Shoemaker v. Funkhouser ( 2021 )


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  • PRESENT: All the Justices
    JESSICA SHOEMAKER, ADMINISTRATOR
    AND PERSONAL REPRESENTATIVE OF THE
    ESTATE OF GINA ANGELA SHOEMAKER
    OPINION BY
    v. Record No. 191218                              JUSTICE STEPHEN R. McCULLOUGH
    March 25, 2021
    RICHARD E. FUNKHOUSER, ET AL.
    FROM THE CIRCUIT COURT OF SHENANDOAH COUNTY
    Clifford Lynwood Athey, Jr., Judge
    Gina Angela Shoemaker was accidentally shot and killed while visiting her mother. The
    shooter was himself visiting his grandparents, Richard E. and Anna E. Funkhouser (“the
    Funkhousers”), who, according to the allegations in the complaint, gave him permission to shoot
    in the direction of the house Shoemaker was visiting. Shoemaker’s administrator filed suit
    against the Funkhousers, asserting they were negligent in granting permission to their grandson
    to shoot in this manner. The Funkhousers filed a demurrer, arguing that Shoemaker’s lawsuit
    failed as a matter of law because they owed Gina Shoemaker no legal duty. The trial court
    agreed with the Funkhousers and dismissed the case. We conclude that, on the specific
    allegations of this complaint, the judgment below should be reversed and the case remanded.
    BACKGROUND
    The circuit court dismissed this case on a demurrer. In that circumstance, we accept the
    allegations of the complaint as true. Richard and Anna Funkhouser live in Shenandoah County,
    at 37 Charlotte Road, on a property of almost eight acres. Dorothy Nesselrodt is a neighbor of
    the Funkhousers. Nesselrodt resides at 259 Charlotte Lane.
    Nesselrodt is the mother of Gina Shoemaker. Shoemaker was visiting her mother at her
    house on November 23, 2014, when the Funkhousers were receiving a visit from Shawn Jason
    Nicely, their grandson.
    According to the complaint, the Funkhousers gave Nicely permission “to shoot targets
    with a rifle on the Funkhouser property in the direction of 259 Charlotte Lane, at a firing position
    within sight of the Funkhouser home.” The Funkhousers knew that Nesselrodt’s house “was on
    the other side of trees, which were not densely arranged.” The Funkhousers “knew, or should
    have known, that the firing of a rifle in the direction of the residence at 259 Charlotte Lane
    would go around or penetrate through the trees and result in bullets/ammunition striking such
    residence and anyone located therein.” One of the bullets did penetrate the walls of Nesselrodt’s
    house, striking Shoemaker and killing her.
    Jessica Shoemaker, the administrator and personal representative of Gina Shoemaker,
    filed a wrongful death action against the Funkhousers. The complaint, which was amended
    several times, alleged that the Funkhousers owed a duty to refrain from granting Nicely
    permission to shoot a rifle from their property in the direction of Nesselrodt’s house, and that
    they were negligent in granting him this permission. The Funkhousers filed a demurrer,
    contending that the complaint was barred because the Funkhousers did not owe Nesselrodt or
    any of her visitors a duty, and, in addition, the immunity afforded to landowners by the
    Recreational Land Use Act, Code § 29.1-509, foreclosed the suit. The circuit court agreed with
    the Funkhousers, sustained the demurrer, and dismissed the case. This appeal followed.
    2
    ANALYSIS
    I.      LANDOWNERS HAVE A LIMITED DUTY IN TORT TO PREVENT ACTIVITY ON THEIR
    PROPERTY THAT COULD HARM OTHER PERSONS NOT ON THE PROPERTY.
    “The question of liability for negligence cannot arise at all until it is established that the
    [individual] who has been negligent owed some duty to the person who seeks to make him liable
    for his negligence.” Dudley v. Offender Aid & Restoration of Richmond, Inc., 
    241 Va. 270
    , 277
    (1991) (quoting Le Lievre v. Gould [1893] 1 Q.B. 491, 497 (Eng.) (opinion of Esher, M.R.)).
    “‘[W]hether a legal duty in tort exists is a pure question of law’” to be reviewed de novo. Burns
    v. Gagnon, 
    283 Va. 657
    , 668 (2012) (quoting Kellermann v. McDonough, 
    278 Va. 478
    , 487
    (2009)).
    We have frequently grappled with the question of whether a duty exists on a particular set
    of facts. See, e.g., Quisenberry v. Huntington Ingalls Inc., 
    296 Va. 233
    , 249 (2018); RGR, LLC
    v. Settle, 
    288 Va. 260
    , 276 (2014). “General negligence principles require a person to exercise
    due care to avoid injuring others.” RGR, LLC, 288 Va. at 275. Specifically, the common law
    requires that “‘every person [must] exercise ordinary care in the use and maintenance of his own
    property to prevent injury to others.’” Quisenberry, 296 Va. at 242 (quoting Perlin v. Chappell,
    
    198 Va. 861
    , 864 (1957)). The duty, however, is “not abstract: a specific course of conduct gives
    rise to a specific duty extending to specific persons.” 
    Id.
    We have also stated that “‘in determining whether a duty exists, the likelihood of injury,
    the magnitude of the burden of guarding against it, and the consequences of placing that burden
    on the defendant must be taken into account. Imposition of a duty does not depend upon
    foreseeability alone.’” Gulf Reston, Inc. v. Rogers, 
    215 Va. 155
    , 159 (1974) (quoting Trice v.
    Chicago Hous. Auth., 
    302 N.E.2d 207
    , 209 (Ill. App. Ct. 1973)).
    3
    As a general proposition, “the occupier of land must use reasonable care for the safety of
    those outside the land to prevent direct harm resulting from his affirmative activities on the
    land.” 2 Dan B. Dobbs, The Law of Torts § 272 (2d ed. 2011). 1 A landowner
    has the privilege to make use of the land for his own benefit, and
    according to his own desires, which is an integral part of our whole
    system of private property; but it has been said many times that
    this privilege is qualified by a due regard for the interests of others
    who may be affected by it. The possessor’s right is therefore
    bounded by principles of reasonableness, so as to cause no
    unreasonable risks of harm to others in the vicinity.
    W. Page Keeton et al., Prosser & Keeton on Torts § 57 (5th ed. 1984); see also Restatement
    (Second) of Torts § 371 (1965) (“A possessor of land is subject to liability for physical harm to
    others outside of the land caused by an activity carried on by him thereon which he realizes or
    should realize will involve an unreasonable risk of physical harm to them under the same
    conditions as though the activity were carried on at a neutral place.”).
    That duty, however, generally applies to the occupier of the land, not to third parties who
    may be on the land. In general, an owner or occupier of land has no duty to protect others from
    the harmful acts of a third person acting on or near their property. See Restatement (Second) of
    Torts § 315 (1965); Burns, 
    283 Va. at 668
     (“We have consistently held that ‘generally a person
    does not have a duty to protect another from the conduct of third persons.’”) (internal citations
    omitted). Section 315 of the Second Restatement of Torts recognizes the general principle that
    “[t]here is no duty so to control the conduct of a third person as to prevent him from causing
    1
    Although we employ the term “landowner” in this opinion, the duty we discuss springs
    from possession of the land, and it is not necessarily placed on the person in whom the land is
    titled. See W. Page Keeton et al., Prosser and Keeton on Torts § 57 (5th ed. 1984) (“Largely for
    historical reasons, the rights and liabilities arising out of the condition of land, and activities
    conducted upon it, have been concerned chiefly with the possession of the land, and this has
    continued into the present day.”) (emphasis added).
    4
    physical harm to another unless (a) a special relation exists between the actor and the third
    person . . . , or (b) a special relation exists between the actor and the other . . . .” 2
    Furthermore, a person has a right to presume others will exercise due care “until the
    contrary appears.” Harris Motor Lines v. Green, 
    184 Va. 984
    , 992 (1946); see also Prosser &
    Keeton on Torts § 33 (“In general, where the risk is relatively slight, a person is free to proceed
    upon the assumption that other people will exercise due care.”); Jorgensen v. Horton, 
    206 N.W.2d 100
    , 105 (Iowa 1973) (“One may presume the due care of others until he knows or in the
    exercise of reasonable care should know otherwise.”); Weavil v. Myers, 
    90 S.E.2d 733
    , 737 (N.C.
    1956) (“It is a well settled principle of law that a person is not bound to anticipate negligent acts
    or omissions on the part of others; but, in the absence of anything which gives, or should give
    notice to the contrary, he is entitled to assume and to act upon the assumption that every other
    person will perform his duty and obey the law and that he will not be exposed to danger which
    2
    We have often accepted the Second Restatement of Torts as authoritative. Coward v.
    Wellmont Health Sys., 
    295 Va. 351
    , 360 (2018) (“The Restatement, therefore, authoritatively
    frames the issue before us.”); Forest Lakes Cmty. Ass’n, Inc. v. United Land Corp., 
    293 Va. 113
    ,
    132 (2017) (asserting that § 158 cmt. m of the Restatement (Second) of Torts is “a fair
    restatement of English common law, which is the law of this Commonwealth already, see Code
    § 1-200, and has been received as such as part of our common-law heritage…”); Mansfield v.
    Bernabei, 
    284 Va. 116
    , 125 (2012) (“[R]egarding the applicability of absolute privilege to
    communications preliminary to a proposed judicial proceeding, this Court adopts the rule
    expressed in the Restatement (Second) of Torts §§ 586, 587…”); DurretteBradshaw, P.C. v.
    MRC Consulting, L.C., 
    277 Va. 140
    , 145 (2009) (“We find the commentary accompanying § 766
    of the Restatement (Second) of Torts to be instructive.”); Koffman v. Garnett, 
    265 Va. 12
    , 16
    (2003) (citing the Restatement (Second) of Torts § 21 in defining the cause of action for an
    assault); Didato v. Strehler, 
    262 Va. 617
    , 628-29 (2001) (asserting the Restatement (Second) of
    Torts § 323 is an embodiment of the common law principle); Maximus, Inc. v. Lockheed Info.
    Mgmt. Sys. Co., Inc., 
    254 Va. 408
    , 413 (1997) (citing § 766B of the Restatement (Second) of
    Torts for the standard of a tortious interference with a contract expectancy); Nasser v. Parker,
    
    249 Va. 172
    , 178 (1995) (“In determining whether one has a duty concerning the conduct of a
    third person, we have considered Restatement §§ 315(a) and 319 together…”); Chaves v.
