¶ 27 I concur in Justice Durrant's excellent opinion for the court. As that opinion demonstrates, the magistrate had a substantial basis for concluding that probable cause existed to draw and test Chanzy *Page 11 Walker's blood. That is an appropriate ground for affirming Walker's conviction, and I agree with the court's decision to affirm on that basis.
¶ 28 I write separately, however, to articulate an alternative ground for affirmance on an important issue of state constitutional law. The issue is whether article I, section 14 of the Utah Constitution contemplates an exclusionary rule as a remedy for its violation. This court's recent jurisprudence suggests that it does.See State v. Larocco,794 P.2d 460, 471-73 (Utah 1990) (plurality opinion); State v.Thompson, 810 P.2d 415, 419 (Utah 1991) (adopting theLarocco plurality without discussion or analysis). Yet these decisions enshrine this sweeping remedy without any consideration of the original meaning of the constitutional provision in question. They also casually cast aside settled, longstanding precedents of this court that held the contrary. See State v. Aime,220 P. 704, 705 (Utah 1923); see also State v. Fair,353 P.2d 615, 615 (Utah 1960). My own review of the text and history of article I, section 14 leads me to disagree with our recent case law on this issue. In my view, Utah's constitution as originally understood did not contemplate the remedy of exclusion in the event of an illegal search or seizure. Thus, I would also affirm the decision in this case on the alternative ground that there is no exclusionary rule under the Utah Constitution. I thinkLarocco and Thompson should be overruled, and I would do so in this case.
I ¶ 29 It should go without saying that our construction of a provision of the constitution must rest on the original meaning of the constitutional text. Originalism is more than just "the dominant form of constitutional interpretation during most of our nation's history."1 *Page 12 It is a theory that is essential to any system of government that finds its legitimacy in the will of the people as expressed in positive laws enacted by their representatives.2 Such systems rightly presume that the rules of law adopted by our representatives remain in force and *Page 13 are worthy of respect until they are repealed or amended by the due processes designated for that purpose.3
¶ 30 For statutes, the original meaning of the law as enacted by the legislature may be changed only by new legislation produced through bicameralism and presentment.4 The constitution is even more insulated from change. Its provisions may be altered only by amendments adopted through the super-majoritarian procedures set forth in its provisions.5 The barriers to amendment of our laws are *Page 14 by design. Members of the public are entitled to rely on and organize their affairs around the law as positively enacted — unless and until the law is amended or repealed.
¶ 31 With a notable exception, the accepted processes for amending our laws do not include judicial reconsideration or adaptation of the law by our judges, who are the least accountable of our government officials. For the most part, the role of modern judges is to interpret the law, not to repeal or amend it, and then to apply it to the facts of the cases that come before them.6 The process of interpretation, moreover, involves the judge in an exercise that implicates not the judge's own view of what the law should be, but instead a determination of what the law is as handed down by the legislature or framers of the constitution. The judge, in other words, is not a primary lawgiver but instead an agent for the legislature or framer that played that role.7 This allocation of power again is *Page 15 deliberate. The more politically accountable bodies of government make new laws; judges, who are more insulated from political processes, simply interpret them and attempt to apply them in an objective, evenhanded manner.8 *Page 16
¶ 32 All of this underscores the crucial importance of the judicial inquiry into original meaning. A judge who assumes the role of secondary interpreter of the law must stick to the original meaning of the text of the law as handed down by the lawgiver. If and when he substitutes his own views for that of the original lawgiver, he has exceeded the proper bounds of his judicial office.9 *Page 17
¶ 33 The above-noted exception is important. On matters of common law, our system has opted to leave primary lawmaking in the hands of the judiciary. Historically, the domain of the common law was vast, and common-law judges properly assumed the role of lawgiver on a wide range of issues encompassing both criminal cases and civil cases in fields of tort, contract, and property. Today, most all of the traditional common-law fields are occupied to a large degree by legislation, making the modern judge's common-law domain narrow and interstitial.10 In the remaining fields left to common-law decisionmaking, a judge may appropriately prioritize his own view of what the law should be ahead of his understanding of how the law originally was understood when it was first handed down. But that is because in those fields our system of government has vested primary lawmaking in the judge's hands.
