dissenting:
Relying on Ledfors v. Emery County School District, 849 P.2d 1162 (Utah 1993), and its progeny, the majority holds that section 63-30-10 of the Utah Code applies to acts of nongovernment employees. Having reexamined the rationale in that case as well as looking at the legislative history of the statute, I conclude that it was wrongly decided, and I would overrule it.
In Ledfors, this court interpreted Utah Code Ann. § 63-^30 — 10(1) (b) (1989) as immunizing governmental negligence when the injuries allegedly caused by that negligence “arose out' of’ an assault or battery committed either by a state employee or by any third party. 849 P.2d at 1166. This court reasoned:
The determinant of immunity is the type of conduct that produces the injury, not the status of the intentional tort-feasor whose conduct is the immediate cause of the injury. Indeed, our prior cases have never recognized the distinction ...; instead, we have always looked only'at the cause of the injuries, not at the status of the injurer.
Id. (citing Hilton v. Borthick, 791 P.2d 504, 505 (Utah 1989); Gillman v. Department of Fin. Insts., 782 P.2d 506, 510-12 (Utah 1989); Connell v. Tooele City, 572 P.2d 697, 698-99 (Utah 1977); Epting v. State, 546 P.2d 242, 244 (Utah 1976)). What the Ledfors court failed to note, however, was that Ledfors was in fact the first case in this state to apply section 63-30-10(l)(b) when a private individual committed the assault and battery.1 Hence, there was no reason for the court to be constrained by prior case law on this point, and we were mistaken when we implied otherwise.
In Ledfors, this court first observed that the language of section 63-30-10(l)(b) plainly retained immunity for governmental entities where a government employee committed an assault or battery:
We applied the plain language of this sub-part in Maddocks v. Salt Lake City Corp., 740 P.2d 1337 (Utah 1987), to bar a suit in which the plaintiff alleged that he was wrongfully arrested by three Salt Lake City police officers, one of whom unlawfully beat him while the others negligently failed to intervene. In that case, we held that the “plaintiffs negligence claim arises out of battery and false imprisonment and is therefore not the sort of claim for which immunity has been waived.”
849 P.2d at 1165. Without further analysis or explanation, however, the Ledfors court stated that “[b]y analogy,” immunity is also preserved where the assault or battery is committed by a private individual. Id. at 1166. However, nowhere in section 63-30-10(l)(b) does the statute explicitly indicate that it applies to the assault or battery by third parties who are not state officials. In effect, the court ignored the differences between government employees and private individuals, thereby broadening the Governmental Immunity Act to retain immunity for actions committed by an entirely different class of actors. Moreover, the Ledfors court, in reaching its decision, failed to conduct an independent analysis of the statute’s language in the context of’nongovernment employees and failed to examine the legislative intent.
Section 63-30-10(l)(b) provides:
Immunity from suit of all governmental entities is waived for injury proximately caused by a negligent act or omission of an employee committed within the scope of employment except if the injury:
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(b) arises out of assault ... [.]
(Emphasis added.)2 This section plainly waives immunity for governmental entities if their employees proximately cause injuries through a negligent act or omission. The section, however, makes an exception where the “injury proximately caused” by the employee “arises out of’ an assault or battery. The majority properly adopts a very broad meaning of the phrase “arises out of,” concluding that “arises out of’ is as broad as “some” causal link.
This interpretation, however, compels the conclusion that the exception applies only to an assault or battery committed by a state official or government employee. If the “arises out of’ language applies to any private individual, its very breadth could lead to absurd and unfair results. For instance, would the District be immune if Zachary Taylor, after being pushed, had fled 300 yards onto a negligently supervised school archery range and been subsequently pierced by an arrow? Certainly, there would still be “some” causal relationship between the assault and the injury. The more reasonable conclusion is that the legislature wanted to immunize the state from liability for the intentional torts of its employees and used broad language to achieve this goal.
