COURT OF APPEALS OF VIRGINIA
Present: Judges Russell,* Ortiz and Raphael
PUBLISHED
Argued at Richmond, Virginia
JORDAN DARRELL MORRIS
OPINION BY
v. Record No. 1194-21-2 JUDGE STUART A. RAPHAEL
AUGUST 2, 2022
COMMONWEALTH OF VIRGINIA
FROM THE CIRCUIT COURT OF HENRICO COUNTY
Randall G. Johnson, Jr., Judge
H. Pratt Cook, III (Law Office of H. Pratt Cook, III, on brief), for
appellant.
Stephen J. Sovinsky, Assistant Attorney General (Jason S. Miyares,
Attorney General, on brief), for appellee.
This case presents two questions of first impression concerning Virginia’s medical-
amnesty statute, Code § 18.2-251.03, which shields from arrest or prosecution those persons who
seek emergency medical assistance because they are experiencing a drug overdose (or who seek
emergency medical assistance for others who are experiencing an overdose). First, suppose the
defendant seeking emergency medical assistance subjectively believes he is suffering a drug
overdose, but in fact he is not. Is the defendant entitled to amnesty, or must the trier of fact be
satisfied that the defendant, objectively, is having an overdose? We conclude from the statute’s
plain language that the General Assembly intended a subjective standard.
Second, does drug-induced suicidal ideation qualify as an “overdose” under the statute?
We conclude that it does. While an “overdose” from drugs in common parlance may not
*
Justice Russell participated in the hearing and prepared the dissent in this case prior to
his investiture as a Justice of the Supreme Court of Virginia.
embrace the desire to kill oneself, the statute defines “overdose” as “a life-threatening condition
resulting from the consumption or use of a controlled substance, alcohol, or any combination of
such substances.” Code § 18.2-251.03(A). A drug-induced impulse to kill oneself is “a life-
threatening condition” under that definition.
Because the circuit court erred in applying an objective standard to the defendant’s claim
that he was seeking emergency medical care for his drug-induced suicidal ideation, we vacate the
drug-possession conviction and remand this case for the trial court to determine whether the
defendant is entitled to medical-amnesty immunity under the correct legal standard.
BACKGROUND
Appellant Jordan Darrell Morris was arrested on November 16, 2020, outside the Short
Pump emergency room, and charged with possession of a Schedule I or II controlled substance
(in violation of Code § 18.2-250) and driving under the influence of drugs, first offense (in
violation of Code § 18.2-266). He was released from jail on a $1,400 recognizance bond.
On June 16, 2021, the Commonwealth gave notice of its intent to use at trial a lab
analysis showing that Morris’s blood tested positive for cocaine and that cocaine residue was
found on a smoking device in the car he was driving. Morris, represented by counsel, moved to
suppress the drug evidence and to dismiss the drug-possession charge under the medical-amnesty
provision of Code § 18.2-251.03. Morris argued that he “was actively seeking medical care for
himself when the Henrico police developed the evidence against him.” The motion recited that
Morris was trying to seek medical attention at Short Pump
Emergency Room when he stopped the vehicle in the middle of the
roadway adjacent to the emergency hospital. Henrico police
officers Cirillo and Steelman observed that Morris was under the
influence of drugs, and Morris told them he had recently smoked
crack cocaine. Morris told the officers he was contemplating
suicide because of drugs and made suicidal statements at the
hospital.
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The Commonwealth’s written opposition asserted that Morris “had produced no evidence or
testimony from any medical personnel present that evening, nor any other evidence, that he was
experiencing an overdose.”
On July 15, the trial court conducted a hearing on Morris’s suppression motion and
motion to dismiss, at which both sides “agreed to proffer the facts.” Paraphrasing the police
report, Morris’s counsel represented that Henrico police officers observed a white Ford Edge
trying to turn onto the road adjacent to the Short Pump emergency room. The vehicle nearly
struck a curb in the turn lane and stopped in the middle of the road, blocking through-traffic.
Officers Cirillo and Steelman approached the vehicle, driven by Morris, and asked him to park
the car. Morris said that “he was there to get help,” telling the officers that he had smoked crack
cocaine. The officers escorted Morris into the emergency room.
As medical personnel drew a blood sample, Morris “made suicidal statements.” In
response to questions from a third policeman, Officer Foley, Morris said that he worked at Food
Lion; he had asked to sit in his boss’s car to call his mother; he had called his mother “because
he was thinking about committing suicide”; he had driven away from the Food Lion and had
driven around awhile before heading to the Short Pump emergency room. When asked whether
his mother had told him to “go to the ER,” Morris said he “chose to do so himself” because “he
was thinking about suicide.” When Foley asked, why suicide, Morris responded, “drugs.”
Morris said that he had used heroin, fentanyl, and cocaine, that he had smoked crack cocaine in
his boss’s car, and that he “came to the ER to get help for the suicidal thoughts and his drug
problem.” Morris alerted the officers to a crack pipe in the vehicle, which they found tucked in
the crevice of the passenger seat.
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The Commonwealth initially disagreed with certain aspects of the proffer. Pressed by the
trial court, however, the Commonwealth agreed to “the Defense version” to the extent there were
any inconsistencies.1
Both parties treated the statute as creating an “affirmative defense” to be proven by the
defendant. The Commonwealth argued that Morris was required to present expert testimony that
he was in fact experiencing an overdose and that it was not enough to simply take his word for it.
Morris’s counsel argued that the immunity statute applied because the lab tests showed cocaine
in Morris’s blood, Morris drove himself to the emergency room seeking treatment, and he said
three times that he was suicidal because of his drug use.
Ruling from the bench, the trial court denied Morris’s motions to suppress the drug
evidence and to dismiss the drug-possession charge. The court saw “no evidence that [Morris]
was experiencing a life-threatening condition.” It was “not going so far as to say” that a medical
professional had to be called as a witness to prove an overdose—circumstantial evidence could
suffice. But the court found the proffer insufficient. “[J]ust because” the drugs “affected his
behavior [did] not mean we’re in a life-threatening situation.” The court said there must be
1
Both the Commonwealth and Morris argue on brief that we should view the facts in the
“light most favorable” to the Commonwealth, the prevailing party below. But “[w]e do not
permit litigants ‘to define Virginia law by their concessions.’” Butcher v. Commonwealth, 298
Va. 392, 395 (2020) (quoting Daily Press, Inc. v. Commonwealth, 285 Va. 447, 454 n.6 (2013)).
The facts considered by the trial court were based on an oral proffer by defense counsel, to which
the prosecutor agreed. Cf. Massenburg v. City of Petersburg, 298 Va. 212, 216-17 (2019)
(explaining that the standard of appellate review of a ruling on a plea in bar depends on whether
evidence was heard below). The dissent argues that the light-most-favorable standard applies
because the parties stipulated the facts. But that conclusion does not follow from the premise.
See Farmer’s Ins. Exchange v. Enters. Leasing Co., 281 Va. 612, 617 (2011) (stating that, where
the circuit court granted “summary judgment relying on stipulated facts,” appellate courts
“review de novo the circuit court’s application of the law to the undisputed facts”). Because we
vacate the drug-possession conviction and remand this case for further proceedings, and because
the factual nuances of the proffer do not control the outcome, we need not decide whether the
light-most-favorable standard is appropriate.
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“some showing” that Morris’s expression of wanting to kill himself “was caused by the ingestion
of cocaine and this overdose situation.”
Morris subsequently pleaded no contest to the charges against him, reserving his right to
appeal the immunity ruling on the drug-possession charge. The trial court accepted the pleas,
finding Morris guilty on both charges. The court sentenced Morris to five years’ incarceration
on the drug-possession charge, suspending all but two months. It sentenced him to twelve
months (all suspended) on the driving-under-the-influence charge.
Morris now appeals the trial court’s decision denying him medical-amnesty immunity on
the drug-possession charge (Case No. CR21-1545-00F).2
STANDARD OF REVIEW
The proper interpretation of Code § 18.2-251.03 is a question of law that we review de
novo. E.g., Citland, Ltd. v. Commonwealth ex rel. Kilgore, 45 Va. App. 268, 275 (2005) (“Pure
statutory construction, a matter within the ‘core competency of the judiciary,’ requires de novo
review.” (quoting Finnerty v. Thornton Hall, Inc., 42 Va. App. 628, 635 (2004))); Broadous v.
Commonwealth, 67 Va. App. 265, 268 (2017) (applying de novo review to interpretation of Code
§ 18.2-251.03).
ANALYSIS
Beginning with New Mexico in 2007, at least forty States have enacted laws providing
protection from criminal liability for persons seeking emergency medical assistance for a drug
overdose. See Nicole Schill, The Fatal Shortcomings of Our Good Samaritan Overdose Statutes
and Proposed Model Statute, 25 Cardozo J. Equal Rts. & Soc. Just. 123, 126 (2018). We will
refer to such statutes as “medical-amnesty laws,” but they are also sometimes called “Good
2
Morris did not appeal his driving-under-the-influence conviction (Case No.