    Johnson, 
    230 Va. 112
    , 120 (1985) (relying on the Restatement (Second) of Torts § 766 to
    outline the contours of a cause of action for tortious interference with contract rights).
    5
    can come to him only from the violation of duty or law by such other person.”). Therefore, as a
    general proposition, landowners who have granted permission to others to engage in certain
    activities on their land face no liability from the independent acts of others.
    The Second Restatement of Torts recognizes exceptions to these general principles for
    relationships made “special” by virtue of the degree of control the actor/defendant is able to
    exercise over the third party. 3 Notably, § 318 of the Second Restatement of Torts recognizes that
    a duty may arise between the landowner and those allowed on the land because of the
    possessor’s power of control over those allowed to enter. See also Prosser & Keeton on Torts
    § 57. If such a duty were to arise, the landowner would have to exercise reasonable care for the
    protection of others, including “the power of control or expulsion which his occupation of the
    premises gives him over the conduct of a third person who may be present, to prevent injury to
    the visitor at his hands.” Id. at § 61.
    Section 318 of the Second Restatement of Torts provides as follows:
    If the actor permits a third person to use land or chattels in his
    possession otherwise than as a servant, he is, if present, under a
    duty to exercise reasonable care so to control the conduct of the
    third person as to prevent him from intentionally harming others or
    from so conducting himself as to create an unreasonable risk of
    bodily harm to them, if the actor
    (a) knows or has reason to know that he has the ability to control
    the third person, and
    (b) knows or should know of the necessity and opportunity for
    exercising such control.
    For the sake of completeness, we note that a caveat to § 318 further specifies:
    3
    See e.g., Restatement (Second) of Torts § 316 (duty of parent to control conduct of
    child); Restatement (Second) of Torts § 317 (duty of master to control conduct of servant);
    Restatement (Second) of Torts § 319 (duty of those in charge of persons having dangerous
    propensities); Restatement (Second) of Torts § 320 (duty of person having custody of another to
    control conduct of third persons).
    6
    The Institute expresses no opinion as to whether there may not be a
    duty of reasonable care to control the conduct of the third person
    . . . where the actor, although not present, is in the vicinity, is
    informed of the necessity and opportunity of exercising such
    control, and can easily do so.
    The drafters also provide the following comment to the caveat:
    No cases have been found bearing upon the [portion] of the Caveat
    [quoted above]. Since the basis of the liability is the possessor’s
    responsibility for what is done upon his land, together with his
    opportunity for exercising control, it would appear that the same
    rule would be applied where he is not present, but is notified and is
    in a position to arrive promptly upon the scene.
    Consistent with § 318 of the Second Restatement of Torts, we conclude that a landowner
    has a duty in tort to exercise reasonable care to control the conduct of a third party, who has been
    granted permission by the landowner to use the land, to prevent that third party from
    intentionally harming others or from conducting himself so as to create an unreasonable risk of
    bodily harm to others. That duty is circumscribed by several important limiting principles
    articulated in § 318, namely, the landowner (1) must be present, (2) knows or has reason to know
    that he or she has the ability to control the third person, and (3) the landowner knows or should
    know of the necessity and opportunity for exercising such control.
    The fact that Nicely happened to be on the Funkhousers’ land when he began shooting
    does not alone expose the Funkhousers to liability. Additionally, because landowners can expect
    someone on their land to exercise proper care, absent evidence to the contrary, the fact that a
    landowner grants permission to conduct an activity on the landowner’s property with some risk
    of harm attendant to that activity does not expose the landowner to liability simply because
    permission was granted to engage in that activity.
    This case was dismissed at the demurrer stage. “A demurrer accepts as true all facts
    properly pled, as well as reasonable inferences from those facts.” Steward v. Holland Family
    7
    Props., LLC, 
    284 Va. 282
    , 286 (2012). Accordingly, accepting those allegations as true, we note
    that the complaint does not simply allege that the Funkhousers gave permission to Nicely to
    shoot at targets on their land. It specifically alleges that they granted permission “to shoot
    targets with a rifle on the Funkhouser property in the direction of 259 Charlotte Lane, at a firing
    position within sight of the Funkhouser home.” (Emphasis added). The complaint further
    alleges that the Funkhousers knew that Nesselrodt’s house “was on the other side of trees, which
    were not densely arranged.” Finally, the complaint alleges that the Funkhousers “knew, or
    should have known, that the firing of a rifle in the direction of the residence at 259 Charlotte
    Lane would go around or penetrate through the trees and result in bullets/ammunition striking
    such residence and anyone located therein.” Ordinarily, a landowner would have a much greater
    knowledge of the dangers that might be present from an activity, like shooting in a particular
    direction, than would a visitor who is granted such permission. We conclude that the
    Funkhousers owed a duty to their neighbors not to grant permission for someone to shoot targets
    on their property in the direction of a house located within sight of their house when they knew
    or should know that the bullets are likely to strike that house. 4
    The allegations in the complaint satisfy the element of “presence” required by § 318 of
    the Second Restatement of Torts. “Present” is defined as “being in one place and not elsewhere:
    being within reach, sight, or call or within contemplated limits: being in view or at hand: being
    before, beside, with, or in the same place as someone or something.” Webster’s Third New
    International Dictionary 1793 (2002); see also Black’s Law Dictionary 1432 (11th ed. 2019)
    (defining “presence” as “[t]he quality, state, or condition of being in a particular time and place,
    4
    The complaint alleges that the weapon was a rifle. Not every weapon presents the same
    danger.
    8
    particularly with reference to some act that was done then and there” and “[c]lose physical
    proximity coupled with awareness”). The term “presence” in the Restatement should be
    construed according to its ordinary meaning, and “present or presence” does not mean standing
    at the shoulder of the person engaging in the activity. 5 The allegations of the complaint are
    sufficient to show that the Funkhousers were present: they were physically present on their land
    when they granted permission, not just to conduct an activity, but to conduct that activity in a
    specific way, and they were present at their house when the activity was being conducted such
    that they could exercise oversight over the activity. In addition, the allegations in the complaint
    suffice to show that they could view the firing position from their home, that they had the ability
    to control their grandson, and that they knew or should have known of the necessity and
    opportunity for exercising such control. In short, the allegations in the complaint are sufficient,
    if proven, to state a legal duty the Funkhousers owed to persons in Nesselrodt’s house.
    5
    Presence, in other areas of the law, means more than being within arm’s reach of
    another. For example, to be convicted of robbery, a perpetrator must take “with intent to steal, of
    the personal property of another, from his person or in his presence, against his will, by violence
    or intimidation.” Lebedun v. Commonwealth, 
    27 Va. App. 697
    , 718 (1998) (citation omitted and
    emphasis added). “The phrase ‘of the personal property of another, from his person or in his
    presence’ has been broadly construed to include the taking of property from the custody or . . .
    the constructive possession of another.” Id. at 719 (citation omitted) (robbery conviction upheld
    as occurring in the presence of the store manager victim even though the victim was sequestered
    in a separate room of the store when the items were taken). Additionally, a police officer may
    make a warrantless arrest for a misdemeanor if the offense is committed in the officer’s presence.
    Galliher v. Commonwealth, 
    161 Va. 1014
    , 1021 (1933). “An offense is committed within the
    presence of an officer, within the meaning of this rule, when he has direct personal knowledge,
    through his sight, hearing, or other senses that it is then and there being committed.” 
    Id.
     In the
    will context, the statutory requirement that a will be attested in the presence of the testator “has
    been considered as done in his presence, if he was in a position from which he might, if he chose,
    see the witnesses subscribe without changing his situation” even though the testator was not in
    the same room. Nock v. Nock, 
    51 Va. (10 Gratt.) 106
    , 122 (1853).
    9
    II.     THE RECREATIONAL LAND USE ACT DOES NOT IMMUNIZE THE FUNKHOUSERS.
    The Funkhousers also contend that Virginia’s recreational immunity statute immunizes
    them from liability. Like many states, Virginia has enacted a recreational immunity statute that
    provides immunity to landowners in certain circumstances. See Code § 29.1-509. See generally
    Michael S. Carroll, et al., Recreational User Statutes and Landowner Immunity: A Comparison
    Study of State Legislation, 17 J. Legal Aspects of Sport 163 (2007). This statute operates in
    derogation of the common law. We have previously observed that, “[u]nder settled principles of
    statutory construction, [s]tatutes in derogation of the common law are [themselves] to be strictly
    construed and not to be enlarged in their operation by construction beyond their express terms.”
    Wetlands Am. Tr., Inc. v. White Cloud Nine Ventures, L.P., 
    291 Va. 153
    , 165 (2016) (internal
    quotation marks omitted); see also Isbell v. Commercial Inv. Assocs., 
    273 Va. 605
    , 613 (2007)
    (same); Chesapeake & Ohio Ry. Co. v. Kinzer, 
    206 Va. 175
    , 181 (1965) (same). Accordingly,
    along with a majority of courts that have considered similar statutes, we conclude that Virginia’s
    recreational immunity statute should be strictly construed. See Roeder v. United States, 
    432 S.W.3d 627
    , 634 n. 7 (Ark. 2014) (“The majority of courts interpreting recreational-use statutes
    have held that, because recreational-use statutes are in derogation of common law and because
    they limit the duties of landowners, they must be strictly construed.”) (collecting cases). 6
    Code § 29.1-509(B) provides that
    A landowner shall owe no duty of care to keep land or premises
    safe for entry or use by others for hunting, fishing, trapping,
    camping, participation in water sports, boating, hiking, rock
    climbing, sightseeing, hang gliding, skydiving, horseback riding,
    6
    The General Assembly could have, but did not, include a directive to liberally construe
    the recreational immunity statute. See, e.g., Wilmet v. Liberty Mut. Ins. Co., 
    893 N.W.2d 251
    ,
    257 n. 6 (Wis. Ct. App. 2017) (noting the statement of legislative intent that “this legislation
    should be liberally construed in favor of property owners to protect them from liability”).
    10
    foxhunting, racing, bicycle riding or collecting, gathering, cutting
    or removing firewood, for any other recreational use, for ingress
    and egress over such premises to permit passage to other property
    used for recreational purposes . . . .