¶ 34 In other fields where the common law has been displaced by legislative code or constitutional provisions, a judge's view of the law's original meaning takes on a fundamentally different role. Where the judge's primary lawmaking authority has been usurped by legislative or constitutional enactments, he cannot ignore the original meaning of the law without exceeding the bounds of his judicial authority as a secondary interpreter and not a primary lawgiver. Thus, on most questions facing the modern judge, originalism is not just a wise starting point; it is the beginning and end of the judge's function, and an essential limitation on judicial power.
¶ 35 This limitation is most important on matters of constitutional law. Our state and federal constitutions are not just supreme; they are organic or constitutive, in that they establish the fundamental *Page 18 ground rules for lawmaking and fixed bulwarks against potential tyrannies of the majority. The provisions of these founding documents "form[] the fundamental and paramount law of the nation," establishing "certain limits not to be transcended" and "designed to be permanent." Marbury v. Madison,5 U.S. (Cranch) 137, 176, 178 (1803). "The exercise of this original right is a very great exertion" that ought not "be frequently repeated,"id. at 176, least of all by judicial fiat.
¶ 36 Thoughtful judges might understandably bristle at these restraints on their authority. Capable people don't like to be told that their views don't matter, or that their role is merely to implement someone else's policies. A judge on a court of last resort (like this one) may be especially prone to object to such a limited conception of his role, since his court has the final say in interpreting the law in his jurisdiction.
¶ 37 But the luxury of having the final say does not erase the necessity of assuring the propriety of our exercise of judicial power. Justice Robert Jackson's words are an appropriate reminder: "We are not final because we are infallible, but we are infallible only because we are final." Brown v. Allen,344 U.S. 443, 540 (1953) (Jackson, J., concurring). The obviously constructive nature of our "infallibility" is an important reminder of our obligation to constantly limit the sphere of our decisionmaking to the role that we are afforded under the constitution.
¶ 38 We fall short of that solemn duty when we "interpret" the law without attempting to determine its original meaning.11 When we instead simply announce the law as we would have it be, we exceed the proper bounds of our judicial power. *Page 19
¶ 39 This court's decisions in Larocco and Thompson appear to me to fall short under these standards. Despite decades-old precedents holding that article I, section 14 of our constitution did not incorporate a remedy of exclusion, a plurality in Larocco expressed the inclination of two members of this court to adopt such a rule. And although the Larocco plurality made no attempt to identify the original meaning of that provision of the constitution or to distinguish or overrule our prior precedents to the contrary, a majority in Thompson casually embraced the Larocco plurality position as the law of this state. For reasons elaborated below, I think we should reconsider the position identified in Larocco and adopted inThompson.
A ¶ 40 Until relatively recently, this court had long declined to find an exclusionary remedy in the provisions of article I, section 14. The court's first pronouncement on this issue was its decision in State v. Aime, where we unanimously held that "the admissibility of evidence is not affected by the illegality of the means through which it has been obtained."220 P. 704, 708 (Utah 1923). This holding was reaffirmed inState v. Fair, where we concluded that "[i]t is not necessary to determine whether or not the search was legal, because this court has previously held that evidence, even though illegally obtained, is admissible." 353 P.2d 615, 615 (Utah 1960) (citing Aime, 220 P. 704).
¶ 41 Our decision in Fair was eclipsed and largely preempted by the United States Supreme Court's decision a year later inMapp v. Ohio, 367 U.S. 643 (1961). Mapp held for the first time that the United States Constitution required exclusion in state court of evidence seized in violation of the Fourth Amendment.Id. at 665. Our decisions following Mapp necessarily acquiesced in the federal exclusionary rule. See State v.Louden, 387 P.2d 240, 241-42 (Utah 1963) (indicating "no disposition to disagree with the doctrine that where police officers have obtained evidence by illegal methods, such as unlawful search in violation of the [Fourth] Amendment to the United States Constitution and Article I, Sec[tion] 14 of our Constitution, it should not be used to convict a person of crime, as held by the United States Supreme Court in the case of Mapp v. Ohio"). For several decades, however, this court "never separately articulated an exclusionary rule as a necessary part of article I, section 14," but instead simply handed down "a series of cases . . . approv[ing] the federal rule and afford[ing] its protections to Utah citizens."Larocco, 794 P.2d at 471. *Page 20
¶ 42 That all changed in Larocco. In that case, a two-justice plurality acknowledged the above-described state of this court's exclusionary rule cases but nonetheless proceeded to reverse course on the issue. The Larocco plurality's justification for jettisoning Aime and Fair had nothing to do with a reevaluation of the text of article I, section 14 as understood at the time of the framing of the Utah Constitution. In fact, the Larocco plurality made no reference to the text, history, or original meaning of that provision in support of its adoption of a Utah exclusionary rule. Instead, the plurality simply deemed it "useful to examine opinions from other state courts" — opinions indicating a trend of "[a]t least eighteen states" that had "adopted an independent state constitutional exclusionary rule." Id. at 472. Significantly, none of the cited cases predated the adoption of the Utah Constitution, and the plurality failed to explain how these later interpretations of the constitutions of other states were relevant to understanding the meaning of article I, section 14.
