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Full Opinion
¶ 1 This appeal concerns the constitutionality of section 63-30-34 of the Utah Governmental Immunity Act, which limits the damages recoverable in actions against the state or its political subdivisions. 1 Plaintiffs brought this action against the Salt Lake City School District (the âDistrictâ), asserting that the limitation violates both the Utah and the United States Constitutions. The District successfully moved for summary judgment. Plaintiffs appealed. We affirm.
BACKGROUND
¶ 2 David Smith was employed by the District as a teacher and debate team coach at Highland High School in Salt Lake City, Utah. Smith selected eight students, including Erin Anderson, Matt Ehrman, Brian and Jeff Horman, and Eric Sabodski, to compete in a debate tournament at the University of Southern California (âUSCâ). The tournament began on Friday, November 3, 2000, and concluded the following Sunday. Each student competing in the tournament paid a portion of the costs to attend, with the remaining costs paid by funds raised through the high school debate club.
¶ 3 Intending to drive the team to USC, Smith reserved a fifteen-passenger van from a rental agency. When Smith arrived at the rental agency, however, he learned that the van he had reserved was unavailable. Consequently, Smith rented two minivans to transport the students to the competition. District employee and assistant debate team coach Christian Bradley drove one of the vans, while Smith drove the other.
¶4 The debate team arrived at USC and participated in both the preliminary and the elimination rounds of the competition. Following the elimination rounds on Sunday afternoon, the team began the return trip to Salt Lake City. Bradley left at approximately 1:00 p.m., driving one of the rented minivans, with Eric, Jeff, Erin, Brian, and Matt as passengers. Smith followed shortly thereafter with the remaining students. Late that evening, while traveling through Millard *298 County, Utah, Bradley lost control of the minivan due to his own negligence. The vehicle flipped several times, ejecting Erie, Jeff, and Erin.
¶ 5 Eric and Jeff were killed in the accident, and the remaining three students were seriously injured. Erin sustained numerous injuries, including a severe traumatic brain injury. Brianâs injuries included crushed vertebrae and a fractured hand and foot, and Matt suffered an injury to his knee, as well as multiple contusions and abrasions. It is uncontested that plaintiffsâ aggregate damages exceeded $500,000.
¶ 6 Recognizing its liability for Bradleyâs negligence, the District and its insurer, the Utah State Division of Risk Management, entered into a settlement agreement with plaintiffs Erin, Brian, Matt, and the parents and estates of Eric and Jeff. Under the settlement agreement, the District agreed to pay plaintiffs collectively $500,000, the maximum amount then recoverable under the Utah Governmental Immunity Act. In exchange, plaintiffs agreed to relinquish their rights to pursue any claims against the District or its employees, but reserved the right to challenge the constitutionality of the damage cap imposed by the Governmental Immunity Act.
¶7 In accordance with the settlement agreement, plaintiffs filed suit in district court, alleging that the cap violates several provisions of the Utah Constitution, including the open courts clause, as well as the provisions guaranteeing due process, uniform operation of laws, and the right to recover damages for injuries resulting in death. Plaintiffs also alleged that the cap violates the equal protection guarantee of the United States Constitution.
¶8 The District filed a motion for summary judgment, urging the district court to reject plaintiffsâ constitutional challenges to the cap. Plaintiffs responded with a cross-motion for summary judgment. The district court granted the Districtâs motion for summary judgment, finding the cap constitutional and dismissing plaintiffsâ claims with prejudice. This appeal followed.
ANALYSIS
¶ 9 Historically, the ability to sue the State of Utah or one of its political subdivisions rested on a determination of whether the governmental entity was protected by the common law doctrine of sovereign immunity. That changed in 1965, when the Utah Legislature enacted the Utah Governmental Immunity Act (the âActâ), which barred all causes of action against the state and its political subdivisions unless expressly authorized by statute. Specifically, the Act provided that âall governmental entities,â including school districts, âare immune from suit for any injury which results from the exercise of a governmental function.â Utah Code Ann. §§ 63-30-2(3), (7), -3(1) (1997 & Supp.2000). Despite its broad grant of immunity, the Act expressly waived immunity for âinjury proximately caused by a negligent act or omission of an employee committed within the scope of employment.â Id. § 63-30-10 (1997). Judgments obtained pursuant to this waiver, however, were limited. The Act provided that
if a judgment for damages for personal injury against a governmental entity, or an employee whom a governmental entity has a duty to indemnify, exceeds $250,000 for one person in any one occurrence, or $500,000 for two or more persons in any one occurrence, the court shall reduce the judgment to that amount.