    This provision of the statute addresses the duty of a landowner to persons who come onto the
    landowner’s property. Code § 29.1-509(B) is not relevant to this case, except insofar as it is
    referenced in Code § 29.1-509(C).
    Code § 29.1-509(C) states in relevant part:
    Any landowner who gives permission, express or implied, to
    another person to hunt, fish, launch and retrieve boats, swim, ride,
    foxhunt, trap, camp, hike, bicycle, rock climb, hang glide, skydive,
    sightsee, engage in races, to collect, gather, cut or remove forest
    products upon land or premises for the personal use of such person,
    or for the use of an easement or license as set forth in subsection B
    does not thereby:
    ....
    3. Assume responsibility for or incur liability for any intentional
    or negligent acts of such person or any other person, except as
    provided in subsection D.
    In turn, subsection D provides, among other things, that a landowner can be liable for
    “gross negligence or willful or malicious failure to guard or warn against a dangerous condition,
    use, structure or activity.” Code § 29.1-509(D).
    First, the text of Code § 29.1-509(C), which provides immunity when a landowner grants
    another person permission to engage in certain activities, does not mention target shooting. 7
    7
    Courts in sister states have concluded that persons entering property to engage in
    activities distinct from those activities enumerated in the recreational use statute are not
    recreational users. For example, in Smith v. Arizona Board of Regents, the court found that
    jumping on a trampoline was not a recreational use covered by the Arizona statute. 
    986 P.2d 247
    , 252 (Ariz. Ct. App. 1999); see also Sallee v. Stewart, 
    827 N.W.2d 128
    , 153 (Iowa 2013);
    Glorioso v. City of Kenner, 
    285 So. 3d 601
    , 604-05 (La. Ct. App. 2019); Quesenberry v.
    Milwaukee Cty., 
    317 N.W.2d 468
    , 471 (Wis. 1982).
    11
    Subsection C does mention hunting. But hunting and target shooting are different. The
    legislature made a choice to distinguish between certain activities. Moreover, the General
    Assembly chose not to include in subsection C a phrase such as “includes, but is not limited to”
    that would sweep in activities that are analogous to the listed activities. Subsection B of this
    statute, in contrast, does contain the phrase “any other recreational use.” Subsection B addresses
    landowner liability for persons who are on the premises for recreational purposes and it is
    inapplicable here. Subsection C addresses situations when a landowner grants permission,
    express or implied, for a specified recreational activity. This difference in wording between
    subsection B and subsection C reflects a legislative choice. 8 We are bound to give effect to that
    choice when construing the statute. See, e.g., City of Richmond v. Va. Elec. & Power Co., 
    292 Va. 70
    , 75 (2016) (“[W]hen the General Assembly has used specific language in one instance,
    but omits that language or uses different language when addressing a similar subject elsewhere in
    the Code, we must presume that the difference in the choice of language was intentional.”); RGR,
    LLC v. Settle, 
    288 Va. 260
    , 295 (2014) (same); Zinone v. Lee’s Crossing Homeowners Ass’n,
    
    282 Va. 330
    , 337 (2011) (same).
    Strict construction of this immunity statute precludes us from implying terms not found
    in the text of the statute. The statute provides immunity when the landowner provides
    permission to engage in certain activities, but it does not extend to activities that are not listed,
    like target shooting. Second, pursuant to the language found in subsection C, the Funkhousers
    did not grant permission “for the use of an easement or license as set forth in subsection B.”
    (Emphasis added). A license is “a right, given by some competent authority to do an act which
    8
    Indeed, other states have included such phrases in their recreational immunity statutes.
    See Sallee, 827 N.W.2d at 138-41 (discussing various approaches states have taken in crafting
    their recreational immunity statutes).
    12
    without such authority would be illegal, a tort, or a trespass.” Bunn v. Offutt, 
    216 Va. 681
    , 683
    (1976) (internal quotation marks and citations omitted); see also Jon W. Bruce & James W. Ely,
    Jr., The Law of Easements & Licenses in Land § 11:1 (2020) (“A license is the permission to do
    something on the land of another that, without such authority, would be unlawful.”). Subsection
    B addresses entry on land for the purpose of
    hunting, fishing, trapping, camping, participation in water sports,
    boating, hiking, rock climbing, sightseeing, hang gliding,
    skydiving, horseback riding, foxhunting, racing, bicycle riding or
    collecting, gathering, cutting or removing firewood, for any other
    recreational use . . . .
    Code § 29.1-509(B). Largely parallel with subsection B, subsection C immunizes a landowner
    who gives permission for someone to
    hunt, fish, launch and retrieve boats, swim, ride, foxhunt, trap,
    camp, hike, bicycle, rock climb, hang glide, skydive, sightsee,
    engage in races, to collect, gather, cut or remove forest products
    upon land or premises for the personal use of such person . . . .
    Subsection B also provides immunity for a landowner in situations of
    ingress and egress over such premises to permit passage to other
    property used for recreational purposes or for use of an easement
    granted to the Commonwealth or any agency thereof or any not-
    for-profit organization granted tax-exempt status under § 501(c)(3)
    of the Internal Revenue Code to permit public passage across such
    land for access to a public park, historic site, or other public
    recreational area.
    In parallel with this provision from subsection B, subsection C provides immunity for a
    landowner who has granted permission for “the use of an easement or license as set forth in
    subsection B.” It would make no sense to construe the word “license” to cover all the activities
    mentioned in subsection B. Doing so would render much of subsection C useless or superfluous.
    We disfavor a construction of statutes that renders any part of the statute useless or superfluous.
    Owens v. DRS Auto. Fantomworks, Inc., 
    288 Va. 489
    , 497 (2014); see also Loch Levan Land
    13
    Ltd. P’ship v. Bd. of Supervisors, 
    297 Va. 674
    , 685 (2019) (“[W]e ordinarily resist a construction
    of a statute that would render part of a statute superfluous.”) (quoting Davis v. MKR Dev., LLC,
    
    295 Va. 488
    , 494 (2018)). This is consistent with the well-settled principle that “[i]t is not to be
    presumed that the legislature intended any part of [a] statute to be without meaning.” Postal Tel.
    Cable Co. v. Norfolk & Western R. R. Co., 
    88 Va. 920
    , 926 (1892). Additionally, Code
    § 29.1-509(C) expressly refers to a “license set forth in subsection B.” But, unlike Subsection C,
    which speaks of giving “permission” for others to engage in certain activities on one’s land,
    Subsection B includes no such language. In fact, subsection B expressly states that “the
    provisions of this subsection apply without regard to whether the landowner has given
    permission to a person to use their land for recreational purposes.” This language further
    supports the conclusion that the “license set forth in Subsection B” cannot be a license to engage
    in one of the listed recreational activities.
    Guided by these principles, the “easement or license” that subsection C incorporates by
    reference from subsection B is most naturally read to include “passage to other property used for
    recreational purposes” or “use of an easement granted to the Commonwealth or any agency
    thereof or any not-for-profit organization granted tax-exempt status under § 501(c)(3) of the
    Internal Revenue Code to permit public passage across such land for access to a public park,
    historic site, or other public recreational area.” Code § 29.1-509(B).
    In sum, the recreational immunity statute does not provide the Funkhousers with
    immunity in this situation because it does not, by its text, cover a situation when a landowner
    grants permission to shoot targets on the landowner’s property.
    14
    CONCLUSION
    We will reverse the circuit court’s dismissal of the case and remand for further
    proceedings.
    Reversed and remanded.
    JUSTICE KELSEY, with whom CHIEF JUSTICE LEMONS and JUSTICE CHAFIN join,
    dissenting.
    This appeal presents two questions. Does the common law impose a duty on the
    grandparents to supervise their adult grandson’s target shooting on their property, and if so, does
    the recreational-use statute, Code § 29.1-509, immunize the grandparents from common-law
    liability for allegedly failing to do so? The majority concludes that the common-law duty exists
    and that the recreational-use statute should be strictly construed not to disturb it. I disagree with
    both conclusions.
    I.
    “Because this appeal arises from the grant of a demurrer, we accept as true all factual
    allegations expressly pleaded in the complaint and interpret those allegations in the light most
    favorable to the plaintiff.” Sweely Holdings, LLC v. SunTrust Bank, 
    296 Va. 367
    , 370-71 (2018)
    (citation omitted). This Court “accept[s] as true unstated inferences to the extent that they are
    reasonable” but “give[s] them no weight to the extent that they are unreasonable.” 
    Id. at 371
    (emphases in original) (citation omitted). “The difference between the two turns on whether ‘the
    inferences are strained, forced, or contrary to reason,’ and thus properly disregarded as ‘arbitrary
    inferences.’” 
    Id.
     (citation omitted). “We also ‘distinguish allegations of historical fact from
    conclusions of law. We assume the former to be true arguendo, but we assume nothing about the
    15
    correctness of the latter because “we do not accept the veracity of conclusions of law
    camouflaged as factual allegations or inferences.”’” 
    Id.
     (citation omitted).
    The decedent, Gina Shoemaker, was visiting her mother, Dorothy Nesselrodt, on the
    same day that Jason Nicely was at his grandparents’ 7.856-acre property, which neighbors
    Nesselrodt’s property. The grandparents, Richard and Anna Funkhouser, allegedly gave Nicely,
    their adult grandson, permission to shoot targets with his rifle on their property “in the direction
    of” Nesselrodt’s residence. J.A. at 70. At some point while Nicely was outside firing his rifle, a
    bullet struck Nesselrodt’s residence and killed Shoemaker. See 
    id.
     The complaint asserts that
    Nesselrodt’s residence “was on the other side of trees, which were not densely arranged,” and at
    the time that Nicely was target shooting, “one or both” of the grandparents “were at the residence
    within view of the shooting.” Id. at 72.
    The administrator of Shoemaker’s estate brought a wrongful death action, alleging that
    Shoemaker’s death had resulted from the grandparents’ negligence. The complaint alleges that
       the grandparents “had a duty to supervise an activity within
    their view”;
       they “had the right to direct and govern the movements and
    conduct of . . . Nicely on their property” but “[n]onetheless,
    they allowed him to shoot in the known direction of 259
    Charlotte Lane”;
       the grandparents “placed themselves in such a position with
    regard to the decedent that if they did not use ordinary care in
    overseeing . . . Nicely’s firing of his rifle where he did with
    regard to those circumstances, they would cause danger of
    injury or death”; and
       “ordinarily prudent persons would not have allowed the firing
    of a rifle on their property in the direction of [Nesselrodt’s]
    residence.”
