(Marilyn-A.-Herie Fundamentos de Las Adicciones PDF
(Marilyn-A.-Herie Fundamentos de Las Adicciones PDF
of Addiction
Fundamentals
of Addiction
A Practical Guide
for Counsellors
4th Edition—formerly published as Alcohol & Drug Problems
Fundamentals of addiction: A practical guide for counsellors / edited by Marilyn Herie and
W.J. Wayne Skinner; foreword by Gabor Maté. —4th ed.
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v
Contents
ix Preface
Marilyn Herie and Wayne Skinner
xiii Foreword
Gabor Maté
29 2 A Client Perspective
Cheryl Peever
5 Motivational Interviewing
83
Marilyn Herie and Wayne Skinner
239 11 Tobacco Interventions for People with Alcohol and Other Drug Problems
Peter Selby, Megan Barker and Marilyn Herie
419 18 Acquired Brain Injury and Fetal Alcohol Spectrum Disorder:
Implications for Treatment
Carolyn Lemsky and Tim Godden
481 20 What if it’s Not About a Drug? Addiction as Problematic Behaviour
Nina Littman-Sharp, Kathryn Weiser, Lisa Pont, Janis Wolfe and Bruce Ballon
635 25 People with Diverse Sexual Orientations and Gender Identities Who
Have Substance Use Concerns
Jim Cullen, Dale Kuehl and Nick Boyce
vii
733 29 Care Pathways for Healing Journeys: Toward an Integrated System of
Services and Supports
Rebecca Jesseman, David Brown and Wayne Skinner
767 Index
ix
Preface
Marilyn Herie and Wayne Skinner
Addiction treatment is often seen as a “black box” by clients and helping professionals
alike. A popular perception of the process is something like this: 1) person hits “bottom”
or is in the hot seat of an “intervention”; 2) person enters “rehab” (i.e., inpatient addic-
tion treatment); 3) person gets “treated”; 4) person is “cured” (or drops out); 5) repeat as
necessary. Although this portrayal of addiction and its treatment can make for a gripping
storyline in film, television or fiction, it doesn’t begin to reflect the reality of our current
scientific understanding and the diversity of evidence-based approaches to addictions.
The fact is, not all people need or want specialized addiction treatment. Many
clients are best served in community settings where they can receive services that
are integrated into their overall care. The skills required to respond to addiction map
well onto good clinical practice: listening to our clients with compassionate empathy,
fostering trust and a positive therapeutic alliance, and respecting the innate autonomy
of the people we serve. This book can be used by virtually any practitioner across the
spectrum of care as a practical guide to helping clients overcome the harmful, sometimes
devastating, effects of addiction.
For this fourth edition of Alcohol & Drug Problems, we decided on a new title,
Fundamentals of Addiction, to reflect advances in the field extending beyond psychoactive
drug use to include behavioural or “process” addictions. This iteration continues to build
on a rich legacy of previous editions in providing practitioners with essential information
and treatment models for diverse client populations.
As our knowledge and understanding of addictions increase, so does the complexity
of the chapters in this edition. The content is divided into five sections. Section 1:
The Basics lays the foundation and provides the theoretical framework for the book as a
whole. The chapters cover a client perspective, diversity and equity competencies, harm
reduction, motivational interviewing and the neurobiological and physical aspects of
substance use. Section 2: Clinical Interventions examines screening and assessment, as
well as a range of interventions and approaches, including brief interventions; relapse
prevention; specific knowledge and skills relating to tobacco dependence, opioid misuse
and dependence; family involvement; mutual support; and online interventions in the
“digital age.” Section 3: Special Issues and Considerations presents practical issues around
treating people with concurrent disorders, trauma and neurobiological impairments, and
discusses considerations for working with people in correctional settings and those with
behavioural addictions. Section 4: Specific Populations examines diversity as it relates to
women, youth, older adults, Aboriginal people and people with diverse sexual orientations
and gender identities. Finally, Section 5: Professional Practice and System Issues shares
invaluable knowledge about ethical issues in clinical practice, legal issues and tips for
x Fundamentals of Addiction: A Practical Guide for Counsellors
With this book we have tried to shine a light into the “black box” of addictions,
with a goal of increasing treatment capacity and access to services by those in need. To
our many readers in clinical practice, we hope this guide continues to be valuable in your
professional development and in your day-to-day work with clients.
