C.J., dissenting in part
    streambeds, cliffs, trees, and other natural objects,” or “impact with
    lift towers and other structures and their components such as signs,
    posts, fences or enclosures, hydrants, or water pipes.” UTAH CODE
    § 78B-4-402(1)(c),(e). And maybe the intuition behind this policy is
    that skiers generally “wish [or expect] to confront” only the former
    risks as a necessary part of skiing. But this policy is not the one
    embraced by the legislature.
    ¶106 The Inherent Risks of Skiing Act also affords categorical
    immunity to enumerated risks of skiing “as a matter of law.” 
    Id. § 78B-
    4-401. But Clover reintroduces a negligence standard, asking
    whether the risk can “be alleviated by the use of reasonable care.”
    
    Clover, 808 P.2d at 1047
    . If so, the ski resort can be held liable. With
    that in mind, I cannot think of a single “inherent risk” that would
    not be subject to a factual negligence inquiry, and thus actually be
    decided “as a matter of law” as contemplated by the statute. 2 Infra
    ¶ 145. Both prongs of the Clover framework are thus incompatible
    with the statute because they override the clear terms and structure
    of the Act.
    ¶107 The majority offers a series of defenses of the merits of
    the Clover framework—arguing that it: (1) is consistent with the
    “structure” of the statute and certain canons of construction, supra
    ¶¶ 33–38; (2) better advances the stated legislative goal of
    “‘clarify[ing] the law,’” supra ¶ 44 (quoting 
    Clover, 808 P.2d at 1045
    ); (3) avoids absurd or arbitrary consequences, supra ¶ 41; and
    (4) furthers the interests of the doctrine of constitutional avoidance,
    2  My point is not that legal questions are never subject to a
    “predicate factual inquiry.” Supra ¶ 79 n. 28. It is that the legal
    standards prescribed by this statute—in a list of risks deemed
    “inherent” as a matter of law—cannot properly be subject to such
    an inquiry. In subjecting it to a fact-intensive negligence inquiry,
    the majority deprives the statutory list of its expressly intended
    effect (of establishing inherent risks as a matter of law). The
    problem here, moreover, is that the standard articulated by the
    majority does not just “require a predicate factual inquiry in some
    cases.” Supra ¶79 n.28 (emphasis added). It requires such an inquiry
    in every case—as to listed statutory risks and unlisted risks alike.
    This makes the list entirely ineffectual.
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    supra ¶¶ 55-58. None of these points is persuasive. I respond to
    each below.
    1. Statutory Structure and Canons of Construction
    ¶108 The majority claims that Clover respects the “structure” of
    the Inherent Risks of Skiing Act. It cites a series of canons that it
    views as reinforcing the framework set forth in that decision. Supra
    ¶¶ 33-38.
    ¶109 The “structure” cited by the majority is the phrase
    “integral part of the sport of . . . skiing.” The majority hangs its
    textual defense of Clover on this clause. It notes that this clause is an
    element of the definition of the “[i]nherent risks of skiing.” And it
    cites the independent meaning canon to emphasize the
    independent function of this provision in the statutory definition of
    the “[i]nherent risks of skiing.” The majority’s insistence on the
    independent role of the “integral part of the sport” clause is
    unassailable. But it is also unhelpful to the defense of Clover.
    ¶110 I have no quarrel with the proposition that the “integral
    part of the sport” clause “provides important, independent value”
    in the statute. Supra ¶ 37. This provision, moreover, surely
    “modifies the ‘dangers’ and ‘conditions’” that count as an
    “[i]nherent risk[] of skiing.” It does not follow, however, that the
    question whether a danger—be it listed or not—is covered by the
    statute requires a “case-by-case analysis” of whether that risk is an
    integral part of the sport. Supra ¶ 29.
    ¶111 That is a premise of Clover. But that premise overrides
    and completely discredits the statutory list of inherent risks—
    treating it as an exercise in futility. That cannot be the right way to
    interpret this statute. The statutory list of risks must have some
    meaning. And we can preserve independent meaning for the list
    while also crediting the “integral part of the sport” clause.
    ¶112 There is a straightforward way to preserve independent
    meaning for both the “integral part of the sport” clause and the
    statutory list of “inherent risks.” All we have to do is recognize the
    dual nature of the statutory definition. By statute, both listed and
    unlisted risks may qualify as “inherent risks of skiing.” The
    operative provision thus consists of a general definition of
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    RUTHERFORD v. TALISKER
    Lee, A.C.J., dissenting in part
    “[i]nherent risks of skiing” and a list of risks that are “includ[ed]”
    in that definition:
    (1) “Inherent risks of skiing” means those dangers or
    conditions which are an integral part of the sport
    of recreational, competitive, or professional skiing,
    including, but not limited to:
    (a) changing weather conditions;
    (b) snow or ice conditions as they exist or may
    change, such as hard pack, powder, packed
    powder, wind pack, corn, crust, slush, cut-up
    snow, or machine-made snow;
    (c) surface or subsurface conditions such as bare
    spots,   forest   growth,    rocks,   stumps,
    streambeds, cliffs, trees, and other natural
    objects;
    (d) variations or steepness in terrain, whether
    natural or as a result of slope design,
    snowmaking or grooming operations, and
    other terrain modifications such as terrain
    parks, and terrain features such as jumps, rails,
    fun boxes, and all other constructed and
    natural features such as half pipes, quarter
    pipes, or freestyle-bump terrain;
    (e) impact with lift towers and other structures
    and their components such as signs, posts,
    fences or enclosures, hydrants, or water pipes;
    (f) collisions with other skiers;
    (g) participation in, or practicing or training for,
    competitions or special events; and
    (h) the failure of a skier to ski within the skier’s
    own ability.
    UTAH CODE § 78B-4-402. The “integral part of the sport of . . .
    skiing” clause is significant. This clause states the general
    precondition for a risk to qualify as “inherent.” It makes clear that
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    any risk may qualify as “inherent” if it is an “integral part of the
    sport” of skiing.
    ¶113 This is a clear, independent function of the “integral part
    of the sport of skiing” clause. It forms the backbone of the statute’s
    generally applicable definition of “inherent risks of skiing.” For
    unlisted risks it is the controlling inquiry.3
    3 For unlisted risks I agree with the majority’s invocation of the
    ejusdem generis canon of construction. See supra ¶ 38. In defining
    risks “not covered” by the statutory list we should undoubtedly
    look to the “character and nature” of the listed risks. Supra ¶ 38.
    But the majority takes this canon a couple of puzzling steps further.
    First is the assertion that the statutory list is useful (and not
    superfluous) simply because it can inform the meaning of the
    catchall definition of risks not included in the express list. Supra
    ¶ 38. This is a distortion of the canon, or a use of ejusdem that
    would invoke a wholesale override of the independent meaning
    canon. Statutory lists certainly inform ambiguities in catchall
    fallbacks. But I have never encountered the idea that that is the
    whole point of a statutory list—or that we can ignore the
    straightforward application of a list because its sole function might
    be to inform the meaning of the catchall. This use of ejusdem would
    do more than override the canon of independent meaning; it would
    defy common sense. And it would give us a license to ignore clear
    statutory lists—lists clearly intended to have independent
    meaning—because the only meaning of the list may be to inform a
    catchall term.
    This leads to the second problem with the majority’s use of this
    canon. The court is effectively turning the canon upside down.
    “The ejusdem generis canon applies when a drafter has tacked on a
    catchall phrase at the end of an enumeration of specifics.” ANTONIN
    SCALIA & BRYAN A. GARNER, READING LAW: THE INTERPRETATION OF
    LEGAL TEXTS 199 (2012). The canon tells us that the meaning of the
    “catchall phrase” is informed by the character or nature of the
    enumerated “specifics.” 
    Id. But the
    majority isn’t interpreting the
    catchall—the definition of unlisted risks. It is “interpreting” (I
    would say overriding) the enumerated specifics. And it is doing so
    by incorporating an element of the catchall definition—“integral
    part of the sport” of skiing—to override the terms on the list. This
    (cont.)
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    ¶114 It does not follow, however, that the statute leaves a
    court free to make its own independent assessment of whether a
    listed inherent risk is an “integral part of the sport of . . . skiing.”
    The whole point of the statutory list is “to establish as a matter of
    law that certain risks are inherent in th[e] sport” of skiing. 
    Id. § 78B-
    4-401. And the list is rendered superfluous if enumerated
    risks are still subject to elimination if they are not deemed
    “integral” to skiing. 4
    isn’t how it works. I know of no basis for considering the
    “character and nature” of listed risks in deciding whether listed
    risks count. Certainly that’s not what ejusdem generis is about. The
    majority’s approach is a gross distortion of the ejusdem generis
    canon.
    4 In a puzzling attempt to avoid this problem the majority notes
    that section 404 of the Act “requires ski area operators to post
    warning signs that list the inherent risks of skiing set forth in
    section 402.” Supra ¶ 37. And it suggests that the list in section 402
    may function simply to tell the ski area operator which risks to list
    on its warning signs. This assertion falters on two grounds. First,
    the majority ignores the express, obvious function that listed risks
    have under the statute—not just in establishing the components of
    a warning sign but in barring skiers from asserting “any claim
    against, or recover[ing] from, any ski area operator for injury
    resulting from any of the inherent risks of skiing.” UTAH CODE
    § 78B-4-403. This is the heart of the Act. See 
    id. § 78B-4-401
    (stating
    that the “purpose” of the statute is “to provide that, as a matter of
    public policy, no person engaged in th[e] sport [of skiing] shall
    recover from a ski operator for injuries resulting from th[e]
    inherent risks” of the sport). The majority says that warning signs
    provide “important, independent value.” Supra ¶ 37. But its
    approach eliminates the express, core function of a list of “inherent
    risks,” yielding no independent meaning to the independent
    function of providing immunity for injuries arising from listed
    risks. The court is right that the statute’s requirement of a warning
    sign is a separate one. But the requirement makes no sense as
    understood by the majority. Surely the point of a “warning sign[]
    that list[s] the inherent risks of skiing set forth in section 402,” supra
    ¶ 37, is a warning sign that means something. Yet the warning sign
    (cont.)