CR21-1546-00M), so that conviction is not before us.
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Samaritan Overdose Laws” or “911 Immunity Laws.” Id. at 126 n.17. Different States have
taken different approaches. Some permit the summoning of medical help to be used by the
defendant only “as [a] mitigating circumstance[]” at sentencing. Id. at 139-40 (describing Ind.
Code Ann. § 35-38-1-7.1(b)(12) (West 2017)). Some permit the defendant to raise the
summoning of assistance as an “affirmative defense,” establishing a “justification or excuse that
relieves them of criminal liability.” Id. at 140. And some provide “immunity from criminal
liability.” Id. at 141.
Virginia’s medical-amnesty statute was first enacted in 2015. 2015 Va. Acts chs. 418,
436 (codified at Code § 18.2-251.03). The original statute followed the “affirmative defense”
approach. For enumerated drug- and alcohol-possession charges, the law provided, in pertinent
part, “an affirmative defense . . . if [s]uch individual, in good faith, seeks or obtains emergency
medical attention for himself, if he is experiencing an overdose, or for another individual, if such
other individual is experiencing an overdose, by contemporaneously reporting such overdose.”
Code § 18.2-251.03(B)(1) (Supp. 2015). For the affirmative defense to apply, the defendant was
required to remain at the scene of the overdose (or any alternative location to which the person
requiring emergency medical attention was transferred); identify himself to the responding law-
enforcement officer; and substantially cooperate with law enforcement in any criminal
investigation relating to the substance that caused the overdose. Code § 18.2-251.03(B)(2)-(4)
(Supp. 2015). The affirmative defense was limited to offenses based on evidence “obtained as a
result of the individual seeking or obtaining emergency medical attention.” Code
§ 18.2-251.03(B)(5) (Supp. 2015).
We considered the 2015 version of the statute in Broadous. 67 Va. App. at 268-73. We
said its “clear purpose” was to provide “a ‘safe harbor’ from prosecution to encourage . . .
prompt emergency medical treatment to those who have suffered an overdose as a result of
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ingesting a controlled substance.” Id. at 271. We found that the General Assembly “obviously
made a policy determination that encouraging others, who may themselves be guilty of violating
the laws involving controlled substances, to call 911 in an effort to save a life is more important
than their prosecution.” Id.
Nonetheless, we were constrained by the language of the statute, as it was then written, to
conclude that it protected only a person who “seeks or obtains” emergency medical treatment for
himself or for another. Id. at 270-72. Broadous was not protected under that standard because,
although she had suffered a drug overdose, her boyfriend was the person who called for
emergency medical assistance, not Broadous. Id. at 273. We observed that other States provided
broader protection in their medical-amnesty statutes, extending amnesty to defendants who were
the beneficiaries of emergency-medical calls made by others. Id. at 272 (citing Ohio Code
§ 2925.11(B)(2)(a)(viii)). Such protection was “absent from Virginia’s statute,” we said,
“presumably because our legislature made a policy decision not to include it.” Id. at 273.
After Broadous, the General Assembly revisited the medical-amnesty statute three times,
each time expanding its protections. The 2019 amendment eliminated the requirement that the
defendant must have cooperated in any criminal investigation relating to the substance that
caused the overdose. 2019 Va. Acts ch. 626 (deleting Code § 18.2-251.03(B)(4)).
The 2020 amendment made two more changes. 2020 Va. Acts ch. 1016. It upgraded the
nature of the amnesty from an “affirmative defense” to an immunity from “arrest or
prosecution.” Code § 18.2-251.03(B) (Supp. 2020). The amendment also superseded Broadous,
expanding amnesty to protect defendants in Broadous’s situation: someone who “is experiencing
an overdose” when “another individual, in good faith, seeks or obtains emergency medical
attention for such individual.” Code § 18.2-251.03(B)(1)(ii); see McCarthy v. Commonwealth,
73 Va. App. 630, 646 (2021) (describing the 2020 amendments).
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Finally, the 2021 amendment broadened the amnesty for good Samaritans who
themselves provide medical aid to those experiencing an overdose. See 2021 Va. Acts, Sp. Sess.
I, ch. 29 (codified at Code § 18.2-251.03(B)(1)(iii)) (shielding a person who, “in good faith,
renders emergency care or assistance, including cardiopulmonary resuscitation (CPR) or the
administration of naloxone or other opioid antagonist for overdose reversal, to an individual
experiencing an overdose while another individual seeks or obtains emergency medical attention
in accordance with this subdivision”).
With that statutory framework as the backdrop, we turn to the issues presented here.
A. A subjective standard determines whether the person in need of emergency
medical attention is experiencing an overdose.
The parties agreed at oral argument that the trial court used an objective standard in
applying Code § 18.2-251.03, requiring that Morris demonstrate that he was, in fact,
experiencing drug-induced suicidal ideation. The trial court denied Morris’s motion after
concluding that Morris failed to carry his burden.3
3
Morris and the Commonwealth assume that the defendant bears the burden of
persuasion on medical-amnesty immunity. We have previously observed that “there is no
uniform rule in Virginia regarding the burden of persuasion for affirmative defenses. Instead, the
determination of which party has the burden of persuasion turns on which affirmative defense is
being asserted.” Tart v. Commonwealth, 52 Va. App. 272, 276 n.1 (2008). Courts in other
jurisdictions have divided on whether the prosecution or defense bears the burden of persuasion
on a medical-amnesty defense. Compare People v. Harrison, 465 P.3d 16, 23 (Colo. 2020)
(“[T]he prosecution must prove beyond a reasonable doubt that the defendant’s conduct was not
legally authorized by the affirmative defense.”), with People v. O’Malley, 183 N.E.3d 928, 935-
36 (Ill. App. Ct.) (imposing burden of production and persuasion on defendant), appeal denied,
175 N.E.3d 148 (Ill. 2021); State v. W.S.B., 180 A.3d 1168, 1183 (N.J. Super. Ct. App. Div.
2018) (same); State v. Williams, 888 N.W.2d 1, 6 (Wis. Ct. App. 2016) (same). But neither
Morris nor the Commonwealth has briefed that question under Code § 18.2-251.03, nor have
they addressed the relevance of Code § 18.2-263 (stating for referenced drug offenses that “the
burden of proof of any . . . exception, excuse, proviso, or exemption shall be upon the
defendant”). The parties’ failure to brief this issue persuades us that we should not decide it
here. See Butcher, 298 Va. at 395; Logan v. Commonwealth, 47 Va. App. 168, 172 n.4 (2005)
(en banc). We therefore assume without deciding that the defendant bears the burden of proving
entitlement to immunity under Code § 18.2-251.03.
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The trial court erred in its analysis because the medical-amnesty statute imposes a
subjective standard, not an objective one. We reach that conclusion based on the “plain
meaning” of the text and the “clear purpose of the statute,” as evidenced by the text. Broadous,
67 Va. App. at 271.4
“[W]e start with the text,” Levick v. MacDougall, 294 Va. 283, 292 (2017), considering
the statute’s application to a person, like Morris, who seeks medical assistance for himself. The
statute provides immunity from arrest or prosecution for drug possession if “[s]uch individual
(i) in good faith, seeks or obtains emergency medical attention . . . for himself, if he is
experiencing an overdose.” Code § 18.2-251.03(B)(1) (emphasis added). Both terms—“good
faith” and “experiencing”—apply to the person seeking treatment. That person is entitled to
immunity if he is seeking medical attention “in good faith” because “he is experiencing” a drug
overdose.
4
The dissent would treat this issue as defaulted, claiming that Morris did not argue for a
“subjective” standard on brief. The dissent would simply hold that an objective standard
governs. In truth, however, neither Morris, nor the Commonwealth, nor the trial court used the
terms “subjective” or “objective.” We view Morris’s arguments, though at times inconsistent, as
sufficient to have preserved this issue for review. In the trial court, Morris’s counsel maintained
that “if you are thinking about committing suicide because you are having suicidal ideations,
then I think you’re in a life-threatening situation.” He added, “I think that’s enough under this
statute because they use the term life threatening . . . . I think that’s the important part because
the General Assembly is trying to get people that cause themselves to be in this kind of medical
condition to go seek the help.” On brief here, Morris argued that he “believed he was suicidal
because of his drug use.” He added that, “By expressing to the police that suicidal thoughts were
creeping into his mind because of his drug use[,] . . . he was in a ‘life-threatening’ condition as
defined by Virginia Code § 18.2-251.03.” The dissent quotes Morris’s albeit inconsistent
statement that “the query should be: under the totality of circumstances would a reasonably
prudent person believe that he was suffering from a life-threatening situation.” The dissent omits
the next sentence, that Morris “had every reason to believe that he was experiencing a ‘life-
threatening condition.’” When oral argument made the nomenclature clear to both parties,
Morris suggested that it involved both subjective and objective elements. We need not belabor
the point. His inconsistency does not force us to declare that an objective standard applies. “Our
fidelity to the uniform application of law precludes us from accepting concessions of law made
on appeal. Because the law applies to all alike, it cannot be subordinated to the private opinions
of litigants.” Logan, 47 Va. App. at 172.