    Id. at 72-73. The grandparents filed a demurrer, arguing that they did not owe Nesselrodt or her
    visitor a duty to control Nicely or to warn or protect others from his wrongful actions. The
    16
    grandparents also argued that Virginia’s recreational-use statute provides them with immunity
    from any simple-negligence claims arising from the actions of those that they permit to use their
    property for recreational uses. The circuit court sustained the grandparents’ demurrer on these
    two independent grounds.
    II.
    On appeal, the administrator challenges both circuit court rulings. She contends that the
    grandparents owed a duty to supervise Nicely’s target shooting on their property and that the
    recreational-use statute does not shield the grandparents from liability. The majority finds these
    arguments persuasive. I do not.
    A. LANDOWNERS’ DUTY TO SUPERVISE
    Before addressing the governing common-law liability standards, it is important to clarify
    the allegations regarding the grandparents’ specific actions or inactions. The complaint is
    artfully crafted, and the majority generously interprets it. Two critical factual allegations attempt
    to lay the foundation for the complaint’s legal conclusion that the grandparents “had a duty to
    supervise an activity within their view that put their neighbors in grave danger,” id. at 73.
    The first factual allegation is that the grandfather “and/or” the grandmother “gave
    permission” to Nicely “to shoot targets with a rifle on [their] property in the direction of 259
    Charlotte Lane [the home at which the decedent was visiting], at a firing position within sight of
    the [grandparents’] home.” Id. at 70. The second factual allegation is that “one or both of the
    [grandparents] were at the residence within view of the shooting by . . . Nicely.” Id. at 72
    (emphasis added).
    This is yet another case with a complaint liberally using the “and/or” semantic stratagem
    that we have described as an “‘unfortunate hybrid’ and ‘a drafting blemish’ because ‘[t]he literal
    17
    sense of and/or is “both or either,”’ providing three possible choices: one, the other, or both.”
    A.H. ex rel. C.H. v. Church of God in Christ, Inc., 
    297 Va. 604
    , 614 n.3 (2019) (quoting Antonin
    Scalia & Bryan A. Garner, Reading Law: The Interpretation of Legal Texts 125 (2012)). The
    use of an “and/or” allegation is self-defeating and should be subject to demurrer on this basis
    alone. This syntactic trick forces a civil defendant to go to trial solely upon the allegation that (i)
    he is liable; or (ii) if not, someone else is liable; or (iii) perhaps even both are liable. The
    disjunctive between (i) and (ii) means that the defendant may or may not be liable. Yet he
    cannot escape the chokehold of litigation until trial. And, even then, if it becomes obvious no
    evidence has ever existed demonstrating the defendant’s liability, the plaintiff can simply elect
    the “or” in the “and/or” list of options and disclaim that liability was ever asserted solely against
    that defendant. Imagine a criminal indictment stating that John Doe and/or Jane Doe are guilty
    as charged. Neither civil nor criminal rules permit such an undisciplined approach to pleading.
    Because the grandparents did not attack this pleading defect in the trial court, I will treat
    the “and/or” and “one or both” allegations in the complaint as referring to both grandparents.
    Even with that indulgence, notice what is still missing from these allegations:
       The complaint does not allege that Nicely was inexperienced
    with firearms or that he had any negligent propensities that
    would caution the grandparents from letting him target shoot
    on their property.
       The complaint does not claim that the grandparents were
    outside in Nicely’s presence while he was shooting. To the
    contrary, it alleges that one or both grandparents were “at the
    residence.” Id. at 72 (emphasis added).
       The complaint conspicuously backs away from any allegation
    that the grandparents were looking through a window of their
    home and actually saw Nicely aim and fire his rifle. Instead,
    the complaint alleges only that the place on the 7.856-acre
    property where Nicely was shooting was “within sight” and
    “within view” of the home. Id. at 70, 72.
    18
       The complaint does not allege that the grandparents gave
    Nicely permission to shoot at the home in which the decedent
    was visiting, but rather to shoot targets “in the direction of”
    that home, id. at 70 (emphasis added).
       The complaint does not assert that the grandparents knew or
    should have known the specific manner in which Nicely would
    be firing his rifle — whether into a berm, a ravine, or any other
    form of manmade or natural backstop.
       Nor is there any allegation that the grandparents should have
    anticipated that Nicely would negligently fire his rifle on a
    horizonal plane without any protection at all in the event that
    he either missed or shot through his intended target.
    These missing details are important because their absence highlights the flaws in the majority’s
    legal reasoning.
    1.
    The Commonwealth inherited from English common law a highly crafted set of rules
    governing premises liability. This centuries-old liability regime distinguishes between various
    categories: the nature of the visitor (invitee, licensee, or trespasser), 1 the nature of the danger
    (open and obvious or latent), 2 the origin of the danger (natural or man-made), 3 and the identity of
    1
    See generally Pearson v. Canada Contracting Co., 
    232 Va. 177
    , 182-83 (1986)
    (defining a “trespasser” as “one who unlawfully enters the land of another,” a “licensee” as “one
    who enters for his own convenience or benefit with the knowledge and consent, express or
    implied, of the owner or occupier,” and an “invitee” as “one who enters pursuant to the express
    or implied invitation of the owner or occupier other than for a social purpose or for his own
    convenience”); John P. Pettyjohn & Sons v. Basham, 
    126 Va. 72
    , 77-78 (1919) (distinguishing
    between the duties owed to trespassers, licensees, and invitees); William L. Prosser & W. Page
    Keeton, Prosser and Keeton on the Law of Torts § 58, at 393 (Dan B. Dobbs et al. eds., 5th ed.
    1984) (describing the “rough sliding scale” from trespasser to licensee to invitee “by which, as
    the legal status of the visitor improves, the possessor of the land owes him more of an obligation
    of protection”).
    2
    See Fultz v. Delhaize Am., Inc., 
    278 Va. 84
    , 89 (2009) (recognizing that a landowner
    has a duty to warn an invitee of latent dangers but not open and obvious dangers); Fobbs v. Webb
    Bldg. Ltd. P’ship, 
    232 Va. 227
    , 229 (1986) (same).
    3
    See, e.g., Cline v. Dunlora S., LLC, 
    284 Va. 102
    , 106, 109-10 (2012) (stating that under
    19
    the injured party (the visitor or a third party that the visitor injures). See generally Kent Sinclair,
    Personal Injury Law in Virginia § 21.1, at 21-4 (4th ed. 2019). Both the existence of a duty of
    care and the scope of that duty turn on these distinctions.
    Under the common law, broad abstractions about duties owed to the world were
    considered to be as inaccurate as they are misleading. “[T]here is no such thing as negligence in
    the abstract, or in general, or as sometimes is said, in vacuo.” Kent v. Miller, 
    167 Va. 422
    , 425-
    26 (1937).
    The history of our common law, Justice Holmes reminded us, has
    made “clear that the featureless generality, that the defendant was
    bound to use such care as a prudent man would do under the
    circumstances, ought to be continually giving place to the specific
    one, that he was bound to use this or that precaution under these or
    those circumstances.” “From the time of Alfred to the present day,
    statutes and decisions have busied themselves with defining the
    precautions to be taken in certain familiar cases; that is, with
    substituting for the vague test of the care exercised by a prudent
    man, a precise one of specific acts or omissions.”
    Tingler v. Graystone Homes, Inc., 
    298 Va. 63
    , 80 (2019) (quoting Oliver Wendell Holmes, Jr.,
    The Common Law 111-12 (1881)).
    2.
    The case before us is one of those “familiar cases,” in which the common law has
    rejected the “vague test” of a reasonably prudent man in favor of a “precise one” addressing
    “specific acts or omissions,” 
    id.
     (citation omitted). Those acts or omissions here involve a very
    specific allegation of premises liability — a landowner’s alleged liability for the tort of a licensee
    while on the landowner’s property. In the absence of a “special relationship” between the
    “common law, a landowner owed no duty to those outside the land with respect to natural
    conditions existing on the land, regardless of their dangerous condition”).
    20
    landowner and the licensee or the victim, 4 the common law imposes liability upon a landowner
    for the tort of a licensee only in limited circumstances.
    No duty to control a licensee exists unless the landowner is present when the licensee
    commits the tort on the landowner’s property. The First Restatement of Torts accurately restated
    the common-law rule recognizing a landowner’s duty to “control the conduct” of the licensee
    only when the landowner is “present” with the licensee at the time of his conduct. Restatement
    of Torts § 318 (1934). The First Restatement viewed this limitation as a “necessary corollary” to
    a similar principle previously applied in a wide range of cases implicated by the common-law
    duty to control. See Restatement of Torts app. explanatory note to § 194D, at 91 (Proposed Final
    Draft No. 2, 1934) (explaining that the original Restatement rule placing a duty on the owner of
    land or chattels, if present, to control the conduct of a licensee is a “necessary corollary” to the
    cases holding that a possessor of a vehicle is a “participator” in the “negligent driving” of
    another if “the possessor was himself present in the vehicle while it was being driven” because
    the possessor “failed to prevent [the negligent driving] although he had the opportunity to do
    so”). 5
    This limiting principle has survived the test of time. See generally 2 Dan B. Dobbs et al.,
    The Law of Torts § 272, at 63-64 (2d ed. 2011) (“The landowner who is ‘present’ is under a duty
    to use reasonable care to control others on his land to prevent them from causing harm to
    4
    See, e.g., A.H. ex rel. C.H., 297 Va. at 619-20 & n.7 (collecting cases); Commonwealth
    v. Peterson, 
    286 Va. 349
    , 356-57 (2013).
    5
    See, e.g., Grant v. Knepper, 
    156 N.E. 650
    , 650-52 (N.Y. 1927) (Cardozo, J.); Kelley v.
    Thibodeau, 
    115 A. 162
    , 162-63 (Me. 1921); Strohl v. Levan, 
    39 Pa. 177
    , 184-85 (1861);
    M’Laughlin v. Pryor (1842) 134 Eng. Rep. 21, 23; 4 Man. & G. 48, 52-53; Chandler v.