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    ¶115 The “integral part of the sport” clause thus plays a
    central, independent role in the statutory definition. It modifies the
    definition of “[i]nherent risks of skiing.” But the question is how
    the modifier works—whether it calls for an independent judicial
    assessment of whether even listed risks are “integral,” or whether
    listed risks are categorically deemed “integral” by being listed. The
    latter reading is the correct one. And it is the only one that
    preserves independent meaning both for the “integral part of the
    sport” clause and for the statutory list of “includ[ed]” inherent
    risks.
    ¶116 The statutory list is extensive and detailed but non-
    exhaustive. It comes on the heels of the general definition—which
    consists of the “integral part of the sport” of skiing clause—as a set
    of dangers that are “includ[ed]” in the definition.           See 
    id. § 78B-4-402(1)
    (stating that the “[i]nherent risks of skiing”
    “includ[e]” but are “not limited to” the listed dangers). Clover also
    renders that proviso superfluous. It says that listed dangers may or
    may not be included—it depends on whether a court deems them
    “integral” in the sense of being risks skiers “wish to confront.” This
    is yet another problem with the Clover framework.
    ¶117 We have never clearly stated what it means for a risk to
    be one that skiers “wish to confront.” But we have asserted that
    some of the risks listed by the legislature are “inherent” in skiing
    and that others are not. We have characterized “steep grades,
    powder, and mogul runs” as “inherent” in the sport of skiing,
    as imagined by the majority is pointless. If inherent risks listed by
    the legislature are not controlling, as Clover and the majority
    indicate, see infra Part II.D., then a ski resort would have no reason
    to list those risks on a posted sign. Instead the sign should tell
    skiers that skiing will subject them to risks that a reasonable skier
    would “expect to confront,” however that standard may be
    defined. This is the second problem with the notion that the
    warning sign required by section 404 gives independent meaning
    to the statutory list of inherent risks. The majority has rendered the
    list irrelevant. And that also renders the required warning sign
    superfluous.
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    while insisting that “‘bare spots, forest growth, rocks, stumps, . . .
    lift towers and other structures’” are not inherent “[i]f they can be
    eliminated by reasonable care.” See 
    White, 879 P.2d at 1375
    (citation
    omitted). But these propositions are utterly irreconcilable with the
    clear text of the statute. By statute, all of the foregoing conditions
    are “includ[ed]” as “[i]nherent risks of skiing.” See UTAH CODE
    § 78-B-4-402(1)(c)-(e) (stating “bare spots, forest growth, rocks,
    stumps,” “variations or steepness in terrain,” and “impact with lift
    towers and other structures” are all inherent risks). And a legal
    regime that sweeps away the obvious point of this statutory list
    cannot be viewed as compatible with the statute.
    ¶118 There is an irony in the majority’s resort to canons that
    emphasize the importance of preserving independent meaning for
    each provision of a statute. I endorse those canons. But they cut
    against the Clover approach and in favor of the statutory framework
    that I have outlined. My approach preserves meaning for each
    separate clause—for the “integral part of the sport” clause and for
    the enumerated list of “[i]nherent risks.” Clover, by contrast,
    proffers a construction of the first of these clauses that utterly
    obliterates the second. And that is incompatible with the canons
    identified by the majority and thus fatal to the Clover regime.
    2. The Statutory Goal of Clarifying the Law
    ¶119 The majority next asserts that Clover is consistent with
    “the codified purpose” of the Inherent Risks of Skiing Act. Supra
    ¶ 32 n.10. Again citing Clover, the majority contends that “the
    purpose of the statute was ‘to clarify the law, not to radically alter
    ski resort liability.’” Supra ¶ 32 n.10 (quoting 
    Clover, 808 P.2d at 1045
    ). And it insists that the Clover court reasonably “recognized
    that, unless the Act was construed to allow suits arising from the
    negligence of ski area operators—i.e., from any risks that were not
    integral to the sport—the statute would effectively abolish the
    negligence cause of action against ski area operators.” Supra ¶ 32
    The majority further claims that this “understanding of the Act
    comports with the self-described purpose of the Act to ‘clarify the
    law.’” Supra ¶ 52. And the court describes at great length the
    clarification that it attributes to the legislature—a restoration of
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    “the law of ski resort liability as it existed prior to [a] perceived
    erosion of the defense of assumption of risk.” Supra ¶ 49.
    ¶120 The majority notes that Clover cited Wright v. Mansfield
    Lift, Inc., 
    96 F. Supp. 786
    (D. Vt. 1951), “for the proposition that
    ‘when the [Inherent Risks of Skiing Act] was enacted the majority
    of jurisdictions employed the doctrine of primary assumption of
    risk’ to ski area operator liability.” Supra ¶ 50. “Relying on the
    doctrine of primary assumption of risk,” the Clover court
    “concluded that the Utah legislature was attempting to define and
    clarify the duty of ski area operators under this existing doctrine.”
    Supra ¶ 50. And the majority today says that this “appears to be
    correct.” Supra ¶ 50.
    ¶121 I have no quarrel with the idea that the Inherent Risks of
    Skiing Act was “clarifying” our law. And I have no doubt that the
    statute speaks to an area of the law previously covered by the
    common law doctrines of primary and secondary assumption of
    risk. But I see no basis for the conclusion that the statute was
    merely restoring a body of common law cases. The statute, of
    course, says nothing about restoring a ski area operator’s right to
    “raise a defense of primary assumption of risk against a skier’s
    claim for liability.” Supra ¶ 51. And it certainly does not say that
    “ski area operators owe a duty to exercise reasonable care, but a
    skier assumes the inherent risks of skiing to the extent that those
    risks persist after the ski area operator’s exercise of reasonable
    care.” Supra ¶51. Those might be good policies. But they are not the
    policies set forth in the statute.
    ¶122 The statute does identify a purpose of “clarify[ing]” the
    law in this area. See UTAH CODE § 78B-4-401. But that does not tell
    us what clarification the legislature had in mind. It doesn’t tell us
    whether the clarification involved a minor alteration of the law or a
    “radical” one. See supra ¶ 51. To discern the nature and extent of the
    clarification we have to look at the text of the statute. 5
    5 The majority says that the Act “conflate[s]… two forms of
    assumption of the risk.” Supra ¶ 51 n.18. But that highlights the
    atextual nature of the Clover framework. That framework
    essentially says that (a) the purpose of the law was to restore the
    (cont.)
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    ¶123 The statute speaks of clarification after lamenting
    “confusion” in the law “as to whether a skier assumes the risks
    inherent in the sport of skiing.” UTAH CODE § 78B-4-401. That
    suggests that the clarification accomplished by the statute is in
    setting out a bright-line rule in a previously murky area. The
    statutory definition of “inherent risks of skiing” does just that. It
    furthers the legislature’s stated purpose of “establish[ing] as a
    matter of law that certain risks are inherent in th[e] sport” of skiing.
    
    Id. § 78B-
    4-401 (emphasis added). The statutory clarification is thus
    enhanced by giving effect to the plain meaning of the enumerated
    list of inherent risks of skiing. So the general reference to the goal of
    clarification does nothing to support the obliteration of the
    statutory framework established by the Clover decision.
    ¶124 The problem with the majority’s approach is not its
    general premise that the Inherent Risks of Skiing Act “clarif[ies] the
    law” by codifying the doctrine of primary assumption of risk. It is
    its specific conclusion as to which risks are subject to that doctrine.
    The statute says that listed risks are “inherent” and thus beyond the
    defendant’s duty to discover and prevent. Yet the majority rejects
    that conclusion, adopting instead a standard under which no risk is
    categorically inherent—not even a risk listed in the statute.
    ¶125 The majority seeks to “bolster[]” its approach by noting
    the absence of the word “negligence” in the statute. Supra ¶ 53. It
    finds it “nigh impossible to believe that the legislature intended to
    completely abolish the negligence cause of action with respect to
    enumerated risks when the Act itself says nothing about
    negligence.” Supra ¶ 53. And it finds the abolition of negligence
    claims arising from inherent risks of skiing a large “elephant”
    unlikely to be hidden in the “mousehole” of the Inherent Risks of
    Skiing Act. Supra ¶ 53. I see this differently. I see neither an elephant
    nor a mousehole.
    doctrine of primary assumption of risk, but (b) the text of the
    statute is just mistaken in the way it deals with it. I see a better way
    around this tension. I would just credit the text of the statute.
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    ¶126 The statute, as all agree, addresses an area of our law that
    had long been in a state of confusion—the applicability of the
    doctrine of primary assumption of risk to the sport of skiing. We
    also all agree that the statute establishes a bar on tort claims for
    risks that are deemed “inherent” and an “integral part of the
    sport.” With that in mind, there is nothing elephant-ish about the
    establishment of a bar on a negligence claim for injuries arising
    from inherent risks of skiing. Nor is there anything mousehole-ish
    about the terms of the Inherent Risks of Skiing Act. The majority is
    right that the statute never uses the term negligence. But it speaks
    clearly, and in even more sweeping language—in expressly
    establishing the “purpose” of “provid[ing] that, as a matter of
    public policy, no person engaged in th[e] sport [of skiing] shall
    recover from a ski operator for injuries resulting from th[e] inherent
    risks” of the sport, UTAH CODE § 78B-4-401, and categorically
    providing that “no skier may make any claim against, or recover
    from, any ski area operator for injury resulting from any of the
    inherent risks of skiing,” 
    id. § 78B-4-403.