The majority supports its contrary interpretation with a structural argument, stating that the subsections of section 63-30-10 “undoubtedly encompass conduct of those not affiliated with the government.” While this is true with respect to three subsections, subsections (l)(g), (l)(j), and (l)(k),3 the remaining subsections are distinct and could reasonably apply only to the actions of government employees. Many of these subsections have in fact been applied only to government employees, and it is difficult to imagine a situation in which these subsections would apply to a private individual.4 See, e.g., DeBry v. Noble, 889 P.2d 428, 434 (Utah 1995) (applying subsections (l)(c) and (l)(d) to building inspector); Duncan v. Union Pac. R.R., 842 P.2d 832, 834-36 (Utah 1992) (applying successors to subsection (l)(a) to department of transportation); Irvine v. Salt Lake County, 785 P.2d 411, 413 (Utah 1989) (applying subsection (l)(a) to county employee); Gillman, 782 P.2d at 507-*16708 (applying predecessor to subsection (l)(c) to department of financial institutions); Velasquez v. Union Pac. R.R., 24 Utah 2d 217, 218-19, 469 P.2d 5, 6 (1970) (applying subsection (l)(a) to public service commission). With the three obvious exceptions of subsections (g), (j), and (k), all other subsections apply to functions or actions of government employees. Hence, the structure of sections 63-30-10(l)(a)-(m) suggests that all subsections apply only to state employees unless the language clearly implies otherwise, not the other way around as the majority suggests.
The exact meaning of section 63-30-10, as applied to government employees, is ambiguous. When we find ambiguity in a statute’s plain language, we seek guidance from legislative history and relevant policy considerations.5 World Peace Movement v. Newspaper Agency Corp., 879 P.2d 253, 259 (Utah 1994). The legislative history of the Act, viewed in the context of its purposes, strongly suggests that the most reasonable interpretation of section 63-30-10(l)(b) is that the governmental entity retains immunity only where the injury is the result of an assault or battery committed by a government employee.
When the Utah Legislature considered the Governmental Immunity Act in 1963, courts in California, Arizona, and Nevada had already abolished sovereign immunity, resulting in a flood of lawsuits. See Floor Debate, Statement of Senator Charles Welch, 65th Utah Leg., Gen. Sess. (Feb. 11, 1965) (House recording No. 1, side 2) [hereinafter Welch Statement]. In 1963, the Utah Legislature formed the Governmental Immunity Committee to study the state’s options in legislating laws governing governmental immunity.6 See H.R.J. Res. 21, 35th Utah Leg., 1963 Utah Laws 685. When the legislature formed this committee, it was concerned about the “hardship” imposed on parties who are injured or whose property may be damaged by actions taken by governmental entities. See id.; cf. Hansen v. Salt Lake County, 794 P.2d 838, 844 (Utah 1990) (“There was (and is) no place in the structure of the Act for a grant of absolute immunity.”). The careful balancing of these concerns led to the current Utah Governmental Immunity Act. See Floor Debate, Statement of Representative Ray Harding, 65th Utah Leg., Gen. Sess. (Feb. 11, 1965) (House recording No. 2, side 2) [hereinafter Harding Statement].
The Governmental Immunity Committee released its report in 1964, stating that it patterned its proposed bill after similar acts in California, Michigan, and the Federal Tort Claims Act. Utah Legislative Council, Report of the Governmental Immunity Committee, 67-68 (Dec.1964) (on file with State of Utah Office of Legislative Research and General Counsel). In evaluating available alternatives to governmental immunity, including the waiver of immunity for certain instances of tortious conduct, the committee stated:
*168There was virtual unanimity that immunity of governmental entities should be waived in relation to responsibility for the negligent acts or omissions of employees (tort liability) with the exception of intentional or willful misdeeds, discretionary acts and certain other activities where it was felt that it is in the best interest of the public to exclude responsibility.
Id. at 61 (emphasis added). The committee, therefore, recommended that individuals should be able to sue the government for the negligence of its employees, retaining immunity only where its employees’ acts or omissions were intentional or willful.
The operative language of the committee’s proposed bill contained almost the exact language subsequently used in section 63-30-10(l)(b). The proposed bill stated:
Immunity from suit of all governmental entities is waived for injury proximately caused by a negligent act or omission of an employee committed within the scope of his employment except if the injury:
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(2) arises out of assault, battery, false imprisonment, false arrest, malicious prosecution, intentional trespass, abuse of process, libel, slander, deceit, or interference with contract rights[.]