This fourth edition of Alcohol & Drug Problems—now the Fundamentals of Addiction—
marks an important movement forward in the understanding of addiction. In taking
notice of the behavioural addictions, it recognizes that the specific target of the addictive
drive does not define the nature of addiction.
At the heart of addiction is what I’ll refer to as the universal addiction process,
which involves the same emotional dynamics no matter what the form of the addiction.
These emotional dynamics are just as true of an addiction to a substance—whether
ingested, inhaled or injected—as they are of compulsive Internet use, shopping, gam-
bling, sexual roving or any number of behaviours that may even be valued and rewarded
by society, such as excessive involvement with work, the acquisition of wealth or the
attainment of power. More surprisingly, we now know that all addictive manifestations,
substance-related or not, use and activate the same brain circuits and neurochemicals.
These target behaviours may vary in their form, severity and consequences, but they are
all expressions of a deeper and complex universal process whose templates are grounded
in human psychological needs, emotional drives, neurophysiological functions, social
and cultural influences and, if one may be permitted to utter the word in a scientific
publication, in the spiritual nature of human beings.
According to the American Society of Addiction Medicine ([ASAM], n.d.), addic-
tion is “a primary, chronic disease of brain reward, motivation, memory and related
circuitry . . . reflected in an individual pathologically pursuing reward and/or relief by
substance use and other behaviors” (p. 1). Considering addiction to be a “primary” dis-
ease implies that the addiction is unrelated to any previous condition or injury.
Yet to speak of addiction as a primary disease is to ignore the reality that an ante-
cedent injury—if not of a physical nature, then at least of an emotional one—usually
precedes the addiction. Emotional more than physical injury leads to long-term psycho-
logical and neurobiological consequences predisposing to addiction. People are quite
resilient to surviving physical injury, much less so when that injury is psychic and occurs
in the child’s nurturing environment during the developing years.
When it comes to etiology, the ASAM, like much of addiction medicine practice,
considers the major influence to be genetics. In fact, it asserts that “genetic factors
account for about half of the likelihood that an individual will develop addiction”
xiv Fundamentals of Addiction: A Practical Guide for Counsellors
(ASAM, n.d., p. 5). Yet this assertion is not supported by scientific evidence. Rather,
trauma, the most important risk factor involved in the neurobiology and psychology of
addiction, is listed very low among the ASAM’s list of etiologic circumstances. It may be
that, as a physician colleague in San Francisco once said to me, “The medical profession
is traumaphobic.”
For 12 years, I worked in Vancouver’s Downtown Eastside, known as Canada’s
poorest postal code and notorious as North America’s most concentrated area of drug
use. Every female patient I ever interviewed offered or endorsed a history of sexual abuse
in childhood, and all patients, male or female, had endured childhoods of abuse, neglect,
abandonment and trauma. If this link to abuse had been something only I observed, one
could easily dismiss it as subjective and unreliable. But large-scale population surveys
have found a similar association.
Studies repeatedly find that extraordinarily high percentages of addicts have
experienced childhood trauma, including physical, sexual and emotional abuse. Dube
and colleagues (2003) remarked that the prevalence of childhood trauma among addicts
was “of an order of magnitude rarely seen in epidemiology and public health” (p. 568).
Their research, the renowned Adverse Childhood Experiences (ACE) study, looked at the
incidence of 10 categories of painful circumstances, including family violence, parental
divorce, family substance use problems, death of a parent and physical or sexual abuse,
in thousands of people. The correlation between these experiences and substance use
problems later in life was then calculated. For each adverse childhood experience, the
risk for the early initiation of substance use problems increased between two- and four-
fold. People with five or more such experiences had a seven to 10 times greater risk for
substance use problems than those with no such experiences.
Dube and colleagues (2003) concluded that nearly two-thirds of injection drug
use can be attributed to abusive and traumatic childhood events. In clinical practice with
a heavily addicted population, I believe childhood trauma percentages may run close to
100 per cent. Although not all addicts have been subjected to childhood trauma, just as
not all severely abused children grow up to be addicts, there is no doubt that most hard-
core injection users have experienced childhood trauma.