¶ 43 Thus, the Larocco plurality was simply jumping on what it perceived as the state exclusionary rule bandwagon. In claiming an independent Utah exclusionary rule, the Larocco plurality seemed to treat this important constitutional question as if it were a common-law matter — an issue within the court's prerogative to amend and adapt at will in light of jurisprudential trends in other jurisdictions. Indeed, the Larocco plurality accepted the existence of the exclusionary rule as a foregone conclusion, suggesting that the "significant questions which must be answered by state courts considering independent state exclusionary rules" concern the nature and scope of the rule.Id. at 473.
¶ 44 The exclusionary rule accepted by a plurality inLarocco was embraced by a majority of the court in State v.Thompson. The Thompson court's holding on this issue was even more cursory. Thompson failed to cite Aime orFair and again made no reference to the text or original meaning of section 14. Instead the court simply quotedLarocco for the purportedly uncontroversial proposition that "`exclusion of illegally obtained evidence is a necessary consequence of police violations of article I, section 14.'"810 P.2d at 419 (alteration omitted) (quoting Larocco,794 P.2d at 472).
¶ 45 Thompson thus relied on the Larocco plurality for the existence of a Utah exclusionary rule without acknowledging that the Larocco rule had never commanded a majority and without any discussion of the court's contrary precedent or of the history and text of article I, section 14. None of our subsequent decisions offers any further analysis of this issue. *Page 21
¶ 46 Thus, although this court has embraced an independent state exclusionary rule for the past couple of decades, it has done so without ever considering the original meaning of the constitutional provision in question. Given the importance of this issue and the absence of any careful analysis in this court's cases, I would be inclined to reconsider the rule in Larocco andThompson in an appropriate case.
B ¶ 47 When this court does consider the text and history of article I, section 14, it should hold that this provision does not incorporate the sweeping remedy of an exclusionary rule. That section provides as follows:
The right of the people to be secure in their persons, houses, papers and effects against unreasonable searches and seizures shall not be violated; and no warrant shall issue but upon probable cause supported by oath or affirmation, particularly describing the place to be searched, and the person or thing to be seized.
UTAH CONST. art. I, § 14. This language simply provides a guarantee of security against unreasonable searches and seizures and a prohibition on warrants without probable cause. It says nothing about an exclusionary — or any other — remedy for the violation of its provisions.
¶ 48 The absence of any textual reference to a remedy shifts the focus to the historical context of this provision. If section 14 was adopted in a legal environment in which unlawfully seized evidence was deemed inadmissible in court, it would be appropriate to interpret that provision to incorporate an exclusionary rule.12 If not, this court should not constitutionalize such a remedy no matter how prudent or fashionable we might now find it to be.
¶ 49 In my view, the historical record points decidedly against the conclusion that section 14 would have been understood in its *Page 22 historical context to call for an exclusionary remedy. That remedy, in fact, was virtually unknown at that time. When the Utah Constitution was ratified, no appellate court in any state had excluded unlawfully obtained evidence under its constitution.13 The common law record is similar. Under the common law in the late twentieth century, illegally obtained evidence was nearly always admissible in court.14 Instead, a citizen wronged by an illegal search could sue the wrongdoers for the tort of trespass. Anyone who invaded another's property was guilty of trespass and had to pay damages, unless the intruder had some positive legal authority such as a valid warrant.15
¶ 50 In 1904, shortly after the Utah Constitution was ratified, the United State Supreme Court surveyed the common law on admissibility of illegally seized evidence in a number of jurisdictions. See Adams v. New York, 192 U.S. 585 (1904). TheAdams court noted that the general rule was that "[e]vidence which is pertinent to [an] issue is admissible, although it may have been procured in an irregular[,] or even in an illegal[,] manner."Id. at 596 (internal quotation marks omitted). The court explained that this rule had been upheld in "the English, and nearly all of the American cases." Id. at 598.