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The phrase “is experiencing” reflects the personal perspective of the accused—whether
“he is experiencing an overdose.” Code § 18.2-251.03(B)(1)(i)(a) (emphasis added). In its verb
form, to experience means to “feel, suffer, undergo.” Experience, Webster’s Third New
International Dictionary (2002). “Experience indicates an actual living through something” or
knowing it “firsthand.” Id. The perspective, in other words, is from the point of view of the
person doing the “experiencing.”
The dissent tries unsuccessfully to show that is experiencing connotes an “objective”
standard. The dissent quotes Webster’s definition of experience in its noun form: a “direct
observation of or participation in events: an encountering, undergoing or living through things in
general as they take place in the course of time.” Id. Unlike the dissent, we see nothing in that
definition to show that the defendant must actually be having an overdose to experience one.
The dissent overlooks another of Webster’s noun-form definitions that thoroughly undercuts the
dissent’s argument; Webster’s also defines an experience as “something personally encountered,
undergone, or lived through.” Id. (emphasis added).
That inherently subjective viewpoint is reinforced by the requirement that the person
“experiencing” an overdose seek medical attention “in good faith.” The phrase “good faith”
comports with its usual, subjective meaning, a “state of mind consisting in . . . honesty in belief
or purpose.” Good Faith, Black’s Law Dictionary (11th ed. 2019); see also Good Faith,
Webster’s, supra (“[A] state of mind indicating honesty and lawfulness of purpose” or “belief in
one’s legal title or right”). As our Supreme Court said in the context of Virginia’s Uniform
Commercial Code, “Good faith does not encompass a concept of negligence; the test is a
subjective one” and is “determined by looking to the mind” of the person in question. Lawton v.
Walker, 231 Va. 247, 251 (1986); see also Code § 8.1A-201(b)(20) (“‘Good faith’ means
honesty in fact in the conduct or transaction concerned.”). The concept of “good faith” in the
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medical-amnesty statute likewise calls for an assessment of the mind of the person seeking
medical attention.
If the General Assembly had wanted an objective standard, it would have spoken in terms
of whether a reasonable person would perceive the symptoms as an overdose; whether the victim
was, in fact, having an overdose; or—better yet—whether the victim was “overdosing.” By
treating the phrase “is experiencing an overdose” as if it read “is overdosing,” the dissent renders
the term “experiencing” mere surplusage, “contrary to the settled rule in this Commonwealth that
every provision in or part of a statute shall be given effect if possible.” Va. Elec. & Power Co. v.
State Corp. Comm’n, 300 Va. 153, 163 (2021) (quoting Travelers Prop. Cas. Co. of Am. v. Ely,
276 Va. 339, 345 (2008)); Blackwell v. Commonwealth, 73 Va. App. 30, 50 (2021) (same).
The absence of such language in Virginia’s medical-amnesty statute is conspicuous given
that some States have expressly adopted an objective standard. Wisconsin’s amnesty statute
protects an “aider” who helps someone else seek emergency treatment for an overdose. Wis.
Stat. § 961.443. But it provides protection only if “a reasonable person would believe” the
victim to be suffering an overdose. Id.5 Colorado’s statute includes both a subjective and an
objective standard. See People v. Harrison, 465 P.3d 16, 22-23 (Colo. 2020). Similar to
Virginia’s statute, Colorado’s requires that the overdose victim (or good Samaritan) report “in
good faith” the overdose event—a “subjective standard.” Id. at 22 (citing Colo. Stat.
18-1-711(1)(a)). But unlike Virginia’s statute, and like Wisconsin’s, Colorado’s statute
5
Notably, the Wisconsin legislature adopted that objective standard in 2017, 2017 Wis.
Sess. Laws 33, after Wisconsin’s intermediate court observed in 2016 that the statute, as then
drafted, protected “an individual who aids a person he/she believes is suffering from an adverse
reaction to drugs.” Williams, 888 N.W.2d at 5. The court characterized that belief as relating
“personally to the defendant.” Id. at 6 (emphasis added). See generally Emily O’Brien, A
Willful Choice: The Ineffective and Incompassionate Application of Wisconsin’s Criminal Laws
in Combating the Opioid Crisis, 2020 Wis. L. Rev. 1065, 1079 (2020) (“An objective reasonable
person standard replaced the aider’s subjective belief that the aided person was overdosing or
suffering an adverse reaction.”).
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specifically defines an “overdose event” as “an acute condition . . . that a layperson would
reasonably believe to be a drug or alcohol overdose that requires medical assistance.” Id. at 21
(quoting Colo. Stat. 18-1-711(5)). Colorado’s Supreme Court read that phrase to “inject[] an
objective standard into the analysis.” Id. at 22.
Virginia’s statute, by contrast, lacks that reasonable-person qualifier. It is “absent from
Virginia’s statute presumably because our legislature made a policy decision not to include it.”
Broadous, 67 Va. App. at 273. Virginia is not an outlier in using a subjective standard. Several
other States employ a similar subjective standard as well.6
The dissent seizes on Florida’s statute to show that “experiencing an overdose” requires
an objective standard. Florida’s statute refers to a “person who experiences, or has a good faith
belief that he or she is experiencing, an alcohol-related or a drug-related overdose and is in need
of medical assistance.” Fla. Stat. Ann. § 893.21(2) (emphasis added). True, adding the italicized
phrase to Virginia’s statute would have reinforced that the standard is a subjective one. Had the
General Assembly done that, we likely would not be having this debate. But that begs the
question whether “experiencing an overdose” calls for a subjective or objective inquiry. And we
find the dissent’s argument unpersuasive that it is objective. Quite simply, “experiencing an
overdose” does not mean “actually having an overdose.”
Even assuming for argument’s sake that “experiencing an overdose” is susceptible of
either an objective or subjective construction, two longstanding interpretive principles would
6
E.g., Ark. Code Ann. § 20-13-1704(a)(2) (“The person is experiencing a drug overdose
and in good faith seeks medical assistance for himself or herself.”); Fla. Stat. Ann. § 893.21(2)
(“A person who experiences, or has a good faith belief that he or she is experiencing, an alcohol-
related or a drug-related overdose and is in need of medical assistance . . . .”); Ga. Code Ann.
§ 16-13-5(b) (“Any person who in good faith seeks medical assistance for a person experiencing
or believed to be experiencing a drug overdose . . . .”); N.J. Stat. Ann. § 2C:35-30(a) (“A person
who, in good faith, seeks medical assistance for someone experiencing a drug overdose . . . .”);
Tenn. Code Ann. § 63-1-156(b) (“Any person who is experiencing a drug overdose and who in
good faith seeks medical assistance . . . .”).
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require that we apply the subjective interpretation that favors defendants. First, the statute is
highly remedial and entitled to a liberal construction. Cf. Smallwood v. Commonwealth, 300 Va.
426, 435 (2022) (“Statutes that permit the trial court to impose alternatives to incarceration . . .
are highly remedial and should be liberally construed to provide trial courts valuable tools for
rehabilitation of criminals.” (alteration in original) (quoting Peyton v. Commonwealth, 268 Va.
503, 508 (2004))); Slusser v. Commonwealth, 74 Va. App. 761, 773 (2022) (same). As we said
in Broadous, the purpose of medical amnesty is to “save a life,” a value that we said was more
important than obtaining a conviction for drug possession. 67 Va. App. at 271.
And second, the rule of lenity requires that we construe any ambiguity in a statute in the
defendant’s favor, “reducing exposure to criminal liability.” Fitzgerald v. Loudoun Cnty.