According to a 2002 review by Harold Gordon at the U.S. National Institute on
Drug Abuse:
Alcohol consumption has a similar pattern: people who had suffered sexual abuse
were three times more likely to begin drinking in adolescence than those who had not.
For each emotionally traumatic childhood circumstance, there is a two- to threefold
Foreword xv
increase in the likelihood of early alcohol abuse. Dube and colleagues (2006) concluded,
“Overall, these studies provide evidence that stress and trauma are common factors asso-
ciated with consumption of alcohol at an early age as a means to self-regulate negative
or painful emotions” (p. e8).
The salient psychological template for substance use or behavioural addiction is unre-
solved emotional pain. All addictive manifestations, substance-related or not, are an attempt,
in the words of the former heroin-addicted Rolling Stones guitarist Keith Richards (2010), to
seek oblivion: “The contortions we go through,” the legendary musician writes in his autobi-
ography, “just not to be ourselves for a few hours.” And why? Because the emotional burden
is too much to bear. It is not a linguistic accident that we speak of heavy drinkers as “feeling
no pain.” Abuse, neglect and even a simple lack of attunement owing to parents’ stress will
make children feel inadequate, empty and uncomfortable with themselves. The greater the
environmental stress, as in the case of trauma, the greater that discomfort and the need to
escape it. Although the addict’s self-loathing is much exacerbated by the behaviours associ-
ated with addiction, the self-hatred long predates the addiction.
While the ASAM cites some of the cerebral circuits implicated in addiction, what
it does not explain is that these brain circuits develop in interaction with the rearing envi-
ronment and that under conditions of stress and trauma, key brain circuits of reward,
motivation, emotional self-regulation, impulse control, stress response—all impaired in
addiction—do not develop optimally. To quote a seminal article in Pediatrics from the
Harvard Center on the Developing Child:
Many studies have shown that trauma and neglect interfere with healthy brain
development and thus create the neurobiological template for addiction. The hormone
pathways of children who have been sexually abused are chronically altered (De Bellis
et al., 1994). Even a relatively “mild” stressor such as maternal depression—let alone
neglect, abandonment or abuse—can disturb an infant’s physical stress mechanisms
(Essex et al., 2002). Add neglect, abandonment or abuse, and the child will be more
reactive to stress throughout life. A study published in JAMA concluded that “a history
of childhood abuse per se is related to increased neuroendocrine [nervous and hormonal]
stress reactivity, which is further enhanced when additional trauma is experienced in
adulthood” (Heim et al., 2002, p. 117). A brain pre-set to be easily triggered into a stress
response is likely to assign a high value to substances, activities and situations that
provide short-term relief and show less interest in long-term consequences. In contrast,
situations or activities that for the average person are likely to bring satisfaction, such as
xvi Fundamentals of Addiction: A Practical Guide for Counsellors
intimate connections with family, are undervalued, because in the addict’s life, they have
not been rewarding. This shrinking from normal experience is also an outcome of early
trauma and stress, as summarized in a recent psychiatric review of child development:
Neglect and abuse during early life may cause bonding systems to develop
abnormally and compromise capacity for rewarding interpersonal relation-
ships and commitment to societal and cultural values later in life. Other
means of stimulating reward pathways in the brain, such as drugs, sex,
aggression, and intimidating others, could become relatively more attractive
and less constrained by concern about violating trusting relationships. The
ability to modify behaviour based on negative experiences may be impaired.
(Pedersen, 2004, p. 106)
Even when genetics play a role in predisposing someone to an addiction, the lat-
est brain development data and, saliently, the findings of the literature on epigenetics,
clearly show that genes are turned on and off by the environment, and thus are influ-
enced by experience. For example, children with serotonergic gene abnormalities that
may predispose them to addiction will not express those genes if they are brought up in a
nurturing, supportive family. Reporting on a study published in the Journal of Consulting
and Clinical Psychology, ScienceDaily (2009) highlights the importance of environment:
“A genetic risk factor that increases the likelihood that youth will engage in substance
use can be neutralized by high levels of involved and supportive parenting.”1
If addictions are a response to pain and reflect the disordered neurobiology of
childhood stress or trauma, they are also self-medications in the narrow medical sense.