    6
    ¶127 I read these provisions to sweep even more broadly—
    and clearly—than a bare statement of repudiation of a “negligence”
    6 The Inherent Risks of Skiing Act, as written, has some overlap
    with the doctrine of primary assumption of risk. See supra ¶ 51. But
    it cannot be said that the statute defines the “inherent risks of
    skiing”—those for which a ski area operator is presumed unable to
    discover or prevent—by means of a case-by-case inquiry into
    whether the risk was encountered in an “expected” manner. Such a
    regime is irreconcilable with a statute that identifies specific
    categories of risks that are “inherent” in skiing and for which “no
    skier may make any claim.”
    A statutory list of risks that are expressly “inherent” in the sport
    of skiing is thus no “major departure” from the law of primary
    assumption of risk. See supra ¶ 53 n.20. The statute takes the
    concept of primary assumption of risk and makes it more concrete
    and predictable—by specifying which risks count as inherent. This
    is no “elephant.” And the Inherent Risks of Skiing Act is no
    “mousehole.” A statute by that name is precisely the place we
    would expect to find a list of enumerated risks.
    59
    RUTHERFORD v. TALISKER
    Lee, A.C.J., dissenting in part
    claim for injuries arising from inherent risks of skiing. Granted, the
    legislature never said it was abrogating a “negligence” claim
    against ski resorts. But it did say that it was abrogating “any claim
    against, or recover[y] from, any ski area operator for injury
    resulting from any of the inherent risks of skiing.” 
    Id. And this
    is no
    mousehole. It’s a sweeping statement that “any” and all “claim[s]”
    or attempts to “recover” are barred. This is an elephanthole (or
    whatever we would call the type of large chasm an elephant might
    crawl into)—and a clear statement by the legislature that the
    majority has rendered meaningless.
    3. “Absurd Consequences”
    ¶128 The majority next hypothesizes “absurd” applications of
    the plain language of the statute that Clover purportedly avoids.
    The majority imagines “intentionally camouflaged” lift towers that
    are “practically invisible to skiers.” Supra ¶ 39. It “cannot be right,”
    in the majority’s view, that a collision which such nefarious death-
    traps is covered by the statute. And because the court sees such a
    conclusion as “inevitable,” Supra ¶ 39., it invokes the absurd
    consequences canon to justify the Clover standard.
    ¶129 This is problematic. Legislative line-drawing may often
    seem arbitrary. But that is no license for judicial rewriting of
    legislation. We may override clear statutory text only in the very
    rare event that the language enacted into law is not just arbitrary
    but outright absurd—“so absurd that no rational legislator could
    possibly have intended it.” Garfield Cty. v. United States, 
    2017 UT 41
    ,
    ¶ 23 n.55, 
    424 P.3d 46
    .
    ¶130 The list of risks in the Inherent Risks of Skiing Act is
    hardly absurd. It consists of dangers that the legislature considered
    to be inherent in the sport. And for those dangers the statute calls
    for immunity for ski area operators. Yet the statute does not
    foreclose immunity for other risks. For unlisted risks the statute
    calls for a case-by-case determination of whether the risk is a
    “danger[] or condition[] which [is] an integral part of the sport” of
    skiing. UTAH CODE § 78B-4-402.
    ¶131 This is a sensible legal framework. An “impact” with a
    “lift tower[]” is a listed “inherent risk.” See UTAH CODE
    § 78B-4-402(1)(e). But an invisible lift tower could reasonably be
    60
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                        Lee, A.C.J., dissenting in part
    dismissed as a deviation from the ordinary understanding of “lift
    tower,” and thus falling outside the terms of the statute. If so, the
    statute’s language would not be interpreted to stretch to cover such
    a deviation. See supra ¶ 39. The same may hold for the majority’s
    example of the “pile of rocks intended for later landscaping placed
    in the middle of a beginner run.” Supra ¶ 43. The listed risk, after
    all, speaks not of “rocks” in the abstract, but of “surface or
    subsurface conditions such as bare spots, forest growth, rocks,
    stumps, streambeds, cliffs, trees, and other natural objects.” UTAH
    CODE § 78B-4-402(1)(c). And a man-made “pile of rocks” placed
    artificially on a ski run “for later landscaping” at least arguably
    would not qualify as a “natural” “surface or subsurface condition.”
    Natural surface or subsurface conditions presumably would be
    limited to relatively permanent conditions existing in nature, and
    would not extend to conditions created temporarily by human
    intervention. 7
    ¶132 Yet we need not decide the “invisible lift tower” or “pile
    of rocks” cases to resolve the one before us today. Our law of
    interpretation bears tools that are suited to the resolution of the
    7  My conclusions here are tentative—phrased in terms of
    interpretations that arguably could hold—because the majority’s
    hypotheticals are not now presented for our decision. I see no
    reason to offer a conclusive answer in the absence of a specific
    controversy and briefing from the parties. My tentativeness,
    however, cannot reasonably be taken as an indication that my
    approach “lends itself” to the same sort of unpredictability that
    inheres in the majority’s standard. Supra ¶ 43 n.16. At most the
    majority has observed that a statute like the Inherent Risks of
    Skiing Act will present a few difficult questions of statutory
    interpretation. That will always be true for any statute. But this
    observation is no reason to ignore clear statutory language and to
    substitute in its place an indeterminate balancing test of the court’s
    own making. That test guarantees indeterminacy and
    unpredictability in every case that will come before our courts. We
    cannot justify that kind of test by noting that an inquiry into the
    meaning of statutory language will occasionally raise some
    difficulties.
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    RUTHERFORD v. TALISKER
    Lee, A.C.J., dissenting in part
    majority’s hypotheticals—and that would allow us to do so without
    distorting the statute in a case that is more standard (and in no way
    presents any concerns about absurdity). The principal tool is the
    doctrine of absurdity.
    ¶133 This doctrine yields limited power for courts to override
    the clear terms of a statute. We may do so, however, only in the
    rare, limited circumstance in which we can conclude that “no
    rational legislator could possibly have intended it.” Garfield Cty.,
    
    2017 UT 41
    , ¶ 23 n.55. When we do so, moreover, we do not strike
    the statute down, or distort its terms as applied to standard (non-
    absurd) circumstances. We simply foreclose the application that is
    deemed to satisfy the high bar of absurdity. See John F. Manning,
    The Absurdity Doctrine, 116 HARV. L. REV. 2387, 2388 (2003) (stating
    that the absurdity doctrine allows departure from “clear[] statutory
    text” when a “given application” would produce an absurd result).
    The majority distorts the absurdity doctrine here. It employs
    hypothetical circumstances that might test the limits of the
    statutory text not to foreclose application of the statute to those
    specific circumstances, but to rewrite the statute more generally.8
    This is problematic. We have no authority (certainly not in the
    doctrine of absurdity) to rewrite statutes generally just because we
    8 The difficulty with the majority’s approach is evident in its
    treatment of the “twenty-yard bare spot” hypothetical. See supra
    ¶ 43 n.15. Such a condition concededly falls within the plain terms
    of the statute. A bare spot is a bare spot, and thus an inherent risk
    of skiing, regardless of its size. But the bare possibility of the
    statute’s application to a very large bare spot is no license for a
    decision to rewrite the statute in a manner that overrides its plain
    language quite generally. Perhaps this application would be the
    kind of absurdity that would allow the court to decide that no
    rational legislator could have intended such an application. But the
    mere possibility of this kind of carve-out for this kind of unusual
    application is no reason for us to override the statutory language
    more generally.
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                        Lee, A.C.J., dissenting in part
    can imagine some difficult (possibly absurd) applications in future
    cases. 9
    4. Constitutional Avoidance
    ¶134 A final point raised by the majority is its assertion that
    Clover is justified on constitutional avoidance grounds. Supra ¶¶ 55-
    58. The constitutional concern is one flagged in Clover—that a view
    of the statute that forecloses negligence claims against ski area
    operators “could violate the Open Courts Clause of the Utah
    Constitution.” Supra ¶ 55.
    ¶135 I do not see this as a basis for preserving Clover. Our
    doctrine of constitutional avoidance is a limited one. It “is not a
    license to rewrite statutes.” Orlando Millenia, LC, v. United Title
    Servs. of Utah, Inc., 
    2015 UT 55
    , ¶ 84, 
    355 P.3d 965
    . “It is a tool for
    interpreting them.” 
    Id. Thus, “for
    the constitutional avoidance
    canon to even apply, ‘the statute must be genuinely susceptible to
    two constructions.’” Utah Dept. of Transp. v. Carlson, 
    2014 UT 24
    ,
    ¶ 24, 
    332 P.3d 900
    (quoting Almendarez-Torres v. United States, 
    523 U.S. 224
    , 238 (1998)). Where “one of two proposed interpretations
    of a statute can be eliminated as untenable, we must reject in favor
    of the one that more clearly advances the intent of the legislature.”
    
    Id. ¶136 A
    more aggressive use of the canon, we have warned,
    “can easily undermine legislative intent.” 
    Id. And that
    would be the
    effect of the use of this canon here. The legislature has spoken
    clearly in delineating a list of inherent risks of skiing for which a ski
    area operator is insulated from liability for negligence. We should
    respect the legislature’s judgment. We cannot properly override it
    9 The majority seeks to avoid this problem by insisting that it is
    not applying the absurdity “doctrine” to override the clear
    language of the statute but instead is just considering the absurd
    consequences “canon” to inform its understanding of ambiguous
    language. Supra ¶ 41 n.14. I see no way to justify that approach, as I
    see no ambiguity in the statute. Because the majority is overriding
    the clear import of the statutory text it should justify its decision
    under the doctrine of absurdity. The majority’s inability to do so
    highlights the problems with the its approach.
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    RUTHERFORD v. TALISKER
    Lee, A.C.J., dissenting in part
    just because we have identified some vague constitutional question.