Id. at 92. The committee summarized this provision as a “[wjaiver of immunity for negligent acts of employees, except: ... (2) intentional torts.” Id. at 68-69 (emphasis added). The report does not refer to the actions of nongovernment employees. In fact, the entire report seems to focus solely on the actions of government employees, not of private individuals.
The purpose of the Act as a whole also supports this interpretation. Senator Charles Welch told the House of Representatives that this bill allowed individuals to sue the government for its negligence “so as to make more justice.” Welch Statement, supra. Senator Welch stated that it was “not moral” for citizens to be uncompensated for losses resulting from the negligence of government employees. Id. He asserted that allowing suits against governmental entities would not financially cripple those entities because any person bringing suit would still have to prove all the legal elements of a negligence action. See id.
Representative Harding, the bill’s sponsor, stated: ‘We say we’re imposing an additional burden possibly on the taxpayer. But why should one individual through no fault of his own be required to bear the burden that society is responsible for? ... The bill will alleviate many injustices.” See Harding Statement, supra. In response, Representative Evans stated, “I think we’ve waited long enough in this state to enact this legislation. If it costs a few more bucks that we might have justice, I am one that is willing to afford it.” Floor Debate, Statement of Representative Richard V. Evans, 65th Utah Leg., Gen. Sess. (Feb. 11,1965) (House recording No. 3, side 1). In his closing statement, Representative Harding urged the passage of the bill:
If we believe that a government should be responsible to the people, it should be responsible for all of its acts, and this means the acts of its agents. Now, at the present time, if a person commits a wrongful act in a negligent manner, not an intentional wrong, he is found responsible for his act by the courts, you and I do. But a governmental agency is not, because “the king can do no wrong.” It appears to me that we cannot allow this doctrine to remain the laws of this state, that we should assert ourselves and realize the responsibility that government has to be a responsible agency, that its employees and officers must be responsible. I believe that to allow a person to commit a wrong and because of sovereign immunity and to hide behind the ancient doctrine of “a king can do no wrong” is to be but an ostrich and put your head in the sand and maybe it will go away. I think that we must accept [our] obligations.
Harding Statement, supra.
The legislative history strongly supports the view that the legislature intended to compensate victims injured by governmental negligence, but not for injuries caused by the intentional torts of government employees. Hence, under the Act, the status of the intentional tortfeasor does matter. At no point in the entire legislative record is there any ref*169erence to immunizing the state for its negligence where that negligence, together with an assault or battery committed by any person, causes harm. It makes very little sense, given the purposes of the statute, to say that the state is immune from suit for its negligence because a private individual has fortuitously committed an assault or battery also contributing to the injury. Thus, in this case, although Taylor could have sued the District if he had tripped and fallen into the glass, the fortuity of his having been pushed renders it immune. Neither the legislative history nor the purpose of the Act indicates that the legislature intended such a result.
Our holding in Ledfors did not comport with the legislative history or the purpose of the Act. Moreover, the unfairness and injustice of the rule’s application have become extremely clear in subsequent cases. See, e.g., Malcolm v. State, 878 P.2d 1144, 1146 (Utah 1994); S.H. v. State, 865 P.2d 1368, 1364 (Utah 1993); Petersen v. Board of Educ., 855 P.2d 241, 243 (Utah 1993); Higgins v. Salt Lake County, 855 P.2d 231, 233-36 (Utah 1993). In S.H., this court held that the state, a school district, and a state school were immune under section 63-30-10(l)(b) where a deaf student was sexually molested and assaulted by a taxicab driver who was under contract with the school to transport handicapped students. 865 P.2d at 1364. The plaintiffs had alleged that the school defendants had negligently employed and instructed the taxicab company. Id. In concluding that the state agencies were immune, this court agreed that such a result may be “unconscionable” but held that only the legislature could change the law. Id. at 13.65.7 However, in S.H. the dissent noted the inanity of such a conclusion:
It is indefensible for a child who is injured by a negligently hired cab driver to be able to recover from the State for an injury caused by the cab driver’s negligently colliding with another automobile but not to be able to recover when that contractor assaults the child.