People with attention-deficit/hyperactivity disorder self-medicate with stimulants such
as cocaine, nicotine or crystal meth; people with post-traumatic stress disorder with
opiates; people with anxiety with benzodiazepines; and people who are depressed with
cocaine and other substances. Of course, the addictive substances can damage the brain
and cause further mental pathology, such as psychosis and depression. Concurrent dis-
orders should not be seen as the exception, but the rule.
Many aspects of addiction theory and practice are covered in this book, and rightly
so. Addiction cannot be understood from an isolated perspective. It is a complex human
condition, a condition rooted in the individual experience of the sufferer and also in the
multi-generational history of his or her family and—not least—also in the cultural and
historical context in which that family has existed. The shameful statistics of addiction
prevalence among First Nations people are not attributable to any genetic flaw, but to
the historical trauma endured by the Aboriginal populations of North America; the hor-
rendous multi-generational legacy of the residential schools; and the ongoing social,
economic and cultural ostracization that continues to be their lot.
We see the same phenomenon with colonized peoples elsewhere. Beyond margin-
alized racial or economic groups, many suffer from the anomy and spiritual emptiness
1 For a refutation of the mistaken assumptions underlying the twin studies that seem to buttress the genetic hypothesis, see
Maté (2008).
Foreword xvii
of a materialistic culture and its constant blandishments to fill our inner void with
external acquisition or attainment, pursuits that themselves can become addictive. “It is
impossible to get enough of something that almost works,” the researcher and physician
Vincent Felitti once aptly remarked.
To its credit, the ASAM definition of addiction recognizes the spiritual dimen-
sions of the all-too-human problem of addiction. Spirituality in this context does not
necessarily have a religious meaning, though for some people it may. More broadly,
spirituality refers to people’s innate capacity to connect to their own deeper conscious-
ness, to a sense of innate value independent of external factors, to a confidence that we
are more than just our rigidly reactive personality patterns and, finally, to a belief in a
profound unity with all that exists. For addicts, one of the outcomes of suffering from
early adversity is an alienation from these life-affirming qualities. When we recover, what
do we find again but those inner truths? In finding them, we recover ourselves.
To recover, the addict surely does not need more punishment, more loss, more
defeat. The addict has experienced those in sufficient measure already. On the contrary,
according to the Catholic monk and mystic Thomas Merton, to find ourselves “we must
know what victory is and like it better than defeat.” Victory is the recognition of our
humanness, that we belong, that we are not damaged goods after all.
Our society is far from understanding that addicts, having suffered since child-
hood, need our expertise, our support and, above all, our compassion. In that sense,
addiction professionals need to be more than health care providers—they need to be
social pioneers.
References
American Society of Addiction Medicine (ASAM). (n.d.). Definition of addiction.
Retrieved from www.asam.org/for-the-public/definition-of-addiction
De Bellis, M.D., Chrousos, G.P., Dorn, L.D., Burke, L., Helmers, K., Kling, M.A., . . .
Putnam, F.W. (1994). Hypothalamic-pituitary-adrenal axis dysregulation in sexually
abused girls. Journal of Clinical Endocrinology & Metabolism, 78, 249–255.
Dube, S.R., Felitti, V.J., Dong, M., Chapman, D.P., Giles, W.H. & Anda, R.F. (2003).
Childhood abuse, neglect, and household dysfunction and the risk of illicit drug
use: The adverse childhood experiences study. Pediatrics, 111, 564–572.
Dube, S.R., Miller, J.W., Brown, D.W., Giles, W.H., Felitti, V.J., Dong, M. & Anda, R.F.
(2006). Adverse childhood experiences and the association with ever using alcohol
and initiating alcohol use during adolescence. Journal of Adolescent Health, 38,
444.e1–e10.
Essex, M.J., Klein, M.H., Cho, E. & Kalin, N.H. (2002). Maternal stress beginning
in infancy may sensitize children to later stress exposure: Effects on cortisol and
behaviour. Biological Psychiatry, 52, 776–784.
xviii Fundamentals of Addiction: A Practical Guide for Counsellors
Gordon, H.W. (2002). Early environmental stress and biological vulnerability to drug
abuse. Psychoneuroendocrinology, 271, 115–126.