    Broughton (1832) 149 Eng. Rep. 301, 301; 1 C. & M. 29, 30. See generally 2 Francis Hilliard,
    The Law of Torts or Private Wrongs 527 (1859) (“A master may be held liable as a trespasser,
    for the act of his servant done in his presence.” (emphasis in original)).
    21
    outsiders.”); 4 J.D. Lee & Barry A. Lindahl, Modern Tort Law: Liability and Litigation § 38:13
    (2d ed. 2002) (recognizing that a duty arises “only if the landowner is present” (emphasis
    added)). Only when the landowner is in the licensee’s presence — personally observing his
    actions, judging the relative risks associated with them, and having the opportunity to
    immediately intervene if necessary to control the licensee’s conduct — can the landowner be
    liable for the licensee’s negligence.
    The authors of the Restatement (Second) of Torts debated whether the common-law
    limitation of presence should be removed from the rule because it was not indispensable to
    liability. The Restatement Reporter could find no authority for doing so, however, and the
    Restatement (Second) of Torts again restated the common-law rule in its traditional form.
    Section 318 of the Restatement (Second) of Torts, entitled “Duty of Possessor of Land or
    Chattels to Control Conduct of Licensee,” states:
    If the actor permits a third person to use land or chattels in
    his possession otherwise than as a servant, he is, if present, under a
    duty to exercise reasonable care so to control the conduct of the
    third person as to prevent him from intentionally harming others or
    from so conducting himself as to create an unreasonable risk of
    bodily harm to them, if the actor
    (a) knows or has reason to know that he has the ability to
    control the third person, and
    (b) knows or should know of the necessity and opportunity
    for exercising such control.
    Restatement (Second) of Torts § 318 (1965) (emphasis added).
    Immediately following this rule, the Restatement authors added a “Caveat” stating that
    “[t]he Institute expresses no opinion” on whether a duty to control a licensee may not exist when
    the landowner is “not present” but “in the vicinity” of the licensee when the licensee commits the
    tort and “is informed of the necessity and opportunity of exercising such control, and can easily
    22
    do so.” Id. at caveat. A “Reporter’s Note” following the “Caveat” and the comments, however,
    expressed no such inhibition. Despite acknowledging that “[n]o cases have been found”
    supporting the “in the vicinity” expansion of the common-law duty, the Reporter offered his
    personal opinion that “it would appear that the same rule would be applied where [the
    landowner] is not present, but is notified and is in a position to arrive promptly upon the scene.”
    Id. at reporter’s note.
    The backstory for this rule-caveat-note triad illustrates the tension between accurately
    restating the common law and proactively attempting to reformulate it. The early drafts of
    Section 318 reveal that the Reporter desired to remove the “if present” requirement from the rule
    and to add a paragraph to Comment b stating that “presence is not indispensable to . . . liability.”
    See Restatement (Second) of Torts § 318 (Tentative Draft No. 4, 1959); Restatement (Second) of
    Torts § 318 (Council Draft No. 5, 1958); Restatement (Second) of Torts § 318 (Preliminary Draft
    No. 4, 1956). During the annual meeting of the American Law Institute (“ALI”) at which the
    Tentative Draft containing Section 318 was discussed, the Reporter’s removal of “if present”
    from the rule was challenged, and the Reporter ultimately admitted that he did not know of any
    cases where the landowner had not been physically present. See ALI, 37th Annual Meeting, 37
    A.L.I. Proc. 202-04 (1960) [hereinafter ALI, 37th Annual Meeting].
    Under the ALI’s governing principles, the Reporter’s “in the vicinity” dictum should not
    be considered an authoritative restatement of the common law. Unlike the rule and comments in
    the Restatement, which are the “official product of the Institute” and “represent its institutional
    voice rather than the voice of the Reporter,” the Reporter’s Notes “are regarded as the work of
    the Reporter.” ALI, Capturing the Voice of the American Law Institute: A Handbook for ALI
    Reporters and Those Who Review Their Work 42, 45 (2015) [hereinafter ALI, Capturing the
    23
    Voice]. “In addition, the Notes furnish a vehicle for the Reporter to convey views not
    necessarily those of the Institute and to suggest related areas for investigation that may be too
    peripheral for treatment in the black letter or Comment.” Id. at 45.
    To be clear, I believe that we should consider and rely upon the Restatement (Second) of
    Torts when it is “a fair restatement of English common law, which is the law of this
    Commonwealth already, see Code § 1-200, and has been received as such as part of our
    common-law heritage.” Forest Lakes Cmty. Ass’n v. United Land Corp. of Am., 
    293 Va. 113
    ,
    132 (2017) (footnote omitted). But no such reliance is prudent or justified when, “as sometimes
    seems to be the case,” the Restatement Reporter inserts “innovation[s]” into his work that go
    beyond the task of merely restating existing law. See McCulley v. Brooks & Co. Gen.
    Contractors, Inc., 
    295 Va. 583
    , 591-92 (2018). It is no secret that the “impulse to reformulate”
    existing law and thereby “subtly transform[] it” is “at the heart of the Restatement process.” 
    Id.
    at 592 n.7 (emphases omitted) (quoting ALI, Capturing the Voice, supra, at 4-11). The
    Reporter’s Note for Restatement (Second) of Torts § 318 does just that — reformulates the
    existing common law and transforms it.
    For this reason, I do not accept the Restatement Reporter’s reformulation of presence into
    vicinity for the purpose of expanding a landowner’s duty to control licensees. It is not for me to
    say though whether this reformulation should be the rule from a public policy point of view. As
    St. George Tucker emphatically warned: “In Virginia, it would be a violation of the constitution
    for the courts to undertake to supply all defects of the common law not already supplied by
    statute. That is the exclusive province of the legislature.” 1 St. George Tucker, Blackstone’s
    Commentaries, editor’s app. note E, at 405 (1803) (emphases in original).
    24
    3.
    At first blush, the majority appears to adopt as Virginia law the “if present” requirement
    of Section 318 of the Restatement (Second) of Torts. “For the sake of completeness,” ante at 6,
    however, the majority quotes without further comment the Caveat and the Reporter’s Note
    discussing the Reporter’s “in the vicinity” dictum that the ALI purposefully refrained from
    adopting as an affirmative duty in Section 318. Although the word “vicinity” does not appear
    again in the majority opinion, the majority’s “if present” analysis is truly completed by, and is
    indistinguishable from, the Reporter’s “in the vicinity” dictum.
    The majority begins its analysis with the assertion that the complaint alleges that the
    grandparents “were physically present on their land when they granted permission” for Nicely to
    target shoot. Ante at 9. To the contrary, the complaint (after being amended twice) does not
    allege that the grandparents were physically present on their property at the time they granted the
    alleged permission. Nor does the complaint allege that Nicely was physically present on the
    property when he received the alleged permission. For all we know, the permission could have
    been given by phone or text message to Nicely before he arrived and while the grandparents
    were at the grocery store or at a neighbor’s house for lunch.
    Even if those allegations had been made, it would not legally matter. The “if present”
    requirement historically referred to the landowner being in the presence of the licensee at the
    time of the tortious conduct not at the time of permission. See, e.g., Restatement (Second) of
    Torts § 318 cmt. b (“The rule stated in this Section is applicable where the possessor . . . of land
    is present when . . . the activity is being carried on with his permission” (emphasis added)); 4
    Lee & Lindahl, supra, § 38:13 (noting that the operative time is when the landowner is “present
    at the time of the harmful conduct” (emphasis added)). Indeed, the Restatement clarifies that
    25
    “[t]he mere fact that the possessor . . . of land permits a third person to . . . conduct an activity
    upon the land is not regarded as sufficient to make the possessor liable for the manner in which
    the third person . . . carries on the activity.” Restatement (Second) of Torts § 318 cmt. a.
    The majority concedes that the complaint does not allege that the grandparents were
    physically present with Nicely when he negligently aimed and fired his rifle horizontally and
    directly at a neighbor’s house without an adequate backstop. Just the opposite is alleged — the
    complaint asserts that one or both grandparents were allegedly “present at their house” elsewhere
    on the 7.856-acre property. See ante at 9. But that is good enough, the majority reasons,
    because they might have seen Nicely at some point because “they could view the firing position
    from their home.” Ante at 9. The complaint also does not allege that either grandparents ever
    once saw Nicely from the moment he arrived on the property until the moment of the fatal shot.
    But that conspicuous omission does not factor into the majority’s reasoning.
    The majority’s reasoning assumes too much. If a police officer had asked Nicely if his
    grandparents were present with him when he fired the fatal shot, would any one of us criticize
    Nicely if he replied, “no, they were back at the house”? Surely not. The ordinary meaning of
    “presence” means “being in a particular time and place, particularly with reference to some act
    that was done then and there” and “[c]lose physical proximity coupled with awareness.” Black’s
    Law Dictionary 1432 (11th ed. 2019). In this case, the relevant “particular time and place” and
    the “act that was done then and there,” id., was the time of Nicely’s fatal shot, the place where he
    pulled the trigger, and the tragic act that was done then and there.
    The flaw in the majority’s reasoning is that, in the context of the landowner’s liability
    under Section 318 of the Restatement (Second) of Torts, the linguistic range of “if present” ends
    where “in the vicinity” begins. During the ALI debates concerning whether to remove the
    26
    Restatement rule’s “if present” limitation, the Reporter advocated for the vicinity standard and
    argued that physical presence should not be indispensable to liability because “[t]he important
    thing” in the supporting caselaw is “not that [the landowner] was physically there instead of 20
    feet off and behind a wall, not in the same room, but that he knew about it and that he was in a
    position to do something.” ALI, 37th Annual Meeting, supra, 203-04. The ALI rejected the
    Reporter’s position because he could not cite any authority for it. 6 The reason for this rejection
    was clear: The common-law “if present” requirement means being physically present with the
    licensee at the time of the tort, not just being present somewhere else on the property in the
    vicinity of the licensee.
    Though the Reporter lost that battle before the ALI, his self-fulfilling prophecy that a
    court would someday adopt his view was prescient. The majority has implicitly adopted the
    Reporter’s “in the vicinity” dictum while claiming to apply the “if present” limitation in the
    ALI’s restatement of common-law rule. I would leave the common law as we have found it.