Id. § 63-30-34.
¶ 10 Plaintiffs argue that this statutory limitation on judgments violates article I, section 11 of the Utah Constitution, commonly referred to as the open courts clause. Plaintiffs also argue that the cap violates the due process and uniform operation of laws provisions of the Utah Constitution, as well as the equal protection guarantee of the United States Constitution. Finally, plaintiffs assert that the cap violates article XVI, section 5 of the Utah Constitution, which guarantees the right to recover damages for injuries resulting in death. 2
*299 ¶ 11 âThe issue of â[w]hether a statute is constitutional is a question of law, which we review for correctness, giving no deference to the trial court.â â Grand County v. Emery County, 2002 UT 57, ¶ 6, 52 P.3d 1148 (quoting State v. Daniels, 2002 UT 2, ¶ 30, 40 P.3d 611). Moreover, as this court has recognized, the challenged statute âis presumed constitutional, and we resolve any reasonable doubts in favor of constitutionality.â Utah Sch. Bds. Assân v. State Bd. of Educ., 2001 UT 2, ¶ 9, 17 P.3d 1125 (internal quotations omitted). Because we conclude that plaintiffs have failed to demonstrate that the cap violates either the Utah or the United States Constitution, we affirm the summary judgment entered in favor of the District.
I. THE OPEN COURTS CLAUSE: ARTICLE I, SECTION 11 OF THE UTAH CONSTITUTION
¶ 12 We first address plaintiffsâ claim that the cap violates the open courts clause found in article I, section 11 of the Utah Constitution. That provision provides:
All courts shall be open, and every person, for an injury done to him in his person, property or reputation, shall have remedy by due course of law, which shall be administered without denial or unnecessary delay; and no person shall be barred from prosecuting or defending before any tribunal in this State, by himself or counsel, any civil cause to which he is a party.
Utah Const, art. I, § 11.
¶ 13 The open courts clause is not merely a procedural protection. Rather, this court has held that the open courts clause provides citizens of Utah the âright to a remedy for an injury.â Judd ex rel. Montgomery v. Drezga, 2004 UT 91, ¶ 10, 103 P.3d 135. In Laney v. Fairview City, 2002 UT 79, 57 P.3d 1007, we declared that âthe plain meaning of the [open courts clause] âimposes some substantive limitation on the legislature[âs ability] to abolish judicial remedies in a capricious fashion.ââ Id. at ¶30 (quoting Craftsman Builderâs Supply, Inc. v. Butler Mfg. Co., 1999 UT 18, ¶ 33, 974 P.2d 1194 (Stewart, J., concurring)). In Berry ex rel. Berry v. Beech Aircraft Corp., 717 P.2d 670 (Utah 1985), we stated that
the basic purpose of Article I, section 11 is to impose some limitation on [the legislatureâs] power for the benefit of those persons who are injured in their persons, property, or reputations since they are generally isolated in society, belong to no identifiable group, and rarely are able to rally the political process to their aid.
Id. at 676. In other words, the open courts clause provides more than procedural protections; it also secures substantive rights, thereby restricting the legislatureâs ability to abrogate remedies provided by law.
¶ 14 The District asks us to overrule this interpretation of the open courts clause, first announced in the Berry decision. Under the doctrine of stare decisis, the District assumes the âsubstantial burdenâ of convincing us that âthe rule was originally erroneous or is no longer sound because of changing conditions and that more good than harm will come by departing from precedent.â Laney, 2002 UT 79 at ¶ 45, 57 P.3d 1007 (internal quotations omitted).
¶ 15 We recently have declined similar invitations to overrule the Berry interpretation. For instance, in Laney, we held that Berry was not erroneously decided; rather, its âanalytical model ... was established only after a thorough analysis of Utahâs case law regarding the open courts provision and the case law and history of other states with similar provisions.â Id. at ¶ 46. Additionally, we opined that overruling Berryâs interpretation of the open courts clause âcan only do harm to our constitution and to the delicate balance of process it creates.â Id. at ¶ 47; see also Judd, 2004 UT 91 at ¶ 11, 103 P.3d 135 (âThe Attorney General invites us to disavow our Berry line of cases.... This we decline to do.â).