Sheriff’s Office, 289 Va. 499, 508 (2015). See generally Antonin Scalia & Bryan A. Garner,
Reading Law: The Interpretation of Legal Texts 296 (2012) (Canon 49, Rule of Lenity:
“Ambiguity in a statute defining a crime or imposing a penalty should be resolved in the
defendant’s favor.”). The rule of lenity is “founded on the tenderness of the law for the rights of
individuals, and on the plain principle that the power of punishment is vested in the legislative
not in the judicial department.” United States v. Wiltberger, 18 U.S. (5 Wheat.) 76, 95 (1820)
(Opinion by Marshall, C.J.), quoted in Jennings v. Commonwealth, 109 Va. 821, 823 (1909). Put
simply, “when the government means to punish, its commands must be reasonably clear.” Scalia
& Garner, supra, at 299.7
7
The Supreme Court of Virginia has repeatedly applied this principle to resolve statutory
ambiguities in favor of criminal defendants. E.g., Blake v. Commonwealth, 288 Va. 375, 386
(2014); Thompson v. Commonwealth, 277 Va. 280, 291-92 (2009); Harris v. Commonwealth,
274 Va. 409, 415-16 (2007); Waldrop v. Commonwealth, 255 Va. 210, 214-15 (1998);
Yarborough v. Commonwealth, 247 Va. 215, 218-19 (1994); Commonwealth v. Am. Booksellers
Ass’n, Inc., 236 Va. 168, 178-79 (1988); Harward v. Commonwealth, 229 Va. 363, 366-67
(1985); Martin v. Commonwealth, 224 Va. 298, 300-01 (1982); Johnson v. Commonwealth, 211
Va. 815, 819 (1971); Berry v. City of Chesapeake, 209 Va. 525, 526-27 (1969); McKinney v.
Commonwealth, 207 Va. 239, 243 (1966); Anderson v. Commonwealth, 182 Va. 560, 565-66
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To be sure, the rule of lenity does not apply when it “would conflict with the implied or
expressed intent of [the legislature],” Kohl’s Dep’t Stores, Inc. v. Va. Dep’t of Taxation, 295 Va.
177, 188 n.8 (2018) (quoting Liparota v. United States, 471 U.S. 419, 427 (1985)), nor when it
would lead to “an unreasonably restrictive interpretation of the statute,” McGinnis v.
Commonwealth, 296 Va. 489, 504 (2018). But neither of those exceptions applies here.
To the contrary, applying an objective standard would frustrate the statute’s “clear
purpose . . . to encourage . . . prompt emergency medical treatment” for overdose victims.
Broadous, 67 Va. App. at 271. The dissent effectively insists that defendants produce expert
testimony to prove that they were, in fact, having an overdose. The dissent would require Morris
to prove through “medical evidence” that “he actually was suicidal” and that his suicidal state
“was caused by his use or consumption of drugs.” Infra at 36. Such a begrudging standard
could cause people to hesitate before seeking emergency care. It could make them ask questions
like, “Am I really overdosing?” “Would a reasonable person be overdosing if they took what I
did?” “Do I need a note from my doctor before calling 911?” The deterrent effect of an
objective standard might be worse for the good Samaritan who, while using illegal drugs
alongside an overdosing victim, would have to decide whether to risk prosecution by calling for
help when the victim is “experiencing an overdose.” See Code § 18.2-251.03(B)(1)(ii). The
good Samaritan might waver, worrying that a mistake about whether the victim is, in fact,
overdosing would trigger criminal liability for both of them.
This is not to say, of course, that persons using illegal drugs always behave as rational
actors during an overdose crisis. But it is for the General Assembly, not courts, to make such
(1944). So have we. E.g., Foley v. Commonwealth, 63 Va. App. 186, 197-99 (2014); McMillan
v. Commonwealth, 55 Va. App. 392, 401-02 (2009) (en banc); Lawson v. Commonwealth, 38
Va. App. 93, 96-97 (2002); Richardson v. Commonwealth, 25 Va. App. 491, 496 (1997) (en
banc).
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behavioral assumptions. And the premise of Virginia’s medical-amnesty statute—as we said in
Broadous—is that removing the threat of drug prosecutions will increase the provision of
medical care for overdose sufferers, thereby saving lives. 67 Va. App. at 271. The General
Assembly made an obvious “policy determination” that saving a life is more important than
prosecuting the drug-possession charge. Id. A subjective standard better advances that purpose
than an objective one.8
We are not persuaded by the Commonwealth’s claim at oral argument that a subjective
standard would make it “very difficult” if not “impossible” to rebut a defendant’s claim that he
subjectively believed he was contemplating suicide or experiencing an overdose. The
Commonwealth failed to explain why that would be. The statute forecloses the most obvious
scenario in which a subjective standard might be susceptible to abuse. Immunity is not available
if the claim for emergency medical treatment is made “during the execution of a search warrant
or during the conduct of a lawful search or a lawful arrest.” Code § 18.2-251.03(C). So a
defendant apprehended in a drug bust cannot immunize his illegal possession of drugs by
claiming to be suicidal or insisting that he needs to go the emergency room.
What is more, there are countless instances when criminal liability turns on a party’s
subjective belief or good faith, yet courts have not abandoned the subjective requirement as
somehow too hard to prove. First-degree murder requires the prosecution to prove that the
defendant committed a “willful, deliberate, and premeditated killing,” while attempted murder
requires proof of a “specific intent to kill the victim.” Secret v. Commonwealth, 296 Va. 204,
228 (2018) (quoting Commonwealth v. Herring, 288 Va. 59, 77 (2014)). Direct evidence of the
defendant’s intent is often not available but is also not required. “[I]ntent may be, and most
8
The dissent mistakenly attributes this policy judgment to judicial activism, without
citing Broadous and without acknowledging that Broadous derived the “clear” and “obvious[]”
purpose of the medical-amnesty statute from the text of the statute itself.
- 15 -
often is, proven by circumstantial evidence and the reasonable inferences to be drawn from
proven facts.” Id. (quoting Viney v. Commonwealth, 269 Va. 296, 301 (2005)); see, e.g., Bell v.
Commonwealth, 11 Va. App. 530, 533-34 (1991) (finding that circumstantial evidence supported
intent-to-kill element of attempted capital murder). Similar specific-intent requirements are
found in crimes involving intent to defraud, e.g., Sarka v. Commonwealth, 73 Va. App. 56, 67
(2021); crimes requiring proof of lascivious intent or sexual arousal, e.g., Holley v.
Commonwealth, 38 Va. App. 158, 165-66 (2002); and crimes involving an intent to threaten,
e.g., Summerlin v. Commonwealth, 37 Va. App. 288, 297-98 (2002). The Commonwealth has
failed to show that a subjective standard under the medical-amnesty statute would impose an
insurmountable obstacle to prosecutions in drug-possession cases compared to the myriad other
settings in which a subjective standard applies.
B. Suicidal ideation qualifies as an “overdose” when it is “a life-threatening
condition.”
At oral argument, the Commonwealth also maintained that an “overdose” under the
medical-amnesty statute does not include a drug-induced desire to kill oneself. The
Commonwealth argues that suicidal ideation is not within the “ordinary understanding” of the
term “overdose.”
We need not determine the ordinary meaning of “overdose,” however, because the
General Assembly specifically defined that term in the statute as “a life-threatening condition
resulting from the consumption or use of a controlled substance, alcohol, or any combination of
such substances.” Code § 18.2-251.03(A). That defined term supersedes its ordinary meaning.
Cf. Worsham v. Worsham, 74 Va. App. 151, 168 (2022) (“[T]he ordinary meaning of such terms
does not control when, as in this case, ‘it is manifest from the [instrument] itself that other
definitions are intended.” (second alteration in original) (quoting Riverside Healthcare Ass’n,
Inc. v. Forbes, 281 Va. 522, 530 (2011))).
- 16 -
Drug-induced suicidal ideation that prompts an emergency-room visit qualifies as a “life-
threatening condition” under Code § 18.2-251.03(A). A “threat” is “[a]n indication of an
approaching menace” or a “thing that might well cause harm.” Threat, Black’s, supra. If a
person who is thinking about killing himself is concerned enough to seek emergency medical
attention to avoid doing so, such suicidal thoughts pose a threat, menace, or risk of harm to that
person’s life.9
Because drug-induced suicidal ideation falls within the statutory definition, it does not
matter if the General Assembly specifically contemplated a drug user’s risk of suicide when
enacting the medical-amnesty statute. Statutes “often go beyond the principal evil to cover
reasonably comparable evils, and it is ultimately the provisions of our laws rather than the
principal concerns of our legislators by which we are governed.” Oncale v. Sundowner Offshore
Servs., Inc., 523 U.S. 75, 79 (1998). Encouraging a person with drug-induced suicidal ideation
to seek emergency medical assistance falls within the “plain language” of the statute and serves
its “clear purpose” of helping to “save a life.” Broadous, 67 Va. App. at 271.
CONCLUSION
The circuit court erred in using an objective standard to test Morris’s immunity under
Code § 18.2-251.03. We vacate Morris’s drug-possession conviction (Case No.
CR21-1545-00F) and remand this case for the trial court to conduct a new hearing on Morris’s
motion to suppress and motion to dismiss that charge, consistent with this opinion.
Vacated and remanded.
9
We do not hold that every instance in which a defendant claims to be experiencing
suicidal ideation necessarily constitutes a life-threatening condition. See dissent, infra at note 24.
Rather, the fact finder should determine based on the evidence whether the defendant who claims
medical-amnesty immunity was seeking emergency medical attention in good faith because of a
life-threatening drug- or alcohol-induced desire to kill himself.