¶ 51 In the face of this extensive historical record, Walker's briefs in this case cite one historical data point purportedly to the contrary: the United States Supreme Court's decision inBoyd v. United States, 116 U.S. 616 (1886). It is true that Boyd excluded evidence obtained through an improper subpoena in a civil forfeiture *Page 23 case. But the decision provides no basis for attributing to the Utah framers an intent to adopt a broad exclusionary remedy for search-and-seizure violations under section 14.
¶ 52 Boyd was a narrow anomaly in nineteenth-century jurisprudence on the admissibility of illegally obtained testimonial evidence. The government in Boyd had initiated a forfeiture proceeding against two businessmen for importing (smuggling) dozens of cases of plate glass in violation of federal import and revenue laws. Id. at 617-18. During the civil forfeiture trial, the government sought discovery of invoices for the goods in order to prove their quantity and value. Id. at 618. The government served the defendants with a subpoena declaring that if they did not produce the invoices, "the allegations which it is affirmed they will prove shall be taken as confessed." Id. at 621. The defendants grudgingly produced the requested documents, but following a verdict for the government, they appealed on the grounds that the compelled production of the invoices violated their constitutional rights under the Fourth and Fifth Amendments.Id. at 618.
¶ 53 Boyd was a civil (not a criminal) case, 16 it involved no police, and no search or seizure ever took place. Although it appears there was thus no Fourth Amendment search or seizure in Boyd, the court concluded that the compulsory production of private papers fell within the scope of theFourth Amendment because it "effect[ed] the sole object and purpose of [a] search and seizure." Id. at 622. Noting the "intimate relation" between the Fourth and Fifth Amendments, 17 the court then combined those amendments to inject the notion of exclusion into the case. Id. at 633. Seizing the defendants' private invoices (their private "books and papers"), according to the court, was substantially the equivalent of compelling them to give the testimony contained in the papers. Id. at 633-35. The court concluded that to admit into evidence in a civil proceeding papers that had been acquired through an illegal search and seizure would constitute a second and independent violation of the Constitution — a violation of the Fifth Amendment's guarantee against compulsory self-incrimination. Id. at 634-35. *Page 24
¶ 54 Although Boyd is sometimes cited as the seedbed of the modern exclusionary rule, that decision does not sustain this construction. Instead of recognizing an exclusionary rule under theFourth Amendment, as was later done in Weeks v.United States, 232 U.S. 383 (1914), Boyd cobbled together a unique, hybrid rule using the Fourth and Fifth Amendments to exclude certain testimonial evidence under the theory that to admit illegally seized papers and books would violate the Fifth Amendment — an amendment meant to protect a defendant's rights at trial. See Boyd,116 U.S. at 619-20, 632-38.18
¶ 55 The narrow limits of Boyd were explained by the United States Supreme Court in Adams v. New York. See192 U.S. at 596-98. In Adams, the defendant sought to exclude improperly seized evidence on the basis of Boyd. Seeid. at 596-97. But the Adams court distinguishedBoyd and allowed the illegally obtained evidence to be admitted, noting that the statute at issue in Boyd was unique because it required the defendant to either produce his books or records or "the allegation of the government's attorney as to their contents [would] be taken as true." Id. at 597. Consequently, the unique statute "virtually compelled the defendant to furnish testimony against himself in a suit to forfeit his estate."Id. at 598.
¶ 56 The Adams court further noted that althoughBoyd had been cited many times, it had been "distinguished in many of the cases from the state courts which we have had occasion to examine." Id. at 597. The court thus concluded that the states that had distinguished Boyd had acted appropriately because the Fourth and Fifth Amendments were never intended to exclude evidence without regard to how it was obtained.Id. at 598. Instead, these amendments were to "protect against compulsory testimony from a defendant against himself in a criminal trial, and to punish wrongful invasion of the home of the citizen or the unwarranted seizure of his papers and property," not to exclude evidence "which has been obtained by such means, if it is otherwise competent." Id. at 598. Given the *Page 25 narrow limits of Boyd, that decision is hardly a basis for deeming the Utah framers to have contemplated an exclusionary remedy.