    See 
    id. ¶ 24
    n.4 (citing Richard L. Hasen, Constitutional Avoidance and
    Anti–Avoidance by the Roberts Court, 2009 SUP. CT. REV. 181, 189)
    (noting that some invocations of the canon seem to “signal[ ] a
    Court that is actively engaged in shaping law and policy, not acting
    modestly”); see also United States v. Marshall, 
    908 F.2d 1312
    , 1318
    (7th Cir. 1990) (“The canon about avoiding constitutional decisions
    . . . must be used with care, for it is a closer cousin to invalidation
    than to interpretation.”).
    ¶137 This is not to say that the constitution should play no role
    in the disposition of this case. It is important to emphasize the
    proper role for constitutional analysis in a case of this sort. Where a
    statute lends itself to only one reasonable interpretation then the
    court must adopt that interpretation. At that point, “[m]ere doubts
    about the constitutionality” of the statute “are not enough to
    override the legislature’s intent.” Carlson, 
    2014 UT 24
    , ¶ 25. “The
    only viable basis for doing that would be an actual determination
    of unconstitutionality.” 
    Id. ¶138 This
    court may ultimately be called upon to resolve the
    question of the constitutionality of the Inherent Risks of Skiing Act
    as applied here. I would leave this question open to the parties and
    the district court on remand, as it has not yet been presented to that
    court and we have no decision before us to review. If and when
    that question is raised and briefed we can consider whether the
    Inherent Risks of Skiing Act raises constitutional concerns. But the
    mere possibility of such concerns is not a basis for overriding the
    clear text of the statute.
    B. Stare Decisis
    ¶139 The mere conclusion that a prior decision is incorrect is
    not enough to sustain a decision to set it aside. Instead we have
    long held that we overrule precedent only if the usual downsides of
    doing so are outweighed by significant upsides. See Utah Dep’t of
    Transp. v. Admiral Beverage Corp., 
    2011 UT 62
    , ¶ 36, 
    275 P.3d 208
    .
    ¶140 Our most recent, comprehensive statement of our
    doctrine of stare decisis was in Eldridge v. Johndrow, 
    2015 UT 21
    , 
    345 P.3d 553
    . A key question under Eldridge is “how firmly” a line of
    “precedent has become established in the law since it was handed
    64
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                        Lee, A.C.J., dissenting in part
    down.” 
    Id. ¶ 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. 10 10
     The majority alludes at length to the idea of “super stare
    decisis” for “statutory precedents.” Supra ¶ 27 n.9. It cites precedent
    from a few state courts, a concurring opinion in this court, and a
    scholarly article by a law professor—all endorsing the view that
    statutory precedent is entitled to more weight than other
    precedent. And while acknowledging that this matter may be “an
    open question” in this court, the majority lauds the “force of the
    logic behind” this view. Supra ¶ 27 n.9. This is a significant move. It
    extends our law of stare decisis in a manner that a majority of this
    court has never endorsed, on which there is room for substantial
    disagreement. See William N. Eskridge, Jr., Overruling Statutory
    Precedents, 76 GEO. L. J. 1361, 1385 (1988) (noting that the
    “anchoring idea [of super stare decisis] has proven to be less than
    workable”); see also Frank H. Easterbrook, Stability and Reliability in
    Judicial Decisions, 73 CORNELL L. REV. 422, 429 (1988) (challenging
    the “shibboleth that it should be harder to overrule a statutory
    decision”). I would not endorse this notion.
    This court has only ever applied a single, uniform standard. In
    statutory, common law, constitutional, and other cases we have
    consistently inquired into the same considerations addressed
    herein. See, e.g., State v. Hansen, 
    734 P.2d 421
    , 427 (Utah 1986)
    (overruling a statutory interpretation in State v. Norton, 
    675 P.2d 577
    (Utah 1983) because it “construed the statute incorrectly and
    without benefit of briefing by the parties[,]” was a “recent
    [decision],” “the legislature ha[d] not relied upon it in enacting
    other statutes,” and it “result[ed] in very poor public policy, policy
    the legislature could not have intended”); State v. Mauchley, 
    2003 UT 10
    , ¶11, 
    67 P.3d 477
    (analyzing the common law “corpus
    delicti” doctrine under standard stare decisis standards); Utah Dep’t
    of Transp. v. Admiral Beverage Corp., 
    2011 UT 62
    , ¶ 16, 
    275 P.3d 208
                                                                     (cont.)
    65
    RUTHERFORD v. TALISKER
    Lee, A.C.J., dissenting in part
    ¶141 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 point favoring 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.
    ¶142 This is what our cases mean when they speak of more
    “good” than “harm” coming from overruling a prior opinion. See
    Admiral Beverage, 
    2011 UT 62
    , ¶ 36. The principal “harm” is in
    undermining stability of our law and reliance interests built around
    our precedent. So 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. And that is the case here.
    ¶143 First, the usual costs of overruling precedent are
    diminished here because Clover is not deeply rooted in our law, is
    unworkable in practice, and does not sustain significant reliance
    interests. The inquiry called for in Clover—as to whether a given
    risk is one that skiers may “wish to confront”—does not lend itself
    to consistent, principled application. Indeed the Clover standard
    masks a latent ambiguity that invites arbitrariness. And that
    renders Clover more vulnerable under our doctrine of stare decisis.
    See Eldridge, 
    2015 UT 21
    , ¶ 43 (identifying the “fact-intensive”
    nature of an issue, the dearth of case law guidance, and the fact that
    (assessing constitutional rule of eminent domain under standard
    principles of stare decisis).
    There is an irony in the majority’s application of the doctrine of
    stare decisis. The court is invoking the doctrine in the same case in
    which it is effectively overriding our longstanding approach to
    stare decisis. I would avoid that move. And I certainly wouldn’t
    make it in a case in which the question is neither briefed by the
    parties nor necessary to our decision.
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                        Lee, A.C.J., dissenting in part
    “trial courts and juries” are left “to make decisions that are
    effectively without guidance” as grounds for overturning
    precedent).
    ¶144 One formulation of the Clover inquiry would invite fact
    testimony and lay analysis—as to whether a given risk is one that a
    reasonable skier would “wish to confront.” Yet this is an invitation
    for arbitrariness, and for overriding the clear terms of the statute.
    Many of the risks deemed “inherent” by the legislature are unlikely
    to be desired by many skiers. “[B]are spots,” for example, are listed
    in the statute as an inherent risk of skiing, see UTAH CODE
    § 78B-4-402(1)(c), but many skiers likely would prefer not to
    “confront” them.11 Other similar examples appear in the statute. See
    UTAH CODE § 78B-4-402(1) (listing many risks that many skiers
    undoubtedly would prefer not to confront, particularly when they
    result in injury, such as “changing weather conditions,” “slush,”
    “collisions with other skiers,” and “the failure of a skier to ski
    within the skier’s own ability”). So this inquiry opens the door for
    the factfinder to deem most any risk listed in the statute as one a
    reasonable skier would not wish to confront. And that would
    thoroughly defeat the clear terms of the statute.
    11  A contrary conclusion is also conceivable. Our prior cases
    have singled out “bare spots, forest growth, rocks, stumps, . . . lift
    towers and other structures” as risks skiers would not wish to
    confront. White v. Deselhorst, 
    879 P.2d 1371
    , 1375 (alteration in
    original) (abrogated on other grounds by Penunuri v. Sundance
    Partners, Ltd., 
    2017 UT 54
    , 
    423 P.3d 1150
    ). But that will not hold for
    all skiers. Part of the allure of skiing is to confront (and avoid) all
    hazards and dangers that appear on the mountain—including trees
    and rocks and stumps. The advent of the “terrain park” illustrates
    that point. The whole point of the terrain park is to introduce
    hazards like “towers” and “structures” that skiers and
    snowboarders can confront. See Dunbar v. Jackson Hole Mountain
    Resort Corp., 
    392 F.3d 1145
    , 1146 (10th Cir. 2004) (describing a
    terrain park as being “designed for advanced skiers and
    snowboarders who choose to recreate in a very challenging risk-
    filled environment”). And this highlights the arbitrariness and
    unworkability of the Clover framework.
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    RUTHERFORD v. TALISKER
    Lee, A.C.J., dissenting in part
    ¶145 Perhaps the use of expert testimony regarding what
    dangers are standard within the industry would remove some of
    the arbitrariness in the Clover analysis. Yet it is also likely that it
    would lead to the “dueling expert” trial, in which each side
    presents opinion testimony on whether the ski area in question
    lived up to industry standards. And that sort of inquiry would
    stretch the legal framework of the Inherent Risks of Skiing Act past
    its breaking point. The purpose of the statute, as noted, was “to
    establish as a matter of law that certain risks are inherent in” skiing,
    and to thus provide that “no person engaged in that sport shall
    recover from a ski operator for injuries resulting from those
    inherent risks.” UTAH CODE § 78B-4-401. Those purposes would be
    thwarted by a legal framework that requires expert testimony to
    determine whether the risks presented at a given ski area are in line
    with an industry standard.
    ¶146 The “industry standard” inquiry is a matter for the law of
    negligence. 12 If the liability of a ski area operator for injuries
    12 See, e.g., Spafford v. Granite Credit Union, 
    2011 UT App 4
    01,
    ¶ 34, 
    266 P.3d 866
    (affirming the dismissal of a premises liability
    negligence claim where there was “no expert testimony that the
    height of the curb or the slope of the asphalt ‘violated any specific
    industry standards’” (citation omitted)) abrogated on other grounds
    by Coroles v. State, 
    2015 UT 48
    , 
    349 P.3d 739
    ; Hilliard v. Speedway
    Superamerica LLC, 
    766 So. 2d 1153
    , 1155 (Fla. Dist. Ct. App. 2000)
    (“A breach of industry standards is evidence of negligence.”);
    Murphy v. Conner, 
    646 N.E.2d 796
    , 798 (N.Y. 1994) (“Ordinarily, the
    opinion of a qualified expert that a plaintiff’s injuries were caused
    by a deviation from relevant industry standards would preclude a
    grant of summary judgment in favor of the defendants.” (citation
    omitted)); cf. RESTATEMENT (SECOND) OF TORTS § 295A (1965) (“In
    determining whether conduct is negligent, the customs of the
    community, or of others under like circumstances, are factors to be
    taken into account, but are not controlling where a reasonable man
    would not follow them.”).