*300 ¶ 16 The District nevertheless suggests that we should abandon Berryâs interpretation of the open courts clause because several states have adopted a definition contrary to ours when interpreting similar provisions. Although the District has taken great care in detailing the states that have adopted this differing view, we previously have stated, and now reaffirm, that the meaning of our open courts clause is not dependent upon another stateâs interpretation of a similar provision. Rather, âwe should rely on our own state history and precedent to determine the purpose and meaning of article I, section llâs protection.â Laney, 2002 UT 79 at ¶ 32, 57 P.3d 1007. Because the District has failed to meet its burden of demonstrating either that Berry was erroneously decided or that a change in conditions now makes its holding unsound, we decline its invitation to overrule Berry.
¶ 17 Although the open courts clause protects both substantive and procedural rights, the clause is not an absolute guarantee of all substantive rights. Rather, it applies only to legislation which âabrogates a cause of action existing at the time of its enactment.â Id. at ¶ 50. The legislature thus remains free to abrogate or limit claims that could not have been brought under then-existing law. Claims barred by the doctrine of governmental immunity are an example of this principle. In DeBry v. Noble, 889 P.2d 428 (Utah 1995), we noted that âthe scope of the protections afforded by article I, section 11 [have] to be viewed in light of the immunities that were recognized when the Utah Constitution was adopted,â including âgovernmental immunity.â Id. at 435; see also Madsen v. Borthick, 658 P.2d 627, 629 (Utah 1983) (âArticle I, § 11 worked no change in the principle of sovereign immunity, and sovereign immunity is not unconstitutional under that section.â).
¶ 18 In addition, the mere fact that legislation abrogates an existing legal remedy does not render it impermissible under the open courts clause. Such legislation is acceptable under Berry so long as it either âprovides an injured person an effective and reasonable alternative remedyâ or seeks to eliminate âa clear social or economic evil.â 717 P.2d at 680. With respect to the second alternative, âthe [abrogation] of an existing legal remedy [cannot be] an arbitrary or unreasonable means for achieving the objective.â Id.
¶ 19 The District argues that the doctrine of sovereign immunity rendered it immune from suit prior to the passage of the Act. Accordingly, it reasons that the Act could not have abrogated any âexisting remedyâ in violation of the open courts clause. Plaintiffs urge us to reject this conclusion for two reasons. First, plaintiffs argue that the doctrine of sovereign immunity was not part of Utah law at the time the Utah Constitution was adopted. Second, even assuming that sovereign immunity was part of Utah law, they assert that it protected governmental entities only when those entities were performing activities constituting a governmental function, Lyon v. Burton, 2000 UT 19, ¶ 36, 5 P.3d 616, and that transporting students to an out-of-state, extracurricular debate tournament does not qualify as such. We decline plaintiffsâ invitation to revisit the historical evolution of sovereign immunity under Utah law because we conclude that the District would have been entitled to immunity for its activity in this case prior to the adoption of the Act.
¶20 Before the enactment of the Act in 1965, governmental entities were afforded immunity to the extent that their activities qualified as governmental functions. See id. (noting that prior to the Actâs enactment, âgovernmental activities deemed to be proprietary were not immune and governmental activities deemed to be âgovernmentalâ as opposed to proprietary were immuneâ). With certain exceptions, the Act codified this view of sovereign immunity, providing all governmental entities immunity for âthe exercise of a governmental function.â Utah Code Ann. § 63-30-3(1); see Greenhalgh v. Payson City, 530 P.2d 799, 801 (Utah 1975) (âIt seems plain enough that the intent of [the Act] was to retain the then existing law, both as to immunity and as to liability .... â), superseded on other grounds by Utah Code Ann. § 78-12-36(1) (Supp.1975). However, because the Act did not define âgovernmental function,â the question of whether an activity *301 fell within the scope of the Act rested with the courts. See Standiford v. Salt Lake City Corp., 605 P.2d 1230, 1232 (Utah 1980), superseded by Utah Code Ann. § 63 â 30â2(4)(a) (1987). This changed in 1987 when the legislature amended the Act, defining a governmental function as follows:
any act, failure to act, operation, function, or undertaking of a governmental entity whether or not the act, failure to act, operation, function, or undertaking is characterized as governmental, proprietary, a core governmental function, unique to government, undertaken in a dual capacity, essential to or not essential to a government or governmental function, or could be performed by private enterprise or private persons.