    Absent a special relationship between the parties, no duty to control a licensee exists under the
    common law unless the landowner is present with the licensee when he commits the tort on the
    landowner’s property. Being in the licensee’s presence triggers the landowner’s duties to
    personally observe the licensee’s conduct, determine the level of risk associated with it, and
    6
    The majority likewise cannot cite any authority for its expansive use of the “if present”
    requirement in the context of a landowner’s liability for injuries caused by licensees. The
    attempt to do so, ante at 8-9, 9 n.5, can be easily sidelined because they address entirely different
    contexts. The majority cites a criminal case, Lebedun v. Commonwealth, which points out that
    “presence” under robbery law includes the theft of property in the victim’s “custody” or
    “constructive possession.” 
    27 Va. App. 697
    , 718-19 (1998) (citation omitted). The evidence in
    Lebedun involved an armed robbery in which the robbers forced the victim away from the cash
    register, put him into a storage room, and then emptied the cash register and narcotics cabinet.
    Id. at 719. The other two cites offered by the majority are similarly inapt. See Galliher v.
    Commonwealth, 
    161 Va. 1014
    , 1021 (1933) (addressing warrantless arrests); Nock v. Nock’s
    Ex’rs, 
    51 Va. (10 Gratt.) 106
    , 122 (1853) (addressing will attestation).
    27
    intervene if and when that risk becomes unreasonable. In this case, if the grandparents had been
    in Nicely’s presence when he aimed his rifle on a horizontal plane at a target unprotected by a
    natural or man-made backstop, they would have had a duty to intervene.
    B. THE VIRGINIA RECREATIONAL-USE STATUTE
    Even if the common law does impose a duty upon the grandparents, the majority
    unsuccessfully defends its extension of tort liability against the immunity that Virginia’s
    recreational-use statute, Code § 29.1-509, expressly grants. That statute promotes a broad public
    policy that the General Assembly has expressly and progressively advanced for nearly half a
    century. With certain exceptions, landowners should not be liable for simple negligence of
    recreational users who use their land. The plain language of Code § 29.1-509 — reinforced by
    an examination of the “context and the history of the provision,” Tilton v. Commonwealth, 
    196 Va. 774
    , 785-86 (1955) — refutes the majority’s view that hunters are covered by both
    subsections B and C of Code § 29.1-509 but that target shooters are only covered by subsection
    B.
    1. Plain Meaning v. Strict Construction
    First enacted in 1962, Virginia’s recreational-use statute crafted a symmetry between a
    landowner’s liability to recreational users of the property, a form of user immunity, and the
    landowner’s corresponding liability to nonusers for negligent acts by those users, a form of third-
    party immunity. The specific task in this case is to interpret the 2010 amendment extending the
    landowner’s third-party immunity from liability for the negligent acts of users of a “license as set
    forth in subsection B.” Code § 29.1-509(C). This language is clear and its syllogism irrefutable:
       Someone with a license to enter property is a licensee.
       Subsection B covers recreational uses by a host of specific
    licensees (hunters, skydivers, campers, foxhunters, hang
    28
    gliders, inter alia) followed by a catch-all category for “any
    other recreational” licensees.
       A target shooter is an “other recreational” licensee.
       Subsection C incorporates the use of all licenses mentioned in
    subsection B.
       Therefore, subsection C applies to target shooters through
    incorporation of the licenses mentioned in subsection B.
    The majority’s fissured response to this plain reading of Code § 29.1-509 is predicated on
    the canon requiring a strict construction of ambiguous statutes that attempt to change the
    common law. See ante at 10. I agree that this venerable principle has been part of the
    Commonwealth’s legal tradition since our founding. 7 To be sure, English common law is the sea
    anchor that protects our interpretative task from the inconstant jurisprudential gales that blow
    through our law from time to time. In this case, however, the majority’s use of the strict-
    construction canon is flawed.
    Under settled law, Virginia courts presume that statutes do not “change the common law
    unless the legislative intent to do so is plainly manifested.” Isbell v. Commercial Inv. Assocs.,
    Inc., 
    273 Va. 605
    , 613 (2007) (citation omitted). The strict-construction canon requires that we
    read the statute as a whole to determine whether the legislature “plainly manifest[ed] an
    intention, either through express language or by necessary implication, to abrogate the common
    law.” Id. at 618. Either method — “express language” or “necessary implication,” id. —
    suffices to rebut the presumption. Both are present here.
    7
    See, e.g., In re: Brown, 
    295 Va. 202
    , 208 & n.1 (2018); Tvardek v. Powhatan Vill.
    Homeowners Ass’n, 
    291 Va. 269
    , 274 & n.1 (2016); Dennos v. Commonwealth, 
    63 Va. App. 139
    , 146-47 & n.4 (2014); Ferrell v. Commonwealth, 
    62 Va. App. 142
    , 145 (2013); Taylor v.
    Commonwealth, 
    58 Va. App. 435
    , 443-44 (2011). See generally D. Arthur Kelsey, The
    Commonwealth’s Common Law, VBA J., Winter 2013-2014, at 26, 26-30.
    29
    a. Reading the Statute as a Whole — Express Language
    When a statute does not define a specific term, “we look to the common law definition of
    the term.” Carter v. Commonwealth, 
    269 Va. 44
    , 46 (2005). 8 “[A]s Justice Frankfurter
    colorfully put it, ‘if a word is obviously transplanted from another legal source, whether the
    common law or other legislation, it brings the old soil with it.’” Sekhar v. United States, 
    570 U.S. 729
    , 733 (2013) (quoting Felix Frankfurter, Some Reflections on the Reading of Statutes, 
    47 Colum. L. Rev. 527
    , 537 (1947)). That old soil is composed of the “accumulated settled
    meaning” given to the term by the common law. Nationwide Mut. Ins. v. Darden, 
    503 U.S. 318
    ,
    322 (1992) (citation omitted).
    The disputed word in the 2010 amendment to Code § 29.1-509(C) — license — brought
    quite a lot of common-law soil with it. Under the common law governing real property, a license
    has a specific meaning. See 3 James Kent, Commentaries on American Law 453 & n.(e) (Oliver
    Wendell Holmes, Jr. ed., 12th ed. 1873); Sir Frederick Pollock, The Law of Torts 378 (8th ed.
    1908); R.F.V. Heuston, Salmond on the Law of Torts § 29, at 113 (7th ed. 1923). A “license” is
    a form of permission that “may be given by any words, either written or spoken, which manifest
    consent” by a landowner for another to enter his property. Restatement (Second) of Torts § 330
    8
    This concept is not unique to Virginia law. “[I]t is a settled principle of interpretation
    that, absent other indication, Congress intends to incorporate the well-settled meaning of the
    common-law terms it uses.” Universal Health Servs., Inc. v. United States, 
    136 S. Ct. 1989
    ,
    1999 (2016) (citation omitted); see also Neder v. United States, 
    527 U.S. 1
    , 23 (1999) (applying
    “the rule that Congress intends to incorporate the well-settled meaning of the common-law terms
    it uses”); Morissette v. United States, 
    342 U.S. 246
    , 263 (1952) (“[W]here Congress borrows
    terms of art in which are accumulated the legal tradition and meaning of centuries of practice, it
    presumably knows and adopts the cluster of ideas that were attached to each borrowed word in
    the body of learning from which it was taken and the meaning its use will convey to the judicial
    mind unless otherwise instructed.”).
    30
    cmt. d. 9 By definition, those given a license are licensees. See Black’s Law Dictionary, supra,
    at 1105; 2 John Bouvier, A Law Dictionary 46 (10th rev. ed. 1860). A “bare licensee” is “one
    who is permitted by the passive acquiescence of the owner to come on his premises for his own
    convenience.” Appalachian Power Co. v. LaForce, 
    214 Va. 438
    , 441 (1974) (citation omitted).
    The potential list of licensees includes many categories of property users. The broadest
    category is a “[s]ocial guest,” Restatement (Second) of Torts § 330 cmt. h, which includes a
    friend, family member, or other social acquaintance who enters and uses the property with the
    landowner’s permission. In Bradshaw v. Minter, we recognized that “the prevailing common-
    law view is that ‘a social guest, however cordially he may have been invited and urged to come,
    is not in law an invitee, but is nothing more than a licensee.’” 
    206 Va. 450
    , 452-53 (1965)
    (citation omitted)); see also Bauer v. Harn, 
    223 Va. 31
    , 37 (1982) (recognizing a “social guest”
    as a “licensee”); Reagan v. Perez, 
    215 Va. 325
    , 326 (1974) (same); Busch v. Gaglio, 
    207 Va. 343
    , 346 (1966) (same). Licensees also include those “hunting and fishing on the land with the
    tacit or implied permission of the landowner,” those “taking a ‘short cut’ over the land of another
    9
    See also Restatement (Second) of Torts § 330 cmt. d (“If the possessor so speaks as to
    give to another reason to believe that he consents to the other’s entry upon his land, such person
    is a licensee although the possessor did not intend his words to be understood as expressing
    consent to the licensee’s entry.”); id. at cmt. e (“The consent which is necessary to confer a
    license to enter land, may be expressed by acts other than words. . . . [T]he decisive factor is the
    interpretation which a reasonable man would put upon the possessor’s acts.”); 2 Thomas M.
    Cooley, A Treatise on the Law of Torts or the Wrongs Which Arise Independently of Contract
    634 (John Lewis ed., 3d ed. 1906) (“Lawful license to enter one’s premises may be given either,
    1. Impliedly by the owner; 2. Expressly by the owner; 3. By the law.”); Heuston, supra, § 110, at
    891 (stating that “[a] licensee, at common law, is one who enters on the premises by the
    permission of the occupier, granted gratuitously in a matter in which the occupier has no
    interest” and that “[a] licen[s]e may be granted either expressly or impliedly” (footnote
    omitted)); Glen Weissenberger & Barbara B. McFarland, The Law of Premises Liability
    §3.02[2], at 3-6 (4th ed. 2010) (“While a visitor, to be classified as a licensee, must have the
    possessor’s permission to enter or remain upon the land, this consent need not be express, but
    may be implied from words or conduct if they manifest the possessor’s willingness.”).
    31
    without the landowner’s objection,” and “[p]ersons selling goods or soliciting contributions, or
    distributing religious literature.” 13 Robert E. Draim & David D. Hudgins, Virginia Practice
    Series: Tort and Personal Injury Law § 7:4, at 248 (2019-2020 ed.) (footnotes omitted).