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                        Lee, A.C.J., dissenting in part
    resulting from risks listed as “inherent” were dependent upon a
    case-by-case assessment of the operator’s compliance with industry
    standards, then the core premise of the Inherent Risks of Skiing Act
    would be defeated.
    ¶147 Neither variation on the Clover inquiry is accordingly
    viable. And absent some refinement or reformulation, our law
    under Clover leaves parties guessing about the likely outcome of a
    case filed under the Inherent Risks of Skiing Act. That is a hallmark
    of unworkability—and a basis for overruling Clover despite the
    deference that is normally owed to our precedent under the
    doctrine of stare decisis. See Eldridge, 
    2015 UT 21
    , ¶ 43 (overruling a
    legal standard in our precedent on the ground that it left fact-
    finders “without guidance” to make a highly “fact-intensive”
    determination).
    ¶148 This is one of the reasons we sought supplemental
    briefing from the parties in this case. The initial briefing left us
    without much guidance on the proper framework for assessing
    whether and to what extent a given risk is one that skiers may
    “wish to confront.” And we accordingly asked the parties to advise
    us (a) on whether to retain or repudiate Clover, and (b) on how to
    frame the Clover inquiry into risks that skiers “wish to confront” in
    the event that we kept that standard in place. That briefing offered
    little help on the latter question. And the lack of a reasoned basis
    for distinguishing the two categories of risks identified in Clover is a
    basis for concluding that the standard established in that case is not
    just wrong but unworkable—and thus unlikely to sustain
    significant reliance interests.
    ¶149 The majority disagrees. Yet it has not offered an answer
    to the analytical puzzle left open by Clover—as to the means of
    assessing whether a given risk is one that skiers “wish to confront.”
    Instead, the majority relies on a simple reformulation of the Clover
    test—substituting the word “expects” for “wish.” 13 Supra ¶ 79. But
    13The majority claims that this switch is justified by both Clover
    and the statutory text. Because the statutory list of inherent risks is
    “presented in an entirely unremarkable manner,” supra ¶ 80, the
    majority concludes that the proper inquiry is whether the risk the
    (cont.)
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    RUTHERFORD v. TALISKER
    Lee, A.C.J., dissenting in part
    this does nothing to reduce the uncertainty generated by Clover.
    Our decision today will only perpetuate the uncertainty and
    continued litigation about the availability of immunity under the
    Inherent Risks of Skiing Act. We still have not explained how a
    court is to decide whether a given risk is one that a reasonable skier
    skier encountered is one that she would “reasonably [have]
    expect[ed]” to encounter. Supra ¶ 79. This is so, the majority asserts,
    regardless of whether the risk is actually included in the statutory
    list.
    Yet this move undermines the majority’s resort to the doctrine
    of stare decisis. If the majority is seeking refuge in that doctrine it is
    in no position to reformulate its standards. (Once we start in that
    direction we are no longer following precedent—we are returning
    to first principles of statutory interpretation. And if we do that we
    will hardly end up at Clover.) “Reasonably expect to encounter”
    does not mean the same thing as “wish to confront.” So the
    majority is substantively altering the legal framework set forth in
    Clover. The court says this alteration is permissible because it
    “effectively captures the legislature’s intent.” Supra ¶ 79. That may
    be. But it does not accurately capture Clover’s holding. Thus,
    despite much hand-wringing about the importance of precedent,
    the majority does violence to the Clover standard. It does so, quite
    clearly, by transforming a two-step subjective inquiry into a one-
    part objective one. See supra ¶ 80. Surely an objective test is not the
    same as a subjective inquiry. And a one-step test is different from a
    two-step one.
    I suppose there is a sense in which the majority can claim that
    its entirely new formulation is a simple refinement of Clover. But
    that is only because neither test has any clear substantive content.
    As I explain in greater detail in Part II.D. below, the majority’s test,
    like its Clover predecessor, is marked primarily by its extensive
    indeterminacy. Neither test is capable of generating remotely
    predictable outcomes. And in that sense I suppose we can say that
    the new test “does the same work” as the Clover test. Supra ¶ 79
    n.27. We cannot properly say that the test is the same, however.
    Nor can we say how the test will play out in practice. The only
    thing litigants and lower courts can know for sure is that the
    statutory text doesn’t matter.
    70
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                           Lee, A.C.J., dissenting in part
    might or might not “expect” to encounter on her journey down the
    slopes. And this is an open invitation for courts to enact their own
    judgment about what is “reasonable” into the law. The majority’s
    failure to delineate an applicable rule of law based on Clover 14
    further underscores the need for us to revamp our law in this
    area—and to bring it in line with the statutory text.
    ¶150 The majority offers a series of grounds for rejecting this
    conclusion. I find none of them convincing.
    1. Unworkability
    ¶151 The majority responds to my concerns with the
    unworkability of the Clover test not by unraveling the
    unpredictability of the operative legal standard but by insisting that
    the absence of substantial appellate litigation in this area supplies
    conclusive evidence that Clover is workable. Supra ¶ 70.
    ¶152 But the premise of this argument is undermined by our
    cases. In Eldridge we overturned a longstanding element of our law
    of intentional interference with contractual relations—set forth in
    Leigh Furniture & Carpet Co. v. Isom, 
    657 P.2d 293
    (Utah 1982). In so
    doing we were not deterred by the fact that our precedent in this
    area had not “generated substantial appellate litigation.” 15 We
    simply analyzed the legal standard we were repudiating—an
    option to establish intentional interference upon proof of a
    defendant’s “improper purpose”—and opined that this standard
    was too unpredictable to be a workable precedent. See Eldridge,
    
    2015 UT 21
    , ¶ 43. We noted, specifically, the “fact-intensive” nature
    of the improper purpose standard, the lack of a predictable
    14   See infra Part II.D.
    15   The majority cites a lack of appellate litigation as an
    indication of workability. Supra ¶ 70. But I see no reason to draw
    any inference of workability from the mere lack of appellate case
    law. It is easy to think of other explanations for the lack of appellate
    litigation. The parties to these cases may just be generally settling,
    rather than trying, their claims. And that would make sense if
    the Clover standard is unpredictable and does not lend itself to
    summary disposition.
    71
    RUTHERFORD v. TALISKER
    Lee, A.C.J., dissenting in part
    standard for implementing it in the case law, and the fact that “trial
    courts and juries” are left “to make decisions that are effectively
    without guidance” as grounds for overturning precedent. 
    Id. ¶153 In
    a sense, moreover, we have “evidence” that the Clover
    standard is unworkable—no party has been able to propose a way
    to consistently apply it. We requested supplemental briefing from
    the parties on how courts could determine whether a risk is one
    that “skiers wish to confront.” The parties could not identify a
    workable standard. And the majority has not proposed one either.
    So if this court cannot identify the factors lower courts should
    apply to determine whether a risk is one skiers “wish to confront,”
    we cannot expect the standard to suddenly become workable in
    practice on remand.
    (a) Decisions in Other Jurisdictions
    ¶154 The majority also seeks to sustain the workability of the
    Clover framework by citing decisions from other states. Supra
    ¶¶ 59-60, 72. The majority cites Bouchard v. Johnson, 
    555 N.W.2d 81
    (N.D. 1996); Kopeikin v. Moonlight Basin Management, LLC, 981 F.
    Supp. 2d 936 (D. Mont. 2013); and Nutbrown v. Mount Cranmore,
    Inc., 
    671 A.2d 548
    (N.H. 1996), as evidence of Clover’s workability.
    ¶155 None of these cases sustains the workability of the Clover
    decision, however. The statutory schemes in each of these cases are
    distinct from our Utah statute. And none of these cases endorses
    the Clover notion of two new categories of inherent risks, framed by
    a determination of whether skiers “expect to confront” them. Nor
    do they, accordingly, pave a path for a workable analysis of the
    “expect to confront” standard.
    ¶156 The Bouchard decision cites the operative standard set
    forth in Clover but it does not adopt it. The “‘proper standard’”
    endorsed by Bouchard is not the Clover framework. It is this:
    There should be no liability for a ski area operator
    if the design of the ski run creates natural conditions,
    necessary to the enjoyment of the sport, and the
    design is so obviously dangerous the skier assumes
    the risk. Conversely, if the design problem was
    created by the operator’s negligence and was not an
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                        Lee, A.C.J., dissenting in part
    inherent risk associated with the sport, liability for the
    operator should 
    exist. 555 N.W.2d at 85
    .
    ¶157 This is not Clover. This is not a decision that overrides a
    statutory list of inherent risks of skiing and replaces it with a new
    set of categories turning on a determination of which risks skiers
    “wish to confront.” It is simply a restatement of the operative
    statutory standard. The North Dakota statute is distinct from our
    Utah statute. It begins with an extensive list of “‘duties’” that
    “‘[e]very ski operator shall have . . . with respect to the operation of
    a skiing area,’” and then proceeds to state that skiing is
    “‘hazardous . . . regardless of all feasible safety measures which can
    be taken,’” and thus that “‘[e]ach skier expressly assumes the risk
    of’” injuries resulting from enumerated inherent risks of skiing. 
    Id. at 83
    (quoting North Dakota statute). In context, then, the “proper
    standard” endorsed in Bouchard does not at all sustain the viability
    of the Clover standard. It undermines it—in the sense that Bouchard
    simply follows the operative statutory framework (while Clover
    overrides it).
    ¶158 The Kopeikin decision is similarly unhelpful to the cause
    of retaining Clover. The Montana statute at issue in Kopeikin is like
    the North Dakota statute in Bouchard. It not only identifies
    “inherent risks” for which ski area operators are immune, but also
    “provides a non-exclusive list of duties for ski area operators.”