- 17 -
Russell, J., dissenting.
Unlike the political branches who actively formulate policy and seek out the matters in
which they are engaged, the judicial function, when properly performed, is a modest one. Courts
are charged with answering only those questions necessary to resolve the cases brought to us by
the litigants as opposed to questions we wish the litigants had raised. Courts are to decide cases
on the record before them, with appellate courts limited to the argument and evidence raised in
the proceedings below. Furthermore, in determining the meaning of statutes, we are governed by
the actual words adopted by the political branches. Policy questions are the province of the
political branches, and thus, we may not “add[] language to or delet[e] language from a statute”
in the guise of interpreting that statute. Appalachian Power Co. v. State Corp. Comm’n, 284 Va.
695, 706 (2012) (citing BBF, Inc. v. Alstom Power, Inc., 274 Va. 326, 331 (2007)). Thus,
although it long has been recognized that “[i]t is emphatically the province and duty of the
judicial department to say what the law is[,]” Fitzgerald v. Loudoun Cnty. Sheriff’s Off., 289 Va.
499, 505 (2015) (quoting Marbury v. Madison, 5 U.S. (1 Cranch) 137, 177, 2 L.Ed. 60 (1803)),
proper performance of that duty requires us not to stray outside our proper role.
Unfortunately, although no doubt well-intentioned, the majority violates the judicial
norms listed above. As explained below, I believe the majority’s departures from these norms
lead the majority to an incorrect conclusion: that a defendant may invoke the protections of the
overdose statute without actually experiencing an overdose. Accordingly, for the reasons that
follow, I respectfully dissent.
I. Proper view of the evidence
The manner in which an appellate court is required to view the evidence on appeal is well
established. We are required to view the evidence adduced below “in the light most favorable to
the Commonwealth, the prevailing party below.” Beck v. Commonwealth, 66 Va. App. 259, 262
- 18 -
(2016) (quoting Smallwood v. Commonwealth, 278 Va. 625, 629 (2009)). Applying this
principle requires us to grant the Commonwealth any reasonable inferences that may be drawn
from such a view of the evidence. Id.
This view of the evidence governs even if most or all of the evidence is presented to the
trial court by way of stipulation instead of by way of testimony. Accordingly, if a stipulated fact
is susceptible to multiple interpretations, we are required to adopt the interpretation “most
favorable to the Commonwealth, the prevailing party below.” Id. Similarly, the Commonwealth
is entitled to any reasonable inferences that flow from that interpretation. Id. Accordingly, in
my dissent, I view the evidence through that lens.
The majority suggests that this fundamental rule of appellate review might not apply in
this case. See supra note 1, at p. 4. In support of its novel proposition, the majority first cites
Massenburg v. City of Petersburg, 298 Va. 212, 216-17 (2019), a civil case involving whether
litigants are entitled to a jury trial on a plea in bar. It has no relevance here as no one contends
that a jury was required to resolve the issue before the trial court.
Next, the majority cites to Farmer’s Ins. Exchange v. Enterprise Leasing Co., 281 Va.
612, 617 (2011), a civil case involving a motion for summary judgment in a dispute over a rental
car contract, for the unremarkable proposition that, in summary judgment proceedings involving
undisputed facts, an appellate court “review[s] de novo the circuit court’s application of the law
to the undisputed facts.” Setting aside that summary judgment in Virginia is a unique animal
that rarely has application outside of the summary judgment context, the case provides no
instruction for when, as here, facts are in dispute.
The parties below stipulated that Morris stated on the night in question both that he was
suicidal and that he believed his suicidal ideation was caused by his drug use. There was no
stipulation that he was in fact suicidal or that, assuming he was suicidal, any suicidal ideation
- 19 -
actually was caused by his use or consumption of drugs. To the contrary, the Commonwealth
has always disputed these assertions of fact, and the trial court specifically found that Morris
failed to establish that any suicidal thoughts were caused by his use or consumption of drugs.10
Because this conclusion is supported by the record, we are bound by it and the inferences that
flow from it. The fact that we review legal questions de novo does not change that no matter
how much the majority wishes it were otherwise.
II. The majority’s reversal is improperly based on
an argument that Morris did not make and has rejected.
Before turning to the errors in the majority’s construction of the statute, I note that the
majority’s resolution, that the statute adopts a purely subjective standard, would be improper in
this case even if it were correct.11 In adopting that construction, the majority must ignore or
misstate portions of the record in this case and sua sponte advances an argument that even
Morris rejected. Thus, not only does the majority have to ignore the requirement of a
contemporaneous objection in the trial court and the requirement of assigning error to a judgment
of the trial court to reach its desired conclusion, it has to reject the arguments of the parties and
decide the matter on an argument that it alone crafted and champions. As noted above, the
proper role of an appellate court is to decide the cases brought to it by the litigants based on the
arguments and record made by the litigants. The crafting of appellate arguments is a function for
lawyers, not courts, and the majority’s doing so here simply is improper.12
10
To the extent that the stipulated evidence does not establish all of the facts necessary
for Morris to prevail, the majority, having concluded that Morris bore the evidentiary burden, is
duty-bound to affirm his conviction. After all, it is axiomatic that, in the absence of necessary
evidence, the party with the evidentiary burden loses.
11
As explained in detail below, it is not correct.
12
I recognize that we review questions of statutory interpretation de novo. That standard
does not give us license to craft our own arguments or address arguments neither raised nor
- 20 -
In the proceedings below, neither Morris nor the Commonwealth argued anything other
than that Code § 18.2-251.03 employs an objective standard.13 Given that agreement, it is
unsurprising that, as the majority notes, “[t]he parties agreed at oral argument [in this Court] that
the trial court used an objective standard in applying Code § 18.2-251.03.”
Morris did not object to the trial court’s application of an objective standard, precluding
our reversing the trial court for that reason. Rule 5A:18 (providing that “[n]o ruling of the trial
court . . . will be considered as a basis for reversal unless an objection was stated with reasonable
certainty at the time of the ruling”); Farnsworth v. Commonwealth, 43 Va. App. 490, 500 (2004)
(“Pursuant to Rule 5A:18, this Court ‘will not consider an argument on appeal [that] was not
presented to the trial court.’” (quoting Ohree v. Commonwealth, 26 Va. App. 299, 308 (1998))),
aff’d, 270 Va. 1 (2005). Furthermore, likely because he agreed with the trial court, Morris did
not assign error to the trial court’s use of an objective standard, which also precludes us from
reversing the trial court for doing so. Delp v. Commonwealth, 72 Va. App. 227, 236 n.7 (2020)
(holding that “[w]e are ‘limited to reviewing the assignments of error presented by the litigant’”
(quoting Banks v. Commonwealth, 67 Va. App. 273, 289 (2017))); see also Winston v.
Commonwealth, 51 Va. App. 74, 82 n.4 (2007) (holding that because an appellant did not include
preserved by the litigants. Rather, it applies to the questions of statutory construction properly
raised, preserved, and consistently maintained by the litigants.
13
In addressing the failure of Morris to make any explicit argument that the statute
adopted a purely subjective standard, the majority asserts that certain arguments by Morris in the
trial court implicitly set out the argument. See supra note 4, at p. 9. Even absent context, it is a
creative reading of Morris’ position; with context, it conflates Morris’ answer to the question
with what the question is. In context, Morris’ statement that “if you are thinking about
committing suicide because you are having suicidal ideations, then I think you’re in a
life-threatening situation” is nothing more than his pointing to the evidence he believes
established that an objectively reasonable person would believe he was in a life-threatening
situation when he sought medical care. Any doubt that this was Morris’ meaning is extinguished
by a review of the argument he made in this Court that I discuss below.
- 21 -
an argument in his questions presented (now assignments of error), the Court would not address
it on appeal).
Compounding the impropriety of the majority reversing the decision of a trial court on
the basis of an objection never made and an alleged error never assigned is the fact that, in his
brief on appeal, Morris rejected the construction of the statute championed by the majority. As
he had from the outset of the case, Morris maintained on appeal that an objective standard
governs Code § 18.2-251.03, writing on brief that:
Morris submits that when determining whether a person is
having a “life-threatening” condition that the query should be:
under the totality of circumstances would a reasonably prudent
person believe that he was suffering from a life-threatening
situation.
(Emphasis added).
Generations of lawyers and even law students recognize that reference to the actions of
the “reasonably prudent person” signals an objective test. Certainly, that has been the consistent
position of Virginia’s appellate courts. See, e.g., Allison v. Brown, 293 Va. 617, 629 n.5 (2017)
(defining “an objective standard” as what “a reasonably prudent person” would have done); Va.
Elec. & Power Co. v. Dungee, 258 Va. 235, 252 (1999) (recognizing that “the objective test is
normally stated simply in terms of the reasonably prudent person”); A.H. v. Rockingham Pub.