Id. at 1366 (Stewart, J., dissenting).
Also relevant to my conclusion that we made a mistake in Ledfors is a reexamination of cases decided under the Federal Tort Claims Act (FTCA), 28 U.S.C. §§ 2680(h), 1346(b),8 in which recovery has been allowed for injuries connected to assaults by nongov-ernment employees. See, e.g., Thigpen v. United States, 800 F.2d 393, 394-95 (4th Cir.1986) (holding exception to waiver of governmental immunity under FTCA for claims that arise out of an assault or battery depends upon existence of assault or battery by government employee); Panella v. United States, 216 F.2d 622, 624 (2d Cir.1954) (same). Ledfors distinguished the FTCA because that Act immunizes “any claim” arising out of assault or battery, while section 63-30-10(l)(b) of the Utah Governmental Immunity Act provides immunity where “the injury” arises out of an assault or battery. 849 P.2d at 1166 n. 4. I think we were wrong. Section 2680(h) of the FTCA immunizes the government from suit for “any claim arising out of assault, [or] battery.” There is no substantive distinction between this language and the language of section 63 — 30—10(l)(b), which immunizes the government if the “injury arises out of’ an assault or battery. Indeed, imagining a situation where a “claim arising out of’ an assault or battery would not also include a harm or “injury” arising out of the assault or battery is virtually *170impossible. See W. Page Keeton et al., Pros-ser and Keeton on the Law of Torts § 1, at 4 (5th ed.1984) (stating that claim in tort requires that there be injury).
The approach taken by the federal courts under the FTCA is significant because the Utah Governmental Immunity Act is patterned after the FTCA as well as similar acts in California and Michigan. See Utah Legislative Counsel, Report of the Governmental Immunity Committee, 68 (Dec.1964). In fact, the Utah Legislature had proposed adoption of the FTCA in 1961, but it was vetoed by the Governor in part because the FTCA did not establish funds or the mechanics for paying for claims and did not accommodate the problems regarding compensation of consequential damages. See id. at 64-65. Thus, adoption of the distinction between government and nongovernment employees taken in Thigpen and Panella would be consistent with legislative intent to model the Act after the FTCA.
Therefore, because the language and legislative history of section 63-30-10(l)(b) suggest that the legislature always intended this section to retain immunity only where an assault or battery is committed by a state employee, I would overrule Ledfors and hold that the District is not immune from suit under 63-30-10(l)(b).
STEWART, Associate C.J., concurs in Justice DURHAM’S dissenting opinion.. Ledfors cited only cases that did not involve the granting of immunity on the basis of actions taken by private individuals. See Hilton v. Borthick, 791 P.2d 504, 505 (Utah 1989) (holding department of financial institutions, its commissioner, and state of Utah immune from claims of investors in insolvent finance company taken over by department pursuant to Utah Code Ann. § 63-30-10(2) (1953)); Gillman v. Department of Fin. Insts., 782 P.2d 506, 510-12 (Utah 1989) (holding department of financial institutions immune from suits for claims alleging negligence in failing to suspend or revoke licenses); Maddocks v. Salt Lake City Corp., 740 P.2d 1337, 1340 (Utah 1987) (holding state immune from suit arising from police officer's beating of plaintiff); Connell v. Tooele City, 572 P.2d 697, 698-99 (Utah 1977) (holding city immune from suit for negligence of clerk in keeping records which resulted in false arrest); Epting v. State, 546 P.2d 242, 244 (Utah 1976) (holding state immune from suit under discretionary function or under exception to waiver for injuries arising out of incarceration of person in any state prison).
. As noted by the majority, following the 1991 amendments, section 63 — 30—10(l)(b) was recodi-fied. The assault exception is now found in section 63-30-10(2), which now provides:
Immunity from suit of all governmental entities is waived for injury proximately caused by a negligent act or omission of an employee committed within the scope of employment except if the injury arises out of, in connection with, or results from ...:
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(2) assault, battery ...[.]
Utah Code Ann. § 63-30-10(2) (Supp.1996).