    
    Kopeikin, 981 F. Supp. 2d at 942
    (citing statute). This statutory
    provision, moreover, came about as a result of a Montana Supreme
    Court decision striking down a prior statute that, like our Utah
    statute, imposed a clear bar on ski area operator liability in certain
    circumstances. See Brewer v. Ski-Lift, Inc., 
    762 P.2d 226
    (Mont. 1988)
    (holding that “a fair reading” of the Montana statute “prohibits the
    skier from obtaining legal recourse against an operator even if the
    injury is proximately caused by the negligent or even intentional
    actions of the operator,” but holding that the statute was overbroad
    and unconstitutional). In this sense the Montana line of cases
    actually undermine Clover. If we were to follow the Montana lead,
    we would give effect to the plain language of the Utah statute and
    then consider a constitutional challenge to the statute. We would
    73
    RUTHERFORD v. TALISKER
    Lee, A.C.J., dissenting in part
    not override the terms of a clear statute with an “inherent risk”
    framework of our own making.
    ¶159 The Kopeikin decision does cite and endorse Clover to
    some degree. See 
    Kopeikin, 981 F. Supp. 2d at 944
    –45. It ultimately
    denied a motion to dismiss the complaint—even though the
    complaint was asserting claims based on an injury that was caused
    by a danger the Montana statute deemed “inherent” in skiing. 
    Id. at 945
    . But the Kopeikin decision does nothing to clarify the Clover
    framework or to reinforce its workability. Kopeikin just kicks the can
    down the road on the operative issue under Clover—holding that at
    the pleading stage “all facts alleged must be treated as true and
    construed in the light most favorable to the plaintiff,” and noting
    that the risk at issue was not “inherent” “[a]ccording to the
    allegations in the Complaint, which is all the Court had before it at
    th[at] time.” 
    Id. Thus, Kopeikin
    comes as close as any of the cited
    cases to supporting Clover; but it ultimately tells us nothing about
    the workability of the Clover standard.
    ¶160 The Nutbrown decision is also unsupportive of the
    viability of the Clover standard. Nutbrown cites Clover. See 
    Nutbrown, 671 A.2d at 680
    . But it nowhere endorses the framework of the
    Clover decision. And again the statute at issue is distinct from our
    Utah statute. The New Hampshire statute at issue in Nutbrown is
    like the North Dakota and Montana statutes: It begins with an
    express list of duties of ski area operators, and only then provides
    that “[e]ach person who participates in the sport of skiing accepts
    as a matter of law, the dangers inherent in the sport.” 
    Id. at 679-81
    (citing New Hampshire statute). The Nutbrown holding, moreover,
    gives express effect to the plain terms of the statute—and nowhere
    endorses the gloss on statutory risks set forth in Clover. Thus,
    Nutbrown cites Clover only for the proposition that “[t]he statute
    does not purport to immunize a ski area operator for injuries
    caused by the operator’s own negligent or intentional acts.” 
    Id. at 680.
    And it ultimately gives effect to the statutory scheme. It holds
    that the plaintiff stated a viable claim arising from the ski area
    operator’s failure “‘to properly mark’ the beginning of a trail”
    because that involved the breach of a duty set forth by statute, but
    that plaintiff’s other claims all involved “allegations of fault and
    causation [that] were inherent risks of skiing and thus [were] not
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                        Lee, A.C.J., dissenting in part
    actionable.” 
    Id. at 683.
    Thus, if anything Nutbrown undermines
    Clover; it does so by following the operative statutory scheme
    instead of replacing it with a new “inherent risks” standard of a
    court’s own making.
    ¶161 For these reasons the majority’s cited cases do nothing to
    sustain the viability of the Clover framework (or the puzzling
    modification made thereto today). In many ways these cases
    undermine the decision we reconsider today. And other courts
    have done so more forthrightly. The strongest case on point is
    Glover v. Vail Corp., 
    955 F. Supp. 105
    , 108–09 (D. Colo. 1997). The
    Glover court was applying a Colorado statute that is closely parallel
    to our Utah Act—a statute that “states unequivocally that ‘no skier
    may make any claim against or recover from any ski area operator
    for injury resulting from any of the inherent dangers and risks of
    skiing,” which included “collisions with other skiers.” 
    Id. at 108.
    In
    Glover the plaintiff sought to recover from a ski area operator for an
    injury resulting from a collision with another skier. The Glover
    court dismissed the claim on summary judgment, holding that the
    statutory language was plain and the court had no license to “alter
    its terms.” 
    Id. at 107.
    In so doing the court discussed and rejected
    the Clover framework. The Glover court found the Clover framework
    “flawed,” noting that it “transform[ed]” a statutory standard of
    “inherent risks” into “mere suggestions of what risks might be”
    integral, and concluding it stemmed from this court’s apparent
    “dissatisf[action] with” the effect of the statutory scheme. 
    Id. at 108-
    09.
    ¶162 The Glover court’s concerns are also reiterated in Hanus
    v. Loon Mountain Recreation Corp., No. 13-CV-44-JL, 
    2014 WL 1513232
    , at *5 n.5 (D. N.H. Apr. 16, 2014). The Hanus court reached
    the same conclusion. It rejected Clover on the basis of the Glover
    critique. 
    Id. ¶163 The
    majority’s approach thus finds very little support in
    the precedents of other jurisdictions.
    (b) Legislative “Endorsement” of Clover
    ¶164 The majority also asserts that there is reason to conclude
    that the legislature has acquiesced in or endorsed our decision in
    75
    RUTHERFORD v. TALISKER
    Lee, A.C.J., dissenting in part
    Clover. In the majority’s view, our “legislature has had at least two
    opportunities to overrule the core holding of Clover” in the years
    since that decision. Supra ¶ 64. And because the legislature has not
    acted, the majority sees “good reason to continue to accord Clover
    weighty stare decisis.” Supra ¶ 66.
    ¶165 I see no good reason for this kind of inference.
    Legislative inaction may be the result of any of a number of
    factors—unawareness of a judicial decision, a lack of legislative
    inertia to address such a decision, the absence of consensus on a
    means of overriding such a decision, or a range of other
    circumstances. None of these circumstances indicate legislative
    acquiescence. And it is sheer speculation to assume the contrary.16
    This legislative silence, moreover, does nothing to salvage the
    unworkable Clover framework.
    ¶166 The decision of the legislature that enacted the Inherent
    Risks of Skiing Act is entitled to respect. Subsequent legislatures,
    moreover, have no authority to amend the work product of a prior
    legislature except by enacting actual legislation. See Patterson v.
    McLean Credit Union, 
    491 U.S. 164
    , 175 n.1 (1989) (“Congressional
    inaction cannot amend a duly enacted statute.”).
    ¶167 U.S. Supreme Court authority reinforces these
    conclusions. That court has frequently cautioned that “[w]e walk
    on quicksand when we try to find in the absence of corrective
    legislation a controlling legal principle.” Helvering v. Hallock, 
    309 U.S. 106
    , 121 (1940) (Frankfurter, J.). Thus, the Court has
    16  The idea that legislative endorsement can be inferred from
    legislative inaction has long been criticized. See, e.g., Zuber v. Allen,
    
    396 U.S. 168
    , 185 & n.21 (1969) (“Legislative silence is a poor beacon
    to follow in discerning the proper statutory route.”; “Congressional
    inaction frequently betokens unawareness, preoccupation, or
    paralysis.”); Girouard v. United States, 
    328 U.S. 61
    , 69 (1946) (“It is at
    best treacherous to find in Congressional silence alone the adoption
    of a controlling rule of law.”); Helvering v. Hallock, 
    309 U.S. 106
    ,
    119–20 (1940) (“To explain the cause of non-action by Congress
    when Congress itself sheds no light is to venture into speculative
    unrealities.”).
    76
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                         Lee, A.C.J., dissenting in part
    emphasized that “[i]t does not follow . . . that Congress’ failure to
    overturn a statutory precedent is reason for this Court to adhere to
    it.” 
    Patterson, 491 U.S. at 175
    n.1. “It is ‘impossible to assert with any
    degree of assurance that congressional failure to act represents’
    affirmative congressional approval of the [courts’] statutory
    interpretation.” 
    Id. (internal citation
    and quotation marks omitted).
    ¶168 The legislative history cited by the majority, 
    see supra
    ¶65,
    is no answer to these concerns. At most, the majority has identified
    a statement by a single member of the 2006 legislature indicating
    his view that the 2006 amendment to the Inherent Risks of Skiing
    Act would not “exempt the negligence of the ski resort” from
    liability in certain circumstances. Supra ¶ 65. But that is insufficient
    for numerous reasons. For one thing, the views of a single member
    of the legislature have no power to bind the whole body. For
    another, the 2006 legislature cannot override the views of the 1979
    legislature (which enacted the Inherent Risks of Skiing Act) without
    repealing the statute. The legislature as a body expresses its views
    only by voting a bill into law. See Graves v. N. E. Servs., Inc., 
    2015 UT 28
    , ¶¶ 64, 67, 
    345 P.3d 619
    (“Legislative history is not law. . . . [T]he
    governing law is defined not by our abstract sense of legislative
    purpose, but by the statutory text that survived the constitutional
    process of bicameralism and presentment.”); Hooban v. Unicity Int’l,
    Inc., 
    2012 UT 40
    , ¶ 17, 
    285 P.3d 766
    (“Our evaluation of the statute’s
    purpose must start with its text, not the legislative history.”). And
    the statement made by Senator Hillyard on the Senate floor was
    never voted into law. It accordingly tells us nothing of relevance to
    the question presented.
    ¶169 Even if this kind of statement could tell us something of
    relevance about this question, this statement actually cuts the other
    way when Senator Hillyard’s comments are considered in context.