Co., 255 Va. 216, 223 (1998) (stating that “duties are premised upon the objective concept of
what a reasonably prudent person in the exercise of reasonable care would have done in similar
circumstances”); Christian v. Commonwealth, 33 Va. App. 704, 712 (2000) (noting that “the
objective test for reasonable suspicion . . . ‘is whether the reasonably prudent man in the
circumstances would be warranted in the belief’” (quoting Terry v. Ohio, 392 U.S. 1, 27
(1968))); Wechsler v. Commonwealth, 20 Va. App. 162, 169-70 (1995) (recognizing that the
“objective standard” regarding whether a person is seized for purposes of the Fourth Amendment
- 22 -
turns on whether a reasonable person would have felt free to leave under the circumstances). It
is telling that the majority has failed to identify a single case in which the reasonably prudent
person standard was read as creating a subjective test.14
Not only does the majority fail to cite a case for this proposition, but the majority itself
also rejects the proposition when it is not attempting to create out of whole cloth an argument
never advanced by Morris. Specifically, in discussing the laws of other states, the majority
recognizes the fundamental principle that “reasonable person” language signals an objective test,
writing: “If the General Assembly had wanted an objective standard, it would have spoken in
terms of whether a reasonable person would perceive the symptoms as an overdose.” Supra, at
p. 11 (emphasis added).
Although at this point there should be no doubt that the majority’s subjective-standard
position is an argument it and not Morris has raised, oral argument in this Court further
demonstrates the point. When asked questions at oral argument that suggested the majority
wished to adopt a subjective standard, Morris steadfastly and resolutely continued to maintain
what his argument always has been: that the statute imposes an objective standard and that he
met it. In what charitably could be described as understatement and less charitably as
misleading, the majority characterizes the exchange as “[w]hen oral argument made the
nomenclature clear to both parties, Morris suggested that it involved both subjective and
objective elements.” The actual words that Morris used are more telling and invalidate the
position (and characterization) advanced by the majority.
14
Unable to address Morris’ reasonable person language choice directly, the majority
again offers snippets from his brief in which Morris references his subjective belief that he was
suicidal as a result of consuming drugs. Once again, this conflates the evidence Morris offers to
answer what he recognized was an objective question with the question itself.
- 23 -
Specifically, when essentially asked by the majority to agree that the statute utilizes a
subjective standard, Morris responded that his “argument is that his subjective view is one of the
facts that the [trial] court should take into account in determining the objective view.” Clearly,
as he has maintained from the beginning, Morris’ position is that his subjective beliefs are
evidence that the trial court had to consider in answering the objective question of whether he
was entitled to the protections of the statute. Simply put, the record makes clear that neither
Morris nor anyone else other than the majority has ever taken a different position in this case.
Thus, the machinations of the majority to recast the argument to one it wishes had been made are
unavailing.
What is more, they are improper. To answer a question that we are not asked and that is
not properly before the Court is to offer “an impermissible advisory opinion.” Va. Mfrs. Ass’n v.
Northam, 74 Va. App. 1, 21 (2021). The judiciary has a “duty ‘not to give opinions upon moot
questions or abstract propositions, or to declare principles or rules of law which cannot affect the
matter in issue in the case before it.’” Va. Dep’t of State Police v. Elliott, 48 Va. App. 551, 554
(2006) (quoting Hankins v. Town of Virginia Beach, 182 Va. 642, 644 (1944)).
The rationale for this long-held principle is readily apparent. Courts convene to decide
cases and controversies that are brought before them by litigants; courts do not choose the issues
they decide. Thus, even if there are questions of statutory construction that are interesting, we do
not answer those questions unless and until they are necessary to resolve the dispute brought to
us by the litigants.15 I now turn to the proper interpretation of Code § 18.2-251.03 as framed by
15
Faced with the fact that in both his brief and at oral argument in this Court, Morris not
only failed to advance, but rejected, the majority’s subjective standard construction of the statute,
the majority, citing our decision in Logan v. Commonwealth, 47 Va. App. 168, 172 (2005) (en
banc), characterized Morris’ statements on brief and at argument as non-binding concessions of
law by a party. In doing so, the majority improperly conflates a concession of law with a failure
to preserve an argument or a waiver/abandonment of an argument that was at one time preserved.
Moreover, there is no question that the majority knows that it is improperly conflating the two
- 24 -
the record in this case and the actual arguments of the parties, i.e., what Morris was required to
show to avail himself of the statute’s protection and whether the trial court erred in finding he
failed to meet his burden.
III. Code § 18.2-251.03
As the majority notes, Code § 18.2-251.03 shields a person from prosecution for
specified drug offenses if certain statutory requirements are satisfied. As pertinent here, the
statute provides that Morris was not “subject to arrest or prosecution for . . . possession of a
controlled substance pursuant to § 18.2-250 . . . if . . . [he] in good faith, s[ought] or obtain[ed]
emergency medical attention . . . for himself, if he is experiencing an overdose[.]”
Code § 18.2-251.03(B)(1)(i) (emphasis added). In short, to claim the protections of the overdose
statute, a person must, in fact, be suffering an overdose.
Despite this clear language, the majority concludes that Morris could be entitled to the
protections of the statute even if he was not “experiencing an overdose[,]” Code
§ 18.2-251.03(B)(1)(i), so long as he subjectively believed that he was or possibly might have
been. For the reasons that follow, this position cannot be reconciled with the text of the statute,
and therefore, occasions my dissent.
because we drew the distinction on the very page of Logan cited by the majority and, in footnote
3 of its opinion in this case, supra, at p. 8, the majority cites the very passage from Logan that
draws the distinction. In Logan, we expressly recognized that
This principle must be distinguished, however, from an appellant’s
concession of law that qualifies either as a waiver for purposes of
Rule 5A:18 or as an express withdrawal of an appellate challenge
to a trial court judgment. In either scenario, we may accept the
concession—not as a basis for deciding the contested issue of law,
but as a basis for not deciding it.
47 Va. App. at 172 n.4. The distinction is critical here because the initial issue this Court must
determine is whether the question is properly before us, not whether the statement is correct
should the matter be properly before us. The fact that the majority chooses to conflate the issues
despite being well aware of the distinction speaks volumes.
- 25 -
A. Definition of “overdose”
Although “overdose” is a common term with a known meaning, the General Assembly
provided a specific statutory definition of “overdose” in Code § 18.2-251.03. Virginia courts
long have recognized that, when the General Assembly provides a statutory definition, that
definition controls over the common or ordinary understanding of the word or phrase. See, e.g.,
Frias v. Commonwealth, 34 Va. App. 193, 200 (2000) (citing Life & Cas. Ins. Co. of Tennessee
v. Unemployment Comp. Comm’n of Virginia, 178 Va. 46, 57 (1941)). Accordingly, the
statutory definition of “overdose” governs our review.
For the purpose of Code § 18.2-251.03, the General Assembly defined “overdose” to
mean “a life-threatening condition resulting from the consumption or use of a controlled
substance, alcohol, or any combination of such substances.” Code § 18.2-251.03(A). Thus, for
the protection afforded by Code § 18.2-251.03 to apply, it had to be established that Morris,
when he sought medical attention, “[wa]s experiencing” “a life-threatening condition resulting
from the consumption or use of a controlled substance, alcohol, or any combination of such
substances.” Code § 18.2-251.03. Accordingly, I turn to the meaning of “is experiencing” as
used in Code § 18.2-251.03.
B. Definition of “is experiencing”
Unlike with “overdose,” the General Assembly did not provide a statutory definition of
“is experiencing” in Code § 18.2-251.03. Consequently, we apply the plain and ordinary
meaning of the words. See Hubbard v. Henrico Ltd. P’ship, 255 Va. 335, 340 (1998) (holding
that if “a statute contains no express definition of a term, the general rule of statutory
construction is to infer the legislature’s intent from the plain meaning of the language used”
(citing City of Va. Beach v. Flippen, 251 Va. 358, 362 (1996); Marsh v. City of Richmond, 234
Va. 4, 11 (1987))); see also Moyer v. Commonwealth, 33 Va. App. 8, 35 (2000) (en banc)
- 26 -
(holding that “when a particular word in a statute is not defined therein, a court must give it its
ordinary meaning” (citing McKeon v. Commonwealth, 211 Va. 24, 27 (1970))). In ascertaining
the plain and ordinary meaning of such undefined words and phrases, it is appropriate for courts
to turn to dictionary definitions. Eberhardt v. Commonwealth, 74 Va. App. 23, 32 (2021) (citing
Jones v. Commonwealth, 296 Va. 412, 415 (2018); Mollenhauer v. Commonwealth, 73 Va. App.
318, 335 (2021)).