¶ 57 The drafting history of section 14 further undermines the conclusion that that provision would have been originally understood to incorporate an exclusionary rule. The Draft Constitution of 1882 contained search and seizure provisions "almost identical to the Fourth Amendment." Paul G. Cassell, Search and Seizure and theUtah Constitution: The Irrelevance of the Antipolygamy Raids, 1995 BYU L. REV. 1, 4. Boyd was not decided until 1886. Given this drafting history, and the fact that the universal common law made illegally seized evidence admissible, it seems likely that any choice to depart from the common law rule would have generated at least some debate at the time of section 14's adoption. Instead, the records of the 1895 convention show that "Section 14 was read and passed without amendment."
1 PROCEEDINGS OF THE UTAH CONSTITUTIONAL CONVENTION 319 (1898) (recounting proceedings on Mar. 25, 1895).
¶ 58 Thus, I see little ground for attributing to the framers of section 14 the view that evidence collected in violation of its terms would be deemed inadmissible in court. At a minimum, a careful analysis of that question is in order. When we do address the substance of the original meaning of section 14, we should reinstate the longstanding view that the Utah Constitution does not incorporate an independent exclusionary ingrain.
II ¶ 59 In time, the exclusionary rule that was claimed inLarocco and adopted in Thompson could become so ingrained in our jurisprudence that its reconsideration would be difficult. Eventually, a defendant whose section 14 rights are infringed could plausibly contend that he reasonably relied on the availability of an exclusionary rule in Utah constitutional law, and that any repudiation of that rule would undermine his reasonable reliance interests. As our cases have rightly recognized, "[t]he doctrine of stare decisis is ingrained in our law and is entitled to serious consideration." Austad v. Austad,269 P.2d 284, 290 (Utah 1954). "The reason underlying [this doctrine] is that people should know what their legal rights are as defined by judicial precedent, and having conducted their affairs in reliance on such rights, ought not to have them swept away by judicial fiat." Id.
¶ 60 We are not yet at the stage where the Thompson exclusionary rule is beyond our reconsideration. The reliance-based justification for stare decisis is not implicated where the precedent in *Page 26 question "abandon[ed] [a] long-established [previous] rule," "failed to cite [a previous] line of cases altogether," and adopted a standard that is ambiguous or unworkable. State v. Menzies,889 P.2d 393, 399 (Utah 1994). Because the dimensions and scope of the Utah exclusionary rule have not yet been established, there is little ground for an argument that the rule is so settled that it is beyond reconsideration on reliance grounds. I would accordingly reconsider this issue here and overrule Larocco andThompson as contrary to the original meaning of the Utah constitution.
III ¶ 61 I conclude with a response to Justice Nehring, who writes separately to express his "disapproval" of my decision to address the remedial question presented in this case.Supra ¶ 21. With due respect to my esteemed colleague, thisis a case where the question of the proper remedy for violations of article I, section 14 is "properly before the Court."Supra ¶ 21. My views on that question are hardly "advisory," as some of Justice Nehring's authorities suggest.Supra ¶ 21 n. 2 (citing cases criticizing the rendering of an "advisory opinion"). Instead, the remedial question I address is simply an alternative basis for resolving the case that is before us, as Walker's state constitutional challenge to the decision below can properly be rejected either on the ground that there is no constitutional violation to begin with or on the alternative basis that the remedy for that violation is not exclusion.
¶ 62 It is certainly true that the court need not reach the remedial question whether the Utah Constitution contemplates an exclusionary rule. But that does not render this question "irrelevant" or my analysis of it somehow "advisory." This case presents two constitutional questions of equal dignity. Both issues were briefed and argued to the court, and our decision properly could turn on either one. If Justice Nehring's critique were accepted, either issue could be deemed irrelevant in that the resolution of one could obviate the need to reach the other. Yet the existence of two alternative grounds for a decision has never barred our analysis of both of them. We frequently consider and resolve alternative bases for our decisions.19 And properly so, particularly on issues as significant as the ones presented here.20 *Page 27
¶ 63 I see no defensible a priori basis for deeming one of these constitutional questions to have "priority" over the other or for treating them as "sequential." Supra ¶ 23. Justice Nehring casts the remedial question as superfluous on the ground that a finding of probable cause makes it unnecessary to decide "what the remedy would be if the search were conducted without probable cause." Supra ¶ 23. But the assertion that that makes the remedial question *Page 28 "second[ary]" or "merely hypothetical" is a boomerang: A finding that Walker has no exclusionary remedy for any underlying violation of article I, section 14 likewise makes it unnecessary to decide whether there would be a violation if there were an exclusionary rule. In that sense the ground on which the court decides the case could be deemed "secondary" and its analysis of the probable cause question could be seen as "merely hypothetical."