    The common-law definition of “licensee” includes every user individually listed in
    subsection B (hunters, skydivers, campers, foxhunters, hang gliders, inter alia). But it also
    includes the subsection B catch-all category of “any other recreational” users in addition to those
    individually listed. A target shooter is a recreational user and thus falls within the catch-all
    category of subsection B and is incorporated by reference into subsection C. This interpretation
    is compelled by the traditional common-law concept of a licensee. The majority ironically
    concedes this point by invoking Restatement (Second) of Torts § 318 as the sole common-law
    basis for imposing liability on the grandparents for Nicely’s negligence. See ante at 8-9. That
    section is entitled, “Duty of Possessor of Land or Chattels to Control Conduct of Licensee.”
    Restatement (Second) of Torts § 318 (emphasis added). Nicely, a target shooter, was a licensee.
    While finding it easy to deem the target shooter a licensee for purposes of holding the
    grandparents liable, the majority finds it impossible to deem the target shooter a licensee for the
    purposes of third-party immunity under Code § 29.1-509(C). The majority attempts to resolve
    this dilemma by invoking the strict-construction canon to interpret “license,” and thus licensee (a
    user with a license), to apply exclusively to two groups of licensees in subsection B: those
    seeking “passage to other property used for recreational purposes” or those using an “easement
    granted to the Commonwealth or any agency thereof or any not-for-profit organization” to access
    public recreational land. Ante at 14. The majority’s analysis abruptly ends there: Only travelers
    passing through the property are licensees using a “license as set forth in subsection B,” Code
    32
    § 29.1-509(C). Excluded from the definition of licensee are the multitude of recreational users
    within the catch-all subsection B category for “any other recreational use.”
    Despite its avowed intention to protect the common law, the majority’s approach reduces
    to a sliver the broad common-law definition of license and limits it to apply to only a narrow set
    of licensees. The very definition of license that the common law has employed for centuries is
    being rejected in order to prevent a statutory “derogation of the common law,” ante at 10
    (citation omitted). Neither logic nor legal precedent persuades me to accept this argument.
    Instead, I would begin the analysis with the common-law definition of license and conclude that
    subsection C’s incorporation by reference (any person using a “license as set forth in subsection
    B”) includes target shooters within the scope of subsection B’s catch-all provision (any person
    on the property “for any other recreational use”). That “any other” modifier renders irrelevant
    the majority’s speculative justification for refusing to give landowners the same immunity for
    target shooters as for hunters.
    b. Reading the Statute as a Whole — Necessary Implication
    The strict-construction canon only applies to statutory ambiguities. See Citizens’ Bank of
    La. v. Parker, 
    192 U.S. 73
    , 85-86 (1904) (noting that the “proper office” of the rule of strict
    construction “is to help solve ambiguities”). The presumption that the common law has not been
    abrogated is rebutted when the “express language” of a statute read “as a whole” makes clear that
    the General Assembly intended to modify or abrogate the common law. Isbell, 273 Va. at 618.
    The same is true when a holistic reading of the statute reveals this intent through a “necessary
    implication.” Id.; see also Tvardek v. Powhatan Vill. Homeowners Ass’n, 
    291 Va. 269
    , 276 n.4
    (2016). Such a necessary implication exists in this case.
    33
    The story line of the recreational-use statute spans 49 years and 19 amendments. To
    understand the last act that amended subsection C — the 2010 amendment that we are called
    upon to interpret in this case — we must consider all the amendments that preceded it. The
    doctrine that statutes should be construed in pari materia, often employed horizontally to related
    statutes, is equally applicable vertically to former legislative enactments for the same statute.
    “Statutes may be in pari materia whether independent or amendatory in form,” and “it has been
    allowed that ‘an amendatory act shall be construed in context with the act which it is designed to
    amend,’” thus allowing consideration of “[a]ntecedent legislative enactments” when construing
    “amendatory acts in pari materia.” See 2B Norman J. Singer & J.D. Shambie Singer,
    Sutherland’s Statutes and Statutory Construction § 51:3, at 236-39, 236 n.10, 239 n.21 (7th ed.
    2012) (citation omitted); cf. Earl T. Crawford, The Construction of Statutes § 216, at 386 (1940)
    (“If the law to be construed is the result of amendment, a consideration of the old law with the
    new must surely reveal a legislative aim or purpose.”).
    This principle has been part of Virginia law for over two centuries. See Dilliard v.
    Tomlinson, 
    15 Va. (1 Munf.) 183
    , 206 (1810) (opinion of Roane, J.). Judge Roane explained that
    a former statute “although long since expired, [ought] to be taken into consideration in
    construing the latter statute, for that it is a rule, that all statutes which relate to the same subject,
    notwithstanding some of them are expired, or not referred to, must be taken as one system, and
    construed consistently.” 
    Id.
     (emphasis added) (quoting 6 Matthew Bacon, A New Abridgment of
    the Law 383 (Henry Gwillim ed., 5th ed. 1798)). When we apply that principle in this case, the
    takeaway is compelling: At nearly every turn prior to 2010, the General Assembly expanded the
    scope of the user immunity in subsection B and made repeated efforts to sync it with the third-
    34
    party immunity in subsection C. The majority’s interpretation of the 2010 amendment is
    inconsistent with this longstanding and clearly expressed legislative intent.
    To demonstrate this point, I must chronicle the long and winding road that led to the 2010
    amendment. When first enacted nearly half a century ago, the recreational-use statute, former
    Code § 8-654.2, covered a limited list of recreational uses: hunting, fishing, trapping, camping,
    and hiking. The landowner owed hunters, fishers, trappers, campers, or hikers who had
    permission to use the property “no duty to keep the premises safe for entry or use.” 1962 Acts
    ch. 545, at 874. In perfect congruence, the statute provided a similar immunity to landowners for
    injuries to third parties “caused by the negligent acts” of the listed recreational users to whom
    permission had been granted. See id. User immunity and third-party immunity both applied to
    the same recreational uses.
    In 1964, the legislature divided the provisions for user immunity and third-party
    immunity into separate subsections and extended the statute’s protection to users involved in
    “water sports” and “sightseeing.” 1964 Acts ch. 435, at 708 (former Code § 8-654.2(b) (1964)).
    Consistent with the intended symmetry of the original act, the amendment provided expanded
    immunity to landowners for injuries to third parties “caused by the negligent acts” of swimmers
    and sightseers. See id. (former Code § 8-654.2(c)(3) (1964)). In 1979, the General Assembly
    again amended the recreational-use statute to further expand its scope. See 1979 Acts ch. 276, at
    377. The amendment expanded the landowner’s user immunity for simple-negligence claims to
    cover injuries to recreational users engaging in “horseback and bicycle riding.” Id. (former Code
    § 29-130.2(b) (1979)). And, once again, the amendment expanded the corresponding third-
    party-immunity provision to include users who “ride” on the landowner’s property. Id. (former
    Code § 29-130.2(c)(3) (1979)). The process of expanding the statute’s reach continued in 1980
    35
    when user immunity was extended to users who “participat[e] in water sports,” “hang gliding,
    skydiving,” and “collecting, gathering, cutting, or removing of firewood,” and third-party
    immunity was extended to all of those uses except participation in water sports. 1980 Acts ch.
    560, at 766-67.
    A similar expansion occurred in 1982 when the legislature added “boating” to the list of
    recreational uses triggering the dual immunities. 1982 Acts ch. 29, at 128. The user-immunity
    provision applied to users injured while “boating,” and the third-party-immunity provision
    applied to those injured by users who “launch and retrieve boats” on the landowner’s premises.
    Id. The 1982 amendment was also notable because the General Assembly discovered an
    apparent flaw in its previous efforts to keep the dual immunities symmetrical. The 1982
    amendment added users who “fish” to the third-party-immunity provision. Id. The protection
    for fishing had existed for both user and third-party immunity in the original 1962 statute but was
    omitted from third-party immunity in the 1964 amendment when the two immunity categories
    were separated into different subsections. Compare 1962 Acts ch. 545, at 874, with 1964 Acts
    ch. 435, at 708. 10
    In 1987, the statute was renumbered, substantially reorganized, and again expanded. The
    definition of “[l]andowner” now included a “legal title holder, lessee, occupant or any other
    person in control of land or premises.” 1987 Acts ch. 488, at 695 (former Code § 29.1-509(A)
    (1987)). More important for our purposes, however, is that the extensive rewriting of the statute
    preserved the dual immunities in sync — the landowner’s user immunity paralleled his third-
    party immunity.
    10
    A subsequent 1983 amendment also made clear that the dual immunities applied even
    if the injuries occurred on property “not routinely used” for one of the specified recreational
    uses. Compare 1983 Acts ch. 283, at 330, with 1979 Acts ch. 276, at 377.
    36
    In 1988, “point-to-point racing” was added to the list of recreational uses covered by the
    dual immunities. 1988 Acts ch. 191, at 226. Likewise, “rock climbing” was added to the list of
    recreational uses for both immunity provisions in 1989. 1989 Acts chs. 26, 505, at 53, 741.
    In an apparent effort to end the need to continue itemizing specific recreational uses
    protected by the statute, the General Assembly in 1989 extended the landowner’s user immunity
    in subsection B to users on the property engaged in “any other recreational use.” 1989 Acts ch.
    505, at 741. In doing so, the legislative drafters left intact the previous list of recreational uses,
    such as boating, hiking, and sightseeing, inter alia. The most reasonable explanation for this
    redundancy is that the General Assembly intended the statute to be unambiguously broad. The
    1989 amendment, however, had a notable omission. The third-party-immunity provision in
    subsection C did not include the same catch-all category (“any other recreational use”) that was
    mentioned in subsection B. See id. How the legislature ultimately corrected this omission is in
    my view the whole question before us. To answer that question, the statutory tale must go on.
    Despite the fact that “hunting” had been a recreational use since the inaugural statute in
    1962 and the fact that the statute now included a catch-all for “any other recreational use” in the
    user-immunity provision, the General Assembly in 1992 specifically listed “foxhunting” as a
    recreational use triggering the dual immunities. 1992 Acts ch. 285, at 358. Though seemingly
    purposeless, the 1992 amendment created a redundancy that reinforced the legislature’s intent for
    the statute to be broadly interpreted rather than linguistically dissected to limit the scope of the
    landowner’s immunity.