The plain and ordinary meaning of the word “is” should be sufficiently familiar as to
obviate the need for explanation; however, the majority’s interpretation of the statute suggests
otherwise. “Is,” a form of the verb “to be,” conveys a state of current reality, as opposed to past,
future, potential, or conditional existence. In its various forms, its meanings include “that which
is factual, empirical, [or] actually the case[.]” Webster’s Third New International Dictionary
1197 (1981). Adopting the plain and ordinary meaning of “is” leads to the conclusion that the
General Assembly intended that whatever fact or condition follows “is” actually existed at the
time in question (as opposed to in the past or that may have come to be in the future) and was not
merely possible, theoretical, or imagined.16
I now turn to the word following “is” in the statute, “experiencing,” a form of the word
“experience.” As used in Code § 18.2-251.03, it conveys “a direct observation of or
participation in events; an encountering, undergoing, or living through things in general as they
take place in the course of time[.]” Webster’s, supra, at 800. Applying this plain and ordinary
meaning of “experiencing,” leads to the conclusion that, to be entitled to the protections of Code
§ 18.2-251.03, Morris had to be undergoing or living through an “overdose,” that is he had to be
16
It is telling that the majority does not address the fact that the word “is” connotes “that
which is factual, empirical, [or] actually the case” and not what may appear to be the case.
Acknowledging this fact would make clear that the majority’s construction of the statute is
erroneous, so the majority apparently concludes it is just best to ignore it.
- 27 -
facing “a life-threatening condition resulting from the consumption or use of a controlled
substance, alcohol, or any combination of such substances.”
Recognizing that this common understanding of what it means to experience something is
fatal to its preferred result, the majority digs deeper into the dictionary, citing alternative
definitions of “experience” to mean “something personally encountered, undergone, or lived
through.” The majority asserts that these alternative definitions “thoroughly undercut[]” the
notion that the statute is objective. A moment’s reflection reveals that not only is the majority’s
assertion overwrought, but it simply is also incorrect.
Adopting these alternative definitions of experience does not alter the outcome. Whether
the statute reads “is experiencing an overdose[,]” “is personally encountering an overdose,” “is
undergoing an overdose[,]” or “is living through an overdose[,]” the condition that must be
experienced, personally encountered, undergone, or lived through is “an overdose,” not “an
imagined overdose” or a “subjectively held belief that he was experiencing an overdose when he
was not.”17
Whether Morris or any defendant “is experiencing” “a life-threatening condition resulting
from the consumption or use of a controlled substance, alcohol, or any combination of such
substances” at the time he seeks or obtains medical treatment is a question of objective fact.18
Either the person is, at that moment, faced with a life-threatening situation caused by the
17
Throughout its opinion, the majority asserts that the focus of this particular portion of
the statute is on the individual seeking its protection. I wholeheartedly agree that the focus of
Code § 18.2-251.03(B)(1)(i) is on the defendant as opposed to the world writ large. The
question is whether a defendant establishes that he was “experiencing an overdose[,]” not
whether someone else was. Thus, just like the majority, my focus is on the individual claiming
protection under the statute.
18
Because it presents a question of objective fact as opposed to belief, a court properly
applying the statute is not asked to determine either what the defendant subjectively believed or
what the hypothetical reasonable man would have believed. Rather, the question is whether
there is, in fact, an overdose as defined in the statute.
- 28 -
consumption or use of controlled substances/alcohol or he is not. The words chosen by the
General Assembly require that there actually be an overdose.19 In short, to claim the protection
of the overdose statute, a defendant actually must be “experiencing an overdose.”
Code § 18.2-251.03(B)(1)(i). To hold otherwise ignores the plain meaning of the pertinent
words that appear in the statute.
IV. The majority’s erroneous adoption of a subjective standard
Despite the plain and ordinary meaning of “is experiencing an overdose[,]” the majority
maintains that the protections of the overdose statute do not require an actual overdose. The
majority concludes that even if, as a matter of objective, medical fact, the evidence establishes
that a defendant was not facing (and thus did not experience) “a life-threatening condition
resulting from the consumption or use of a controlled substance, alcohol, or any combination of
such substances” at the time he sought or obtained medical treatment, he can claim the
protections of the statute so long as he believes that he may have been or was. In adopting the
subjective standard, the majority effectively reads out of the statute the express requirement that
a defendant be “experiencing an overdose[,]” Code § 18.2-251.03(B)(1)(i), and effectively
replaces it with “believes or imagines that he is or may be experiencing an overdose.”
This effective rewriting of the statute is outside the proper role of the judiciary because it
amounts to legislating from the bench. The Supreme Court recently reiterated that such judicial
editing of statutes is impermissible, noting that “[c]ourts are not permitted to rewrite statutes.
19
An example of the plain and ordinary meaning of “experiencing” in another medical
context makes this clear beyond all doubt. Assume a person is having severe chest pains and
goes to the emergency room because he subjectively believes he is having a heart attack. The
work-up that follows demonstrates no heart attack or cardiac condition whatsoever, but rather,
conclusively establishes that the chest pain was caused by indigestion. I do not believe anyone,
including the majority, would say that the person “was experiencing a heart attack” when he
sought treatment. To the extent that the majority, or anyone else, would use that formulation,
they would not be attempting to clearly communicate information based on the plain and
ordinary meaning of “experiencing,” but would do so in pursuit of some other agenda.
- 29 -
This is a legislative function. The manifest intention of the legislature, clearly disclosed by its
language, must be applied.” Chesapeake Hosp. Auth. v. State Health Comm’r, ___ Va. ___, ___
(May 19, 2022) (quoting Anderson v. Commonwealth, 182 Va. 560, 566 (1944)).
The majority claims it is doing no such thing and offers a multitude of reasons why its
preferred construction, that the statute is satisfied by an imagined overdose, is consistent with the
statutory language or, at the very least, the statute’s purpose as perceived by the majority.
Although I address specific infirmities in some of these reasons below, it is important to
recognize that the majority’s construction fails for the simplest of reasons: the plain and
ordinary meaning of the phrase “is experiencing an overdose” requires that a defendant actually
experience an overdose. Because any effort to hold that the overdose statute does not require an
overdose negates the plain meaning of the phrase, it is in error no matter how well written or
presented.20
A. The “good faith” red herring
Although unnecessary to properly interpret the phrase “is experiencing an overdose[,]”
the majority offers its definition of “good faith” as it is used in Code § 18.2-251.03. Citing both
a dictionary and a Supreme Court decision interpreting the U.C.C., the majority concludes that
“good faith” conveys a “subjective meaning” and thus, “calls for an assessment of the mind of
the person” whose good faith is in question. Supra, at pp. 10-11. Although this may be a
reasonable definition of “good faith,” it is largely beside the point because, given its placement
20
The majority refers to the statute as the “medical-amnesty statute” while I, on occasion,
refer to it as the “overdose statute.” I do so because the text of the statute requires that there be
an overdose. Presumably, the majority avoids such a characterization of the statute because
“medical-amnesty” sounds nicer and the majority’s construction of the statute removes the
requirement of an overdose from the statute.
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in Code § 18.2-251.03, the phrase “good faith” does not modify “is experiencing an overdose[,]”
which is the issue in this case.21
As noted above, Code § 18.2-251.03 provides that an individual is “not subject to
prosecution” for certain drug offenses if he can meet certain statutory requirements. Among
those requirements is that “[s]uch individual (i) in good faith, seeks or obtains emergency
medical attention (a) for himself, if he is experiencing an overdose[.]” Applying ordinary rules
of English usage and grammar, it is clear that “good faith” modifies “seeks or obtains emergency
medical attention” but not “is experiencing an overdose.” After all, “good faith” appears next to
“emergency medical attention,” but is separated from “is experiencing” by many words, multiple
punctuation marks, and, importantly, the conditional introductory word “if,” rendering “he is
experiencing an overdose” a separate and distinct clause from that which preceded it.
Thus, this portion of the statute sets out two, distinct requirements. First, the individual
must seek or obtain medical care in “good faith,” that is the motivation to seek medical care was
to receive medical care as opposed to some other reason, such as avoiding prosecution. Second,
he must be “experiencing an overdose,” which, as noted above, is a question of objective fact
that does not turn on an individual’s belief. If the General Assembly had intended to engraft a
subjective, good faith component onto the overdose requirement, it easily could have done so,
e.g., “[s]uch individual (i) in good faith, seeks or obtains emergency medical attention (a) for
himself, if he in good faith believes he is experiencing an overdose.” Courts must respect the
21
Because “good faith” does not modify “is experiencing an overdose” in
Code § 18.2-251.03, the majority’s discussion of the meaning of “good faith” represents another
instance of the majority addressing an issue not before us in this appeal. The trial court did not
find that Morris failed to establish that he sought emergency medical treatment in good faith;
rather, it found he failed to establish that he was “experiencing an overdose” as required by the
statute. In both the trial court and on appeal, the Commonwealth has not argued an absence of
“good faith,” but rather, consistently has argued that Morris was not “experiencing an overdose.”