Utah Code Ann. § 63-30-2(4)(a).
¶21 The 1987 amendment substantively expanded the scope of immunity established by the Act, providing immunity for activities that were once deemed proprietary and, therefore, had not been covered by immunity under the common law. See Laney, 2002 UT 79 at ¶ 53, 57 P.3d 1007 (âBy defining a governmental function as any act of a governmental entity, whether or not the activity is characterized as governmental or proprietary, the 1987 amendment effectively grants immunity protection for some activities that were formerly considered proprietary and were not entitled to immunity.â). Accordingly, to determine whether the Act, or its 1987 amendment, âabrogates a cause of action existing at the time of its enactment,â id. at ¶ 50, we must determine whether plaintiffs would have had a right to bring their cause of action against the District at any time prior to 1987. If not, the Act does not abrogate an existing remedy, thereby terminating our analysis. If, however, plaintiffs would have been able to bring suit against the District prior to 1987, we must then determine whether the Actâs abrogation of that cause of action is permissible under Berry.
¶22 Our jurisprudence has established a distinct test, based on our opinion in Standiford, for determining whether the Act in its current form abrogates a cause of action that existed prior to its enactment. Under this test, we assess whether the activity giving rise to the cause of action is â âof such a unique nature that it can only be performed by a governmental agency or that ... is essential to the core of governmental immunity.â â Laney, 2002 UT 79 at ¶ 52, 57 P.3d 1007 (quoting Standiford, 605 P.2d at 1236-37); see Lyon, 2000 UT 19 at ¶ 35, 5 P.3d 616 (recognizing that the Standiford test âreflect[s] the proper constitutional boundary between those governmental activities thatâ implicate the open courts clause and those that do not).
¶23 We previously have noted that the Standiford test must be applied with a âdegree of flexibilityâ in order to take into account the âsignificant differences between different kinds of governmental activities.â DeBry, 889 P.2d at 440. Thus, in applying this test, we must, â âamong other things, evaluate whether the effect of tort liability would promote public safety or defeat essential or core governmental activities and programs that are critical to the protection of public safety and welfare.â â Lyon, 2000 UT 19 at ¶ 39, 5 P.3d 616 (quoting DeBry, 889 P.2d at 440). In our previous applications of the Standiford test, we have concluded, for example, that a cityâs âoperation and maintenance of a municipal electrical power systemâ was not sufficiently unique to have qualified for immunity under the pre-1987 version of the Act, Laney, 2002 UT 79 at ¶¶ 22-53, 57 P.3d 1007; âthat fire fighting activities are an essential and core governmental activity,â Lyon, 2000 UT 19 at ¶ 42, 5 P.3d 616; and that a cityâs âoperation of a public golf course is not essential to governing,â Standiford, 605 P.2d at 1237.
¶ 24 We have long recognized the essential nature of public schoolsâ educational activities. See Bingham v. Bd. of Educ., 118 Utah 582, 223 P.2d 432, 434 (1950) (recognizing that school districts act â âon behalf of the state in discharging the duty of educating the children of school age in the public schools created by general lawsâ â (quoting Woodcock v. Bd. of Educ., 55 Utah 458, 187 P. 181, 183 (Utah 1920))). While the act of providing classroom instruction lies at the heart of a school districtâs function, any supplemental activities that are necessary to sustain this *302 function must similarly be subject to the same rule. This principle is consistent with our previous recognition that the scope of a school boardâs immunity, prior to the enactment of the Act, extended to its operation of an incinerator to dispose of garbage collected on school grounds. Id. at 438.
¶ 25 Here, we are unwilling to conclude that a schoolâs operation of an extracurricular student debate team, including its transport of the team to and from out-of-state competitions, falls outside the realm of a school districtâs core activities. Such an activity clearly benefits student education and is unlikely to be available to public school students if not offered through their schools. Moreover, imposing tort liability on a school district for the operation of such activities is more likely to deter schools from offering them than to promote public safety. We note that other jurisdictions have consistently held that similar extracurricular activities fall within the scope of a public schoolâs traditional governmental immunity. See, e.g., Yanero v. Davis, 65 S.W.3d 510, 527 (Ky.2001) (interscholastic athletics); Churilla v. Sch. Dist., 105 Mich.App. 32, 306 N.W.2d 381, 381 (1981) (football program); McManus v. Anahuac Indep. Sch. Dist., 667 S.W.2d 275, 278 (Tex.Ct.App.1984) (school-sponsored bonfire and pep rally).