¶ 64 Neither issue is logically primary and neither is addressed to the hypothetical. Both issues are before us, and it is within our discretion whether to decide one or the other or both of them. In fact, courts have often resolved suppression cases in the government's favor on the basis of the applicability of an exception to the exclusionary rule without even deciding whether the warrants at issue were supported by probable cause.21 Such cases are resolved based on a lack of an available remedy, without addressing the existence of an underlying legal wrong. This sequencing is entirely appropriate, 22 and not derided for reversing the proper order of analysis.23 *Page 29 My approach here is along the same lines.
¶ 65 Thus, my opinion in this case is neither advisory nor unusual. If the court's majority may properly articulate alternative grounds for its decisions, any member of the court can and should feel free to express his independent views on issues presented to the court. Separate opinions properly advance "vigorous debate" that "improves the final product" of the court.24 And while genuine unanimity of a collegial body can enhance the court's legitimacy, "what must ultimately sustain the court in public confidence is the character and independence of [its] judges."25 When we write separately we memorialize "benchmark[s] against which the *Page 1 majority's reasoning can continue to be evaluated, and perhaps, in time, superseded."26 For these and other reasons, I view a separate opinion as an essential contribution to a healthy appellate body, not a selfish "commentary on [my] preferred resolution of a set of facts different from those presented by this case."Supra ¶ 23.
¶ 66 Generally, I would agree with a final point raised by Justice Nehring — that it is usually appropriate to avoid reaching out to resolve a broad legal question when the case may be decided on a straightforward, narrow ground.Supra ¶ 20 n. 1 ("[C]ourts should generally resolve cases on the narrowest applicable grounds unless specific reasons exist for offering broader guidance." (quoting Gallivan v. Walker,2002 UT 89, ¶ 97, 54 P.3d 1069 (Durham, C.J., concurring))). That principle is properly rooted in judicial conservatism or humility, and I accept it as an appropriate starting presumption. But as the Gallivan case indicates, the presumption is rebuttable in cases where "specific reasons exist for offering broader guidance," and such reasons seem to me to be amply presented here.
¶ 67 In my view, the preference for the limited use of judicial power cuts both ways in this case. On one hand, it could be said that a decision to reach out to overrule Larocco andThompson would be an act of judicial immodesty. But if those decisions themselves resulted from just such an act (as I think they did for reasons explained above), then a decision to continue to enshrine them can hardly be said to advance the cause of judicial humility. A refusal to reconsider Larocco andThompson results in the preservation of a judge-made rule that finds no basis in the original meaning of the constitutional text, and in that sense the approach that I advocate actually advances the goal of judicial humility advocated by Justice Nehring.
¶ 68 The problem is further complicated by another principle that is rooted in judicial humility — the doctrine of staredecisis. If we do not promptly reconsider theLarocco-Thompson position, it will eventually be considered settled law in this state, worthy of deference under the doctrine ofstare decisis regardless of whether those cases were correctly decided. By articulating my views on this matter, I hope to preserve this court's ability to reconsider this important issue while giving proper heed to the important doctrine of stare decisis. *Page 31
¶ 69 Thus, while I share Justice Nehring's commitment to the principle of judicial restraint, that principle seems to me to counsel in favor of our separate consideration in this case of the remedial question addressed in Larocco and Thompson. I respect my colleagues' right to disagree with my judgment on that question, and hope that Justice Nehring is right in concluding that the issue "will come before the court again,"supra ¶ 25, before we deem ourselves foreclosed from an open reconsideration of this important question.
This latter approach strikes me as incompatible with a commitment to a passive judicial role in interpreting the law as enacted by the people or their representatives. I understand that an informed, engaged judge may prefer the freedom to inject his views into the law under the guise of judicial review. But a decision to start down that path is a decision to abandon the judicial role. We cannot maintain our commitment to judicial interpretation of the law while retaining the notion of active consideration of social policy in our decisions. The only social policy that matters is the one embraced in the legislation or constitutional provision we are interpreting. We should categorically repudiate our precedents that suggest otherwise — that treat the original meaning of the law as merely one of several "persuasive" grounds for judicial construction and that open the door to any "sister state law" or good "policy" that we deem relevant — and hold consistently to the view that our statutes and constitution mean what they meant when they were originally enacted until repealed or amended by the political branches of government.