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choice of the General Assembly not to do so, and therefore, the majority errs by failing to respect
that choice.
B. The majority’s selective misuse of the law of other states
The majority affords significant attention to reviewing the enactment of similar statutes in
other states and claiming that those statutes and the courts that have interpreted them
demonstrate that the General Assembly adopted a subjective standard when it enacted the “is
experiencing an overdose” language in 2015. For the reasons that follow, the laws of other states
compel no such conclusion and, in fact, an evenhanded application of the reasoning employed by
the majority would support equally the conclusion that the laws of other states demonstrate that
Virginia rejected a subjective standard.
At the outset, it is important to remember that when interpreting a Virginia statute, we
seek to discern the Virginia General Assembly’s meaning in enacting a statute, Williams v.
Commonwealth, 265 Va. 268, 271 (2003), not the meaning or intention of another legislative
body when it enacted a different statute. Thus, although reviewing such out-of-state authority
may be helpful in limited instances, the interpretation of statutes (or court decisions interpreting
those statutes) on the same topic from other states is at most persuasive and never controlling.
Furthermore, the persuasive effect of out-of-state authority is diminished when the out-of-state
statutes contain different words, as we are charged with determining the General Assembly’s
meaning from the words it adopted not from the word choices made by other legislatures.
Because there often will be potentially dispositive differences in the language in the
statutes of various states, the possibility arises that a court relying on out-of-state authority will
find persuasive those examples that suggest a preferred result rather than other examples which
do not. Unfortunately, the majority opinion demonstrates such inconsistent selection of
out-of-state authority.
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The majority, citing Wisconsin and Colorado as examples, asserts that states employing
an objective standard have included language limiting the protections of the statute if “a
reasonable person would believe” or situations in which “a layperson would reasonably believe
to be a drug or alcohol overdose[.]” Supra, at pp. 11-12 (citations omitted). From this, the
majority reasons that the absence of such “reasonable person” language in Code § 18.2-251.03
means that the General Assembly rejects the objective approach adopted by Wisconsin and
Colorado, and therefore, employs a subjective approach like other states identified by the
majority. Id. at 10.
The majority identifies several states, including Florida, as states that have adopted the
subjective standard. Id. at 12, note 6. A review of the language of the Florida statute eviscerates
the majority’s argument regarding the absence of “reasonable person” language in the Virginia
statute. Florida employs the subjective standard not because its statute does not include
“reasonable person” language, but because its legislature included express language adopting a
subjective standard: the Florida statute insulates from prosecution a defendant “who
experiences, or has a good faith belief that he or she is experiencing, an alcohol-related or a
drug-related overdose and is in need of medical assistance[.]” Fla. Stat. Ann. § 893.21(2)
(emphasis added). Thus, had the majority compared Virginia’s statute to Florida’s (as opposed
to Wisconsin’s and Colorado’s) and applied its absence-of-language test, it necessarily would
conclude that Virginia rejects a subjective standard because Virginia did not include the
language “has a good faith belief that he or she is experiencing” an overdose that Florida, an
acknowledged subjective-standard state, includes in its statute.
I point this out not to say that the majority should have compared the Virginia statute to
the language of the Florida statute as opposed to the statutes in Wisconsin and Colorado, but
rather, to demonstrate the limited utility of such comparisons to out-of-state authority. It should
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go without saying that Code § 18.2-251.03 does not mean one thing if a panel of this Court
compares it to a statute from Florida and the opposite if we instead opt to compare it to a statute
from Colorado.22 That the majority’s approach logically leads to that result indicates a problem
in the approach, not simply its application. Code § 18.2-251.03 has meaning independent of the
actions of legislatures in Florida, Colorado, and every other state, and we are tasked with
determining that independent meaning.
C. Canons of construction
The majority attempts to buttress its position by referencing various canons of statutory
construction. Specifically, it asserts that remedial statutes are to be liberally construed and that
criminal statutes are subject to the rule of lenity. The majority’s resort to these rules of
construction is inappropriate in this case.
As I have noted from the outset, our task is to determine “the plain meaning of
unambiguous statutory language[.]” Gunn v. Commonwealth, 272 Va. 580, 587 (2006). Resort
to other canons of construction, such as the rule of lenity, is inappropriate in the absence of
actual ambiguity. See, e.g., Holsapple v. Commonwealth, 266 Va. 593, 598 (2003) (“We do not
agree that the statutory language is ambiguous. Hence, we construe the language according to its
plain meaning without resort to rules of statutory interpretation.”); De’Armond v.
Commonwealth, 51 Va. App. 26, 34 (2007) (“Only when a ‘penal statute is unclear’ do courts
apply the rule of lenity and strictly construe the statute in the criminal defendant’s favor.”
(quoting Waldrop v. Commonwealth, 255 Va. 210, 214 (1998))).
22
To the extent that such comparisons are useful, the statutes of Florida, Wisconsin, and
Colorado all include language about a belief, whether objective or subjective, that a person is
experiencing an overdose. The Virginia statute does not reference belief, leading to the
conclusion that it requires an actual overdose as a matter of objective fact. See supra, note 18.
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There simply is no legitimate ambiguity in the meaning of the phrase “is experiencing an
overdose.” Certainly, the language unambiguously requires “an overdose.” To hold otherwise
simply cannot be reconciled with the plain and ordinary meaning of the words chosen by the
General Assembly.
D. Judicial “editing”
The majority asserts that my construction of the statute effectively seeks to edit its
language. Specifically, the majority asserts without support that “[b]y treating the phrase ‘is
experiencing an overdose’ as if it read ‘is overdosing,’ the dissent renders the term
‘experiencing’ mere surplusage,” supra, at p. 11. This simply is not accurate.
As noted above, my interpretation of the statute considers and gives meaning to all of the
words “is experiencing an overdose” with the same result obtaining even if experiencing is held
to fall within the dictionary definitions the majority suggests would be appropriate, “is personally
encountering an overdose[,]” “is undergoing an overdose[,]” or “is living through an
overdose[.]” Tellingly, to falsely accuse me of effectively excising “experiencing” from the
statute, the majority does not simply remove “experiencing” from the statutory text, but rather,
engages in additional judicial editing of the text, removing the article “an” and replacing
“overdose” with “overdosing.” No such editing is required by my construction, further
demonstrating that the majority’s charge is without merit.23
V. Proper application by the trial court
Under both the majority’s construction and how the parties presented the issue to the trial
court, it was Morris’ burden to convince the trial court that his claimed suicidal thoughts
represented “a life-threatening condition resulting from the consumption or use of a controlled
23
That the majority charges me with such judicial editing is, at the very least, ironic
given that it is the majority whose construction of the statute edits the statutory text to add the
words “or subjectively believes he is experiencing an overdose even if he is not” to the statute.
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substance, alcohol, or any combination of such substances.” Code § 18.2-251.03(A). With a
proper understanding of what the statute requires, the trial court reasonably concluded that the
evidence did not establish that Morris was “experiencing an overdose” when he sought medical
care.
One of the bases for the trial court reaching this conclusion was that Morris failed to
convince the trial court that his suicidal thoughts, such as they were, actually were caused by his
“consumption or use” of a controlled substance. Although the stipulated evidence established
that Morris claimed to be suicidal when he sought medical treatment and that he claimed that he
believed it was due to “drug use,” the stipulated evidence left open the question of whether he
actually was suicidal and whether any such suicidal state was caused by his use or consumption
of drugs.
Certainly nothing in the evidence compels the conclusion that Morris’ asserted suicidal
thoughts were caused by his use of cocaine that evening. No medical evidence was offered to
establish such a causal link. In fact, no evidence was offered to suggest that the drug use Morris
admitted to engaging in causes suicide or even is associated with it. The only evidence offered
on the question of causation was Morris’ statement that he believed that was the cause. Because
a reasonable factfinder reviewing the evidence could remain unconvinced on causation, the trial
court did not err in concluding that Morris had failed to establish he was suffering from an
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overdose on the night in question.24 Accordingly, we should affirm the judgment of the trial
court, and the majority’s conclusion otherwise elicits my respectful dissent.
24
Although the trial court’s causation finding was sufficient to dispose of the case, it also
questioned whether Morris’ claims of suicidal thoughts represented a “life-threatening
condition[.]” Code § 18.2-251.03(A). Although I agree with the majority that there may be
circumstances where suicidal thoughts may represent a sufficient threat to life to qualify as an
“overdose” for the purpose of Code § 18.2-251.03(A), I disagree that such thoughts alone meet
that standard. For example, there may be situations in which a reasonable factfinder could
conclude that mere suicidal thoughts without a plan or available means of effectuating those
thoughts do not constitute a “life-threatening condition.” In short, whether suicidal thoughts are
sufficiently life-threatening represents a question of fact for the factfinder and is not a question
of law for us to resolve without reference to the facts and circumstances of specific cases.
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