¶ 26 We conclude that school districts have always enjoyed governmental immunity for the operation of such programs as the one at issue. Thus, the Act did not in any way limit or abrogate a right to recover from the District. See McCorvey v. Utah Depât of Transp., 868 P.2d 41, 48 (Utah 1993) (âBecause no right existed at common law to recover from the state for injuries arising out of the stateâs maintenance of public roadways, the legislature is free to limit the stateâs liability in that area without implicating the open courts clause.... â). Accordingly, we hold that the Actâs limitation on damages does not violate the open courts provision of the Utah Constitution.
II. UNIFORM OPERATION OF LAWS AND DUE PROCESS UNDER THE UTAH CONSTITUTION AND EQUAL PROTECTION UNDER THE UNITED STATES CONSTITUTION
¶ 27 We now address whether the Act violates either the uniform operation of laws provision, article I, section 24, 3 or the due process provision, article I, section 7, 4 of the Utah Constitution. Because both provisions seek to accomplish the same objective, namely, to ensure that legislation is ârationally related to the accomplishment of some legitimate state purpose,â our analysis of the two provisions will contain â[considerable] overlap.â Condemarin v. Univ. Hosp., 775 P.2d 348, 356 (Utah 1989) (internal quotations omitted).
¶ 28 When evaluating a challenge under the uniform operation of laws provision, commonly referred to as Utahâs equal protection clause, we subject statutory classifications that involve fundamental rights or suspect classifications to a âheightened degree of scrutiny.â Utah Safe to Learn-Safe to Worship Coalition, Inc. v. State, 2004 UT 32, ¶ 31, 94 P.3d 217. Additionally, we review statutory classifications that implicate rights protected by the open courts clause under âheightened scrutiny.â Judd, 2004 UT 91 at ¶ 19, 103 P.3d 135; see also Lee v. Gaufin, 867 P.2d 572, 580-82 (Utah 1993) (holding that âa standard of scrutiny stricter than the rational-basis standard governed when a discrimination implicated a right protected by the open courts provisionâ). However, when a statute does not create a suspect classification and implicates neither a fundamental right nor a right protected by the open courts clause, we will subject that statute to a lower level of scrutiny, analyzing the statute to determine â â(1) whether the classification is reasonable, (2) whether the legislative objectives are legitimate, and (3) whether there is a reasonable relationship between the two.ââ Peterson v. Coca-Cola USA, 2002 UT 42, ¶ 23, 48 P.3d 941 (quoting *303 Ryan v. Gold Cross Servs., Inc., 903 P.2d 423, 426 (Utah 1995)).
¶ 29 Similarly, under the due process clause, a statute that does not infringe upon a fundamental right is subject only to rational basis review and will be upheld if it has â âa reasonable relation to a proper legislative purpose, and [is] neither arbitrary nor discriminatory.ââ Condemarin, 775 P.2d at 356 (quoting Nebbia v. New York, 291 U.S. 502, 537, 54 S.Ct. 505, 78 L.Ed. 940 (1934)). Fundamental rights are âthose rights which form an implicit part of the life of a free citizen in a free society.â Utah Pub. Employeesâ Assân v. State, 610 P.2d 1272, 1273 (Utah 1980). âThe catalog of fundamental interests is relatively small to date, and includes such things as the right[s] to vote, to procreate and to travel interstate.â Id. The right to sue in tort a school district or any other governmental entity engaging in a governmental function does not qualify as such a fundamental right. See Bingham, 223 P.2d at 438 (holding that because âthe acts complained of were committed in the performance of a governmental function, the rule of immunity appliesâ); see also McCorvey, 868 P.2d at 48 (âThere is no fundamental right to recover unlimited damages from government entities performing governmental functions.â (internal quotations omitted)).