. Utah Code Ann. § 63-30-10(l)(g) (1989) retains immunity for injuries which result from riots, unlawful assembly, public demonstrations, mob violence, and civil disturbances. Section 63-30-10(l)(j) retains immunity for injuries arising out of the incarceration of prisoners. Finally, section 63-30-10(l)(k) retains immunity for injuries arising out of any natural condition on publicly owned land.
. Other subsections of Utah Code Ann. § 63-30-10(1) (1989) retain immunity where an injury arises out of
(a) the exercise or performance or the failure to exercise or perform a discretionary function, whether or not the discretion is abused; or
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(c) the issuance, denial, suspension, or revocation of or by the failure or refusal to issue, deny, suspend, or revoke any permit, license, certificate, approval, order, or similar authorization; or
(d) a failure to make an inspection or by making an inadequate or negligent inspection of any property; or
(e) the institution or prosecution of any judicial or administrative proceeding, even if malicious or without probable cause; or
(f) a misrepresentation by the employee whether or not it is negligent or intentional; or
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(h) or in connection with the collection of and assessment of taxes; or
(i) the activities of the Utah National Guard; or
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(1) the activities of:
(i) providing emergency medical assistance;
(ii) fighting fire; or
(iii) regulating, mitigating, or handling hazardous materials or hazardous wastes; or
(iv) emergency evacuations; or (m) research or implementation of cloud management or seeding for the clearing of fog.
. The majority relies upon the statement in Holt v. Utah State Road Commission, 30 Utah 2d 4, 6, 511 P.2d 1286, 1288 (1973), overruled on other grounds, Colman v. Utah State Land Bd., 795 P.2d 622 (Utah 1990), that the language of the Governmental Immunity Act "seems to indicate an intention that the act be strictly applied to preserve sovereign immunity; and to waive it only as clearly expressed therein.” This court, however, has also stated that the Act should not be so strictly construed that it "emasculate[s] the purpose of the statute,” which is to grant immunity in certain circumstances but to deny it in others. Morrison v. Salt Lake City Corp., 600 P.2d 553, 555 (Utah 1979). Hence, the language the majority cites from Holt should not prevent the court from considering the statute’s legislative history or purpose to determine whether the legislature intended to waive immunity in these circumstances.
. This committee consisted of two representatives of the Utah Municipal League, two representatives of the County Officers’ Association, two representatives of the public school districts, two representatives of special improvement districts, and two official representatives of the Utah State Bar. At-large members included the Utah attorney general, the chief counsel for the Utah Highway Department, an assistant Salt Lake City attorney, the Utah Insurance Commissioner, the president of the Utah Highway Users Conference, two state Senators, two state Representatives, and three standing members of the Utah Legislative Council, Thirty-eight percent of the committee were members of the Utah State Bar. Utah Legislative Council, Report of the Governmental Immunity Committee, 59 (Dec.1964) (on file with State of Utah Office of Legislative Research and General Counsel).
. In fact, in 1995 the Utah Senate recognized the injustice of the current interpretation of the Governmental Immunity Act. See S. 94, 51st Utah Leg., Gen. Sess. § 2 (1995). Senator Robert F. Montgomery introduced Senate Bill 94, which would have changed section 63-3Q-10 to read, "Immunity from suit of all governmental agencies is waived ... except if the injury arises out of: ... (3) assault or battery, except that this exception does not apply when: ... (ii) the assault or battery was not committed by an employee of a governmental entity.” Id. The Senate passed this amendment on February 17, 1995, with eighteen voting for and nine voting against the bill and two senators absent. Utah Senate Journal, 51st Utah Leg., Gen. Sess., 550-51 (Feb. 17, 1995). The House, however, read the bill for a second time on the last day of the session but never voted on the bill before the end of the session. See Utah House Journal, 51st Utah Leg., Gen. Sess., 1022-23 (March 1, 1995).
. Section 2680(h) provides that the United States may not be subject to suit for "[a]ny claim arising out of assault, battery, false imprisonment, false arrest, malicious prosecution, abuse of process, libel, slander, misrepresentation, deceit, or interference with contract rights.”