    Two years later, the legislature again expanded the dual immunities by adding a non-
    recreational category of user — those using a state-owned “easement” to allow “access to a
    public park, historic site, or other public recreational area” — to the list of users in subsection B
    37
    who could not sue the servient-estate landowner for simple negligence. 1994 Acts ch. 544, at
    768. Again, coupling the user and third-party immunities, subsection C protected the servient-
    estate landowner from any liability for the acts of those using the “easement as set forth in
    subsection B.” Id.
    This lengthy storyline regarding the dual-immunity provisions ends in 2010 when the
    legislature again amended the statute. One new provision expanded the third-party immunity
    under subsection C to include any use of an easement “or license as set forth in subsection B.”
    2010 Acts ch. 43, at 40 (italicizing amendment). Another amendment to subsection C reinforced
    that users on the property with the landowner’s permission do not become either an “invitee or
    licensee to whom a duty of care is owed.” Id. (italicizing amendment). The General Assembly
    also made two additions to the user-immunity provision in subsection B. The first addition
    extended user immunity to a landowner’s property if others used it while seeking passage to and
    from “other property used for recreational purposes.” Id. The second addition extended user
    immunity to all persons on the landowner’s property for any of the specified uses even if the
    users were on the property without the landowner’s “permission.” Id.
    In short, the nearly half-century evolution of this statute shows at every turn that the
    General Assembly continuously expanded the landowner’s dual immunities to protect
    landowners from common-law claims of simple negligence and made repeated efforts to
    harmonize the user-immunity provisions of subsection B with the third-party-immunity
    provisions of subsection C. Every such expansion was and still is an abrogation of the common
    law to the extent that one could raise a simple-negligence claim arising from the covered uses.
    The “necessary implication,” Isbell, 273 Va. at 618, is clear: The amendments adding an
    unlimited catch-all category to subsection B (“any other recreational use”) and later syncing
    38
    subsection C with that catch-all category through an incorporation by reference (any user with a
    “license as set forth in subsection B”) necessarily implies that the General Assembly intended to
    do what it had done scores of times in the past — extend a limited-liability immunity to
    landowners for claims by recreational licensees of their property or by third parties injured by
    those users.
    2. The Superfluity Argument
    The majority laces together its interpretative arguments with another canon of
    construction with which I fully agree but also find inapplicable to this case. Courts presume that
    legislative drafters favor an economy of words and, thus, “[w]ords in a statute should be
    interpreted, if possible, to avoid rendering words superfluous.” Cook v. Commonwealth, 
    268 Va. 111
    , 114 (2004); see Davis ex rel. Woodside Props., LLC v. MKR Dev., LLC, 
    295 Va. 488
    , 494-
    95 (2018). Avoiding statutory surplusage is a mere interpretative presumption, however, “not a
    silver bullet,” Rimini St., Inc. v. Oracle USA, Inc., 
    139 S. Ct. 873
    , 881 (2019), or “an absolute
    rule,” Marx v. General Revenue Corp., 
    568 U.S. 371
    , 385 (2013). “Sometimes the better overall
    reading of the statute contains some redundancy.” Barton v. Barr, 
    140 S. Ct. 1442
    , 1453 (2020)
    (citation omitted).
    To be sure, “[l]egislative drafters often use apparently redundant language in order to
    emphasize that a broad delegation may not [be] evaded so as to frustrate a statute’s purpose.”
    Sabre, Inc. v. Department of Transp., 
    429 F.3d 1113
    , 1122 (D.C. Cir. 2005); see Cyan, Inc. v.
    Beaver Cnty. Emps. Ret. Fund, 
    138 S. Ct. 1061
    , 1074 (2018) (noting that there are “many
    examples of Congress legislating in [a] hyper-vigilant way, to ‘remov[e] any doubt’ as to things
    not particularly doubtful in the first instance” (citation omitted)). “The canon against surplusage
    is not a straitjacket. It should not, therefore, be employed inflexibly to rule out every
    39
    interpretation of a statute that treats certain language as illustrative or clarifying.” City of
    Providence v. Barr, 
    954 F.3d 23
    , 43 (1st Cir. 2020)). “Sometimes drafters do repeat themselves
    and do include words that add nothing of substance,” Scalia & Garner, supra, at 176-77
    (emphases in original), and such a “belt and suspenders approach” to statutory drafting is not at
    all unusual, Atlantic Richfield Co. v. Christian, 
    140 S. Ct. 1335
    , 1350 n.5 (2020).
    Making fulsome use of the superfluity canon, the majority declares that “[i]t would make
    no sense to construe the word ‘license’ to cover all the activities mentioned in subsection B,”
    ante at 13 (emphasis added), even though the common-law meaning of license would include
    every one of those activities. Instead, the majority says that the word “license” in subsection C
    covers just one category of licensees in subsection B — those who pass through the landowner’s
    property in order to get to another’s property to recreate. Under this logic, the word “license”
    does not cover hunters, who are specifically mentioned in subsection B, or target shooters, who
    are within subsection B’s catch-all for “any other recreational” users. But it does cover those
    simply passing through.
    The express text of Code § 29.1-509, however, shows that the General Assembly adopted
    a belt-and-suspenders drafting strategy to avoid exactly the kind of crabbed interpretation that
    the majority now makes. Subsection B, after all, does the same thing that the majority refuses to
    permit subsection C to do. The 1989 amendment to subsection B broadened that subsection’s
    reach to include “any other recreational use.” See 1989 Va. Acts ch. 505, at 741. The legislature
    in 1989 could have easily deleted the specific list of recreational uses in subsection B and simply
    said “any recreational use.” On the other hand, if the legislature were wedded to using the
    phrase “any other recreational use,” then doing so would under the majority’s logic render all but
    one (but which one?) of the following enumerated recreational uses redundant:
    40
       hunting                              sightseeing
       fishing                              hang gliding
       trapping                             skydiving
       camping                              horseback riding
       water sports                         foxhunting
       boating                              racing
       hiking                               bicycle riding
       rock climbing                        collecting, gathering, cutting,
    or removing firewood
    Similarly, the legislature in 2010 could have just as easily deleted the specific list in subsection C
    (hunting, fishing, inter alia) and simply referred to the use of a “license as set forth in subsection
    B.” As observed earlier, the catch-all provision in subsection B included every common-law
    licensee on the property for a recreational use.
    I believe that the legislative drafters of Code § 29.1-509 understood that to enact and
    extend a statutory immunity against common-law liability would require a clear expression of
    the intent to do so. They attempted to accomplish that goal in subsection B by using an obvious
    redundancy: a long list of specific recreational uses followed by a catch-all provision covering
    all other recreational uses. To keep subsection C in sync with subsection B — consistent with
    the statute’s long and documented history — the drafters created another redundancy in
    subsection C by providing a long list of specific recreational uses followed by a catch-all
    provision incorporating all licenses covered by subsection B.
    The majority’s approach might have some traction if it were necessary to avoid an
    anomalous application of Code § 29.1-509. Just the opposite is true, however. Under the
    majority’s reasoning, a landowner would be immune from simple-negligence claims by scores of
    recreational-use licensees not specifically mentioned in subdivision B, such as paint-ballers, kite-
    flyers, flag-football players, skateboarders, ATV riders, and any other licensees engaged in a
    41
    recreational use of the property. But the same landowner will not be immune from claims by
    third parties for injuries caused by the negligence of any of those licensees not specifically
    mentioned. That immunity, according to the majority, is reserved exclusively for those
    licensees, unmentioned in subsection C, who do not intend to use the landowner’s property for a
    recreational use but are simply passing through to use another property for a recreational use.
    In short, the text, structure, and 49-year history of amendments to Code § 29.1-509
    demonstrate that the General Assembly intended subsections B and C to operate in tandem.
    Recreational uses permitted by the landowner trigger both the user immunity of subsection B and
    the third-party immunity of subsection C. The target shooter in this case was a common-law
    licensee with permission from his grandparents to target shoot on their property. His conduct fell
    within the incorporation by reference in subsection C because it fell within the catch-all
    provision of subsection B.
    3. Licensees v. Non-Licensees
    “Additionally,” the majority observes, Code § 29.1-509(C)’s catch-all phrase refers to
    users with permission and a “license set forth in subsection B,” but subsection B applies not only
    to licensees but also non-licensees without permission that use the land for recreational purposes.
    Ante at 14. The majority believes this difference supports the conclusion that subsection C
    cannot possibly refer to licensees “engage[d] in one of the listed recreational activities” in
    subsection B. Ante at 14. I do not see the logic in this conclusion. Shoemaker’s administrator
    apparently does not either, as she has never made this argument in the circuit court or on appeal.
    The majority’s argument is unconvincing because subsection B provides user-immunity
    to landowners for injuries to any user of the property engaged in a recreational use, whether they
    are licensees with permission or uninvited individuals using the property without permission.
    42
    Subsection C provides immunity to landowners for injuries to third parties caused by recreational
    users who have “permission, express or implied,” from the landowner. Subsection C(2) then
    confirms that a licensee with a “license as set forth in subsection B” is not owed a common-law
    “duty of care” simply because he has been given “permission” to be on the property. The
    relation between these phrases in subsection C and C(2) is evidenced by the fact that the term
    “licensee” was added to subsection C(2) in 2010 at the same time that “license as set forth in
    subsection B” was added to subsection C.
    Subsections B and C fit together perfectly. Subsection B provides user immunity for
    injuries to both licensees and non-licensees. Subsection C provides third-party immunity for
    injuries caused by any recreational licensees covered by subsection B. And subsection C(2)’s
    reference to owing no duty to covered licensees (those “with permission, express or implied”)
    reinforces subsection B’s user immunity by disclaiming any duty of care ordinarily owed to these
    covered licensees under common law. I thus find no merit in the majority’s view that these
    provisions necessarily mean “that the ‘license set forth in Subsection B’ cannot be a license to
    engage in one of the listed recreational activities.” Ante at 14.
    III.
    In sum, I believe that the majority has misapplied common-law principles governing a
    landowner’s duty to control a licensee and has misinterpreted the recreational-use statute. The
    first mistake imposes liability on the grandparents who were not present with Nicely when he
    committed the tort, and the second mistake deprives them of their statutory immunity from suit
    that the General Assembly has provided to landowners who permit recreational licensees to use
    their property.
    I respectfully dissent.
    43