¶ 30 Because the Act implicates neither a fundamental right nor a right protected by the open courts clause, the lower, or rational basis, level of scrutiny governs our analysis of plaintiffsâ equal protection and due process claims. In prior cases, we applied that level of scrutiny to the Actâs limitation on individual damages and concluded that the limitation violates neither the equal protection provision nor the due process provision of the Utah Constitution. See Parks v. Utah Transit Auth., 2002 UT 55, ¶ 18, 53 P.3d 473 (noting that we have âaddressed the constitutionality of section 63-30-34 under each of these provisions [article I, section 7 and article I, section 24] in previous cases and have repeatedly upheld the statuteâ); McCorvey, 868 P.2d at 48 (concluding that the Act was not âunconstitutional as appliedâ because it did not âinfringe on a fundamental rightâ). As we stated in Parks, â[w]e eschew the invitation to revisit these decisions, and we uphold the constitutionality of the [individual cap] under these constitutional provisions.â 2002 UT 55 at ¶ 18, 53 P.3d 473.
¶ 31 Anticipating our decision to uphold the cap on individual damages based on our prior decisions, plaintiffs nonetheless urge us to hold that the aggregate cap of $500,000 âfor two or more persons in any one occurrenceâ violates the equal protection and due process provisions of the Utah Constitution. Because both the due process and uniform operation of the laws provisions require that we evaluate the governmental purpose of the legislation, see Condemarin, 775 P.2d at 356, we first examine the objective of the aggregate cap before determining its constitutionality under those provisions.
¶ 32 The District maintains, and we have acknowledged, that the damage cap was intended to preserve the treasuries of the state and its political subdivisions. See id. at 361. By limiting the damages payable by governmental entities, the Act protects an entityâs operating budget from the possibility of substantial damage awards and the financial havoc they may wreak. We find this to be a legitimate governmental purpose. Although we recognize that the aggregate cap may impose significant financial and emotional burdens on those injured by a governmental entity, it is not our province to rule on the wisdom of the Act or to determine whether the Act is the optimal method for achieving the desired result. Rather, our inquiry is limited to the Actâs constitutionality. See Judd, 2004 UT 91 at ¶ 15, 103 P.3d 135 (âOur job as this stateâs court of last resort is to determine whether the legislature overstepped the bounds of its constitutional authority ..., not whether it made wise policy in doing so.â).
¶ 33 Having identified the capâs legitimate objective, we now address whether the aggregate cap satisfies the additional requirements of Utahâs equal protection and due process guarantees. Under our equal protection analysis, a statute is constitutional if its classification is âa reasonable one and bears a reasonable relationship to the achievement of a legitimate legislative pur *304 pose.â Mountain Fuel Supply Co. v. Salt Lake City Corp., 752 P.2d 884, 890 (Utah 1988). We conclude that the classifications inherent in the aggregate cap are both reasonable and reasonably related to accomplishing the Actâs objective of protecting the fiscal resources of governmental entities. 5 Damages arising from multiple-victim accidents resulting in personal injury are extremely difficult to predict and have a much greater potential than any single-victim accident for giving rise to a judgment that could drastically deplete the resources of a governmental entity. A judgment in favor of numerous plaintiffs against a small municipality for damages resulting from a catastrophic event could have a devastating impact on the municipalityâs fiscal health. The aggregate cap protects against such a result by limiting the damages the municipality can be required to pay to multiple victims. 6 Although we acknowledge that the legislature could have selected a less severe means to achieve this objective, the level of scrutiny we employ in this case does not require the statute to embody the best solution. See Condemarin, 775 P.2d at 386 (Hall, C.J., dissenting). Consequently, we hold that the aggregate cap satisfies the demands of equal protection.
¶34 We reach a similar conclusion with respect to plaintiffsâ claims under the due process clause. As stated above, a statute does not offend due process if it has a âreasonable relation to a proper legislative purpose, and [is] neither arbitrary nor discriminatory.â Id. at 352 (internal quotations omitted). As recognized in our equal protection analysis, the aggregate cap is reasonably related to a legitimate governmental objective. Accordingly, we hold that the aggregate cap also satisfies the demands of due process.
¶ 35 Plaintiffs further assert that the cap violates the guarantee of equal protection found in the Fourteenth Amendment to the United States Constitution. In discussing the relationship between Utahâs uniform operation of laws provision and the federal equal protection provision, âwe have made clear that Utahâs uniform operation of the laws provision is âat least as exacting, and in some circumstances, more rigorous than the standard applied under the federal constitution.â â
Whitmer v. City of Lindon,
943 P.2d 226, 230 (Utah 1997) (quoting
Mountain Fuel,
752 P.2d at 889);
see also Carrier v. Pro-Tech Restoration,
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