    The statement reads in part:
    Now, I should indicate that there’s no intention in this
    to exempt the negligence of the ski resort. In other
    words, if they have an employee running a trail groomer
    and they run somebody over, that’s ordinary negligence.
    We’re just talking about the inherent risk when
    people go skiing. . . .
    77
    RUTHERFORD v. TALISKER
    Lee, A.C.J., dissenting in part
    People say, you know, I’m a trial lawyer, why am I
    carrying a bill like this? And the reason I am is
    because I think the state made the policy in the 1980s that
    this is a policy of the state of Utah. And I think for
    everyone involved we should just [ ] keep up to date
    and clarify that policy. And so that’s what we’ve done
    is [ ] taken those words and [ ] give them better definitions
    and more specificity.”
    Recording of Utah Senate Floor Debates, 56th Leg., Gen. Sess. (Feb
    13, 2006) (statement of Sen. Lyle Hillyard) (emphasis added).
    ¶170 There are two important points to highlight. First,
    Senator Hillyard’s example of ski resort negligence is beyond the
    bounds of the enumerated inherent risks. Senator Hillyard could
    have used an example that supports the majority’s interpretation.
    He could have said that even though impact with signs or fences is
    listed as an inherent risk of skiing, a skier could still recover where
    the ski resort had been negligent in placing that sign or fence. But
    instead he used an example of negligence of an employee “running
    a trail groomer.” That is not an inherent risk of skiing enumerated
    in section 78B-4-402. 17
    ¶171 Second, not only does Senator Hillyard fail to mention
    Clover; he also endorses the “policy” that the “state made . . . in the
    1980s,” which he characterizes as the “policy of the state of Utah.”
    Perhaps Senator Hillyard is thinking about this policy with the
    Clover overhaul in mind. But there’s nothing in his statement to
    suggest that. And the context of the statement cuts the other way.
    Hillyard harkens back to the “policy” that the “state made in the
    1980s,” not the common law developments since that time. And he
    states the purpose of proposing an amendment to “take [the
    statute’s] words and [ ] give them better definitions and more
    specificity.” There is no real point to clarifying the definitions of the
    17 Utah Code section 78B-4-402 lists as one of the inherent risks
    of skiing “variations or steepness in terrain, whether natural or as a
    result of slope design, snowmaking or grooming operations.” But
    this does not say that grooming operations are an inherent risk;
    only that variations in terrain resulting from such operations are.
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                        Lee, A.C.J., dissenting in part
    items on the statutory list under Clover; that decision renders the
    statutory list irrelevant. So if anything Hillyard’s comments seem to
    reinforce the statutory standard—not the Clover rewrite.
    2. Reliance
    ¶172 The majority’s final point is the assertion that a decision
    to overturn Clover might upset significant reliance interests. Here
    the majority suggests that ski resorts may have “invested in
    infrastructure and personnel to abate potential negligence actions
    under Clover,” that “insurers and resort owners” may have
    “negotiated policies and premiums against the backdrop of Clover,”
    and that Utah ski resorts “may have obtained” a commercial
    advantage by attracting skiers with the allure of a more friendly
    tort system. Supra ¶ 68.
    ¶173 I cannot dispute that there may be some degree of
    disruption in a decision to overturn Clover. But a decision to
    overrule precedent will always have some effect. That alone cannot
    be enough to sustain a precedent that is both clearly incompatible
    with the controlling statute and unworkable in its application. See
    State v. Robertson, 
    2017 UT 27
    , ¶¶ 31–34, 
    438 P.3d 491
    (overturning
    precedent after considering “the plausibility of the existing
    interpretation” and whether the interpretation “has worked in
    practice”).
    ¶174 This holds even when we can identify some reliance
    interests built up around our precedent. A decision like this one is
    always a balancing act. I acknowledge that there are some
    downsides to setting aside Clover. But I would nonetheless overrule
    it because the significant upsides substantially outweigh the
    downsides.
    ¶175 Perhaps it’s true that ski resorts, insurers, and even skiers
    rely to some degree on the Clover framework. But these reliance
    interests are minimal. Ski resorts likely have negotiated insurance
    premiums with Clover in mind, but their reliance interests cannot
    be harmed by following the language of the statute, which severely
    limits liability. And nothing in our opinion would inhibit a resort
    from independently compensating injured skiers if in fact they
    79
    RUTHERFORD v. TALISKER
    Lee, A.C.J., dissenting in part
    receive more business on account of Utah’s increased “incentive[s]
    to ski in the state.” See supra ¶ 68.
    ¶176 Rutherford’s reliance interests—as well as those of
    similarly situated skiers—are minimal. This is so because an
    unworkable precedent is unlikely to sustain the same kind of
    reliance interests as a decision establishing a clear, bright-line rule.
    When a decision is unworkable, litigants will struggle to predict its
    application, and thus to rely on its operation. No one can anticipate
    the effects of Clover in difficult cases because the standard is stated
    in such ambiguous terms.
    ¶177 And overturning Clover has significant upsides. We can
    be faithful to the governing statute while reducing confusion by
    implementing a framework that is predictable in its application. 18
    C. Remand
    ¶178 For all of the above reasons I would conclude that Clover
    is ripe for reconsideration. And I would repudiate it on the ground
    that it is clearly incompatible with the statutory scheme enacted by
    the legislature.
    ¶179 That takes us back to square one. And square one in a
    statutory case is always the statutory text. The text of the statute is
    the law. See Graves v. N.E. Servs., Inc., 
    2015 UT 28
    , ¶ 67, 
    345 P.3d 619
    (“The governing law is defined . . . by the statutory text that
    survived the constitutional process of bicameralism and
    18 The majority says that even if it were true that Clover had
    generated minimal reliance interests, it wouldn’t matter because
    “Talisker has not made this argument” and the “burden of
    persuasion is Talisker’s to bear.” Supra ¶ 68 n.25. I see no relevance
    to the lack of briefing on this specific argument. “It is no affront to
    the adversary system for us” to engage in independent analysis on
    issues preserved and presented by the parties for our decision.
    State v. Rasabout, 
    2015 UT 72
    , ¶ 98, 
    356 P.3d 1258
    (Lee, A.C.J.,
    concurring in part and concurring the judgment). The judicial
    enterprise would be impoverished if we were to mindlessly limit
    ourselves only to the specific arguments of the parties. In this
    instance I see no reason to refrain from engaging in my own
    independent thinking on the reliance issue.
    80
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                        Lee, A.C.J., dissenting in part
    presentment.”). That text governs—without any need for
    elaboration or consideration of other sources—so long as it is plain.
    
    Id. ¶ 64
    (explaining that we look beyond the text to “inform[] our
    construction of ambiguities in the law,” “[b]ut its utility ends
    there”).
    ¶180 Here the statute is plain. It speaks in broad, categorical
    terms. It says that “no skier may make any claim against, or recover
    from, any ski area operator for injury resulting from any of the
    inherent risks of skiing.” UTAH CODE § 78B-4-403.
    ¶181 This is the operative legal standard. Under the Inherent
    Risks of Skiing Act, a skier’s tort claim is statutorily barred if it is
    (a) for an “injury resulting from” (b) “any of the inherent risks of
    skiing.” These are questions of causation. See Barneck v. Utah Dep’t
    of Transp., 
    2015 UT 50
    , ¶¶ 36–37, 
    353 P.3d 140
    (describing “result
    from” language in a statute as a “causation standard”). The first
    inquiry concerns the causal connection between the skier’s injury
    and an alleged risk of skiing. The next question is whether the risk
    of skiing qualifies as an “inherent risk of skiing” under the statute.
    ¶182 That is purely a question of statutory interpretation. The
    statute defines inherent risks of skiing and includes a list of such
    risks. UTAH CODE § 78B-4-402(1). If a skier’s injury is causally
    connected to that risk and the risk qualifies as an “inherent risk of
    skiing” under the statute then the plaintiff’s claim is statutorily
    barred. The statute leaves no room for any inquiry into whether the
    risk in question is one that skiers might wish to confront, or any of
    the related elements of the Clover analysis. It does, however, leave
    open the question whether the injuries at issue here resulted from a
    risk encompassed within the ordinary meaning of the terms of the
    statute.
    ¶183 I would remand for further proceedings under that
    standard. Talisker asserts that the snow that caused Levi
    Rutherford’s injury was an “inherent risk of skiing” under the
    terms of the statute. It notes that the statute lists “snow or ice
    conditions” as an inherent risk of skiing, 
    Id. § 78B-
    4-402(1)(b), and
    that “machine-made snow” counts as a “snow or ice condition[]”
    that is an inherent risk. 
    Id. Talisker also
    emphasizes that inherent
    risks also include “variations or steepness in terrain, whether
    81
    RUTHERFORD v. TALISKER
    Lee, A.C.J., dissenting in part
    natural or as a result of slope design, snowmaking or grooming
    operations.” 
    Id. § 78B-
    4-402(1)(d).
    ¶184 Talisker may well be entitled to summary judgment
    under the ordinary meaning of these terms of the statute. But the
    Rutherfords have not had an opportunity to present an argument
    that the snow and ice conditions in question do not fall within the
    statutory terms. And this question has never been decided by the
    district court. We should remand to allow that court to resolve this
    issue in the first instance.
    D. The Majority’s Standard
    ¶185 The majority claims to “clarify” the holding in our Clover
    opinion. Supra ¶ 12. But the majority’s standard is hardly clear.
    Quite the contrary. The court seems to articulate two alternative
    standards—without committing itself clearly to either, and without
    explaining how either should play out in practice.
    ¶186 At times the court seems to be thinking of an “inherent
    risks of skiing” inquiry that is framed as a question of law, turning
    (at least in part) on the ordinary meaning of the text of the statute.
    This is arguably implied by the court’s assertion that its test
    “track[s] the commonplace descriptions of risks” set forth in the
    statute, supra ¶ 82, and requires a consideration of the unadorned
    terms of the listed risks in the manner that a “skier would
    reasonably expect to encounter [them] while skiing,” supra ¶ 81.
    This seemingly legal inquiry suggests that a ski resort would be
    entitled to immunity under the statute if an injury results from a
    listed risk “when” it is “encountered in the way that skiers would
    reasonably expect to encounter” it. 19 Supra ¶ 79.
    19  At various points the majority claims confusion over the
    standard that I would apply. Let me allay any possible confusion
    here. My approach turns on a simple, straightforward question of
    law—of statutory interpretation (of risks listed in the statute).
    Thus, I would ask whether any given injury resulted from a risk
    that falls within the ordinary meaning of the terms of the statute. I
    would ask, for example, whether an injury results from “snow or
    ice conditions,” or “impact with lift towers.” UTAH CODE
    § 78B-4-402(1). I would accordingly use our standard tools of
    (cont.)
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    ¶187 Elsewhere, however, the court seems to speak of the
    Clover inquiry in terms that contemplate a fact-intensive mixed
    question. Quoting Clover, the majority says that “‘[c]ourts cannot
    determine that a risk is inherent in skiing simply by asking whether
    it happens to be one of those listed in’” section 402 of the statute.
    Supra ¶ 79 n.27. “Instead,” the court says that we must ask (even for
    injuries arising from risks listed in the statute) whether the risk
    “was an integral part or essential characteristic of the sport of
    skiing”—an inquiry that seems to contemplate a fact-intensive
    determination of whether the particular circumstance of the injury
    is one that “a skier . . . reasonably expects to encounter.” 
    Id. This also
    seems reflected in the question that the majority frames for the
    district court on remand: “whether a skier would reasonably expect
    to encounter the wet, sticky snow that [Rutherford] encountered at
    The Canyons.” Supra ¶ 83.
    ¶188 The majority’s discussion of the statute’s treatment of
    “impact[s] with lift towers” (a risk identified by the legislature as
    “inherent,” UTAH CODE § 78B-4-402(1)(e)) highlights the internal
    tension in the majority’s approach. 20 The court first says that “[t]he
    statutory interpretation to resolve the question presented in a case
    like this one.
    20 I have no quarrel with the majority’s general premise that a
    factual inquiry may sometimes be a necessary predicate to a legal
    determination made by a court as a matter of law. But this does not
    rehabilitate the majority opinion. The problem is not that legal
    questions can never call for antecedent factual inquiries. It is that
    the legal determinations prescribed by the Inherent Risks of Skiing
    Act—establishing that “certain risks are inherent” in skiing “as a
    matter of law,” UTAH CODE § 78B-4-401—do not call for a predicate
    factual inquiry.
    The majority eventually gets around to addressing this point.
    But its only response is the suggestion that the statute’s reference to
    “certain risks” may not be a “reference to the enumerated risks” set
    forth in the statute. Supra ¶ 79 n. 28. And I see no way to defend
    that conclusion here. In context, it is quite clear that the whole
    point of the statutory list is to identify those risks that are
    “inherent” as a matter of law. See UTAH CODE § 78B-4-401
    (cont.)
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    relevant inquiry in a case involving an impact with a lift tower is
    whether the legislature meant for the Act to cover the kind of impact
    with a lift tower at issue in the case.” Supra ¶ 81 (emphasis added).
    And it says that the statute “bars recovery” for claims by skiers
    who “ski[] out of control and crash[] into an ordinary lift tower.”
    Supra ¶ 81 (emphasis added). This sounds like the framing of a
    legal question—as to the ordinary meaning of the language of the
    statute. Yet the court never establishes this as the governing legal
    standard. In fact it seems to take back the framing of a legal
    question in the same paragraph of the opinion, where it asserts that
    the statute should be understood to “bar[] recovery for impacts as
    skiers would reasonably expect them to occur.” Supra ¶ 81. This, again,
    seems more of a factual inquiry.
    ¶189 The fact-intensive nature of the court’s standard seems
    reinforced elsewhere in the opinion where the majority analyzes
    the “pile of rocks” hypothetical. Supra ¶ 43. There the court
    concludes (wrongly in my view—
    see supra
    ¶¶ 131-32) that a “pile of
    rocks intended for later landscaping placed in the middle of a
    beginner run . . . is certainly a ‘surface . . . condition[] such as . . .
    rocks” within the ordinary meaning of the” statutory text. Supra
    ¶ 43. Yet the majority suggests that this would fall outside the
    “inherent risks” covered by the statute—presumably because (in
    the court’s view) a reasonable skier would not “expect to confront”
    these sorts of “rocks.” This is consistent with the majority’s
    assessment of another hypothetical—the “twenty-yard bare spot
    running through the middle of a groomed ski run.” Supra ¶ 43 n.15.
    On this hypothetical the court accepts the notion that this “is a ‘bare
    spot[]’ under ordinary meaning analysis.” Supra ¶ 43 n.16. But it
    again suggests that its Clover reformulation would allow our courts
    (emphasizing that the statute’s purpose is to “establish as a matter
    of law that certain risks are inherent in th[e] sport”); 
    id. § 78B-4-
    402(1) (indicating that listed risks are “includ[ed]” in the “dangers
    or conditions which are an integral part of the sport of . . . skiing”).
    The legislature certainly could have indicated that inherency is a
    legal determination to be made after predicate factual findings. But
    it clearly did not do so. And we should honor the framework
    established by the legislature instead of formulating a new one.
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    to uphold a skier’s right to sue on an injury caused by such a bare
    spot—again presumably because a purportedly reasonable skier
    would not “expect to confront” it.
    ¶190 For these reasons I read the majority opinion to eschew a
    legal construct of “inherent risks” rooted in a question of statutory
    interpretation and to endorse a free-ranging, fact-intensive inquiry
    into what a reasonable skier would “expect to confront.” Yet I also
    have no idea what either test would entail in practice. And I grieve
    for the trial judge or litigant who is left to decode the tea leaves we
    leave on this question in our opinion.
    ¶191 The court’s framing of a quasi-legal inquiry leaves
    several key questions unanswered. If the law requires us to ask
    whether a given injury resulted from a risk that is “encountered in
    the way that skiers would reasonably expect to encounter them,”
    supra ¶ 79 (emphasis added), we must identify what counts as part
    of the relevant “way.” Consider the court’s lift tower analysis. The
    court says we should ask whether “the legislature meant for the Act
    to cover the kind of impact with a lift tower at issue in the case.”
    Supra ¶ 81. But to answer that question we would have to identify
    which elements of the impact with the lift tower are of relevance to
    the inquiry. And we would then have to guess whether the
    legislature meant to cover that risk under the immunity provided
    to ski resorts.
    ¶192 Imagine an accident involving a collision with a lift tower
    that is alleged to have been negligently designed or placed by the
    ski resort (a scenario much more likely to come to pass than the
    “invisible” lift tower). How is a court to decide whether this lift
    tower is “encountered in the way that skiers would reasonably
    expect to encounter” it? The plaintiff will inevitably say that a
    reasonable skier would not expect to encounter it in this “way”
    because this is a negligently designed or placed lift tower. And that
    will open the door to expert testimony about lift tower design and
    placement, rendering the statutory list inoperative and effectively
    reinstating a negligence regime.
    ¶193 The court’s factual framing of the inquiry is equally
    opaque. Nowhere does the majority tell us what it means for a
    reasonable skier to “expect” a certain risk. In some sense no one
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    Lee, A.C.J., dissenting in part
    “expects” to encounter any sort of mishap that occurs on the ski
    hill. Any ski injury is in a very practical sense an “accident”—
    something unexpected. Accident, BLACK’S LAW DICTIONARY (11th ed.
    2011) (defining an accident as something “unintended and
    unforeseen”). For this new test to do any work, then, we have to
    identify the quantum of expectation that we have in mind—how
    likely the expectation must be. The court nowhere does that.
    ¶194 And that is just the beginning of the problem. We also
    have to identify which aspects of the risk or resulting injury must
    be “expected.” And finally, and quite importantly, we must
    determine whether and to what extent expert testimony is required
    to satisfy our new standard of expectation.
    ¶195 The majority specifies none of this. It fails to identify a
    clear standard. And it leaves unanswered the key questions
    required to make sense of the two competing tests it has alluded to.
    Instead it just frames a muddled question for remand, hoping the
    district court and the parties will figure it all out later.
    ¶196 We can do better. The path to doing so is to return to the
    plain text of the governing statute. I would take that route. I would
    ask the court on remand to decide whether Levi Rutherford was
    injured by an inherent risk that falls within the ordinary meaning
    of the statutory text. That inquiry resolves all of the many practical
    problems with the majority’s standard. And it also paves a path to
    deal with the various absurd hypotheticals imagined by the
    majority.
    III. CONCLUSION
    ¶197 This case has occupied the attention of the Utah appellate
    courts for the past four years. We granted certiorari because we
    perceived a need to bring clarity to a legal regime that has drawn
    skepticism and concern since its inception, and that has long stood
    in need of clarification. And we ordered supplemental briefing and
    heard oral argument on the case three times, again because we saw
    a pressing need for a substantial overhaul of the law in this area.
    ¶198 In light of this extensive history, the bench and bar will
    be justifiably disappointed in our disposition of this case. Instead of
    clarification or reformulation, the majority mostly just kicks the can
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    down the road. It replaces one indecipherable test with another,
    and leaves our law in a state of disarray. This is what happens
    when we ignore the plain language of the law and venture into the
    territory of judicial rewriting of legislation. I see no reason to
    condone our past endeavors of this sort. And I certainly don’t think
    it’s a good idea for us to double-down on our past missteps with a
    new test that is equally problematic.
    ¶199 I dissent. I would credit the text of the Inherent Risks of
    Skiing Act. I would overrule Clover, and in so doing affirm that our
    job is to interpret statutes, not rewrite them.
    87