Heim, C., Newport, D.J., Wagner, D., Wilcox, M.M., Miller, A.H. & Nemeroff, C.B.
(2002). The role of early adverse experience and adulthood stress in the prediction
of neuroendocrine stress reactivity in women: A multiple regression analysis.
Depression and Anxiety, 15, 117–125.
Maté, G. (2008). In the Realm of Hungry Ghosts: Close Encounters with Addiction.
Toronto: Knopf Canada.
Pedersen, C.A. (2004). Biological aspects of social bonding and the roots of human
violence. Annals of the New York Academy of Sciences, 1036, 106–127.
Richards, K. (2010). Life. London, United Kingdom: Weidenfeld & Nicolson.
ScienceDaily. (2009, February 16). Genetic risk for substance use can be neutralized
by good parenting [Press release]. Retrieved from www.sciencedaily.com/
releases/2009/02/090210125437.htm
Shonkoff, J.P., Richter, L., van der Gaag, J. & Bhutta, Z.A. (2012). An integrated scien-
tific framework for child survival and early childhood development. Pediatrics, 126,
460–472.
1
SECTION 1
THE BASICS
2
Chapter 1
This introductory chapter provides an overview of the key concepts and principles that
shape and guide this book on the fundamentals of addiction. It is organized around sev-
eral key questions: What is addiction? What can be done to prevent and treat addictions?
How does change happen? And what does recovery mean?
The problem for the practitioner is how to organize the growing torrent of infor-
mation and materials that threatens to flood our minds as we work to understand and
help people affected by addiction. The domain of addiction appears to be expanding,
from the well-defined space of substance use problems to a broader set of addictive
behaviours. This expansion raises fears that the concept of addiction has become so
general that it risks becoming meaningless and of little use as a concept. A truly con-
temporary approach to addiction must have a realistic understanding of the impact of
addictive behaviours on individuals, families and communities. From a science-based
perspective, sufficient knowledge and skill exist to be able to understand addictive pro-
cesses and to constructively address the problems associated with addictive behaviours.
It is both necessary and possible to build evidence-informed pathways that lead to better
prevention, identification and treatment of addiction problems. If there is a foundational
message guiding this book, it is this: addiction is something we can do something about.
The compilation of expert knowledge this book gives us contributes to a comprehensive
understanding of addiction and the problems related to it. And it asserts very clearly that
there is much we can do to help people affected by addiction move toward the recovery
and well-being they seek.
Understanding Addiction
Our approach to understanding addiction is based on a model that extends beyond the
biopsychosocial (BPS) model originally proposed by Engel (1977) to what we refer to as
a biopsychosocial plus approach. This evolving framework for understanding addiction
builds on the three dimensions proposed by Engel to include culture and spirituality.
We also extend the social dimension to emphasize socio-structural and macro-societal
4 Fundamentals of Addiction: A Practical Guide for Counsellors
knowledge about behavioural addictions that do not involve substance use. These behav-
ioural addictions have as strong a biological dimension as those related to the use of
psychoactive drugs, plus profoundly psychological, social, cultural and spiritual aspects.
What Is Addiction?
Addiction is the tendency to persist with an appetitive or rewarding behaviour that pro-
duces pleasure and sates desire, despite mounting negative consequences that outweigh
these more positive effects. The person feels caught in this appetitive behaviour, and
does not want to or cannot seem to moderate or stop it. Negative consequences include
preoccupation and compulsive engagement with the behaviour, impairment of behav-
ioural control, persistence with or relapse to the behaviour, and craving and irritability
in the absence of the behaviour (Maté, 2008; National Institute on Drug Abuse [NIDA],
2010; Orford, 2000).
Perhaps the most common and archetypical example of a contemporary addiction
is tobacco use: most people who smoke acknowledge that, given a choice, they wish they
had never smoked or, more modestly, could stop. They certainly would not want their
children or other family members to start. Most people who smoke have made at least
one quit attempt over their lifetime but have been unsuccessful. Indeed, most success-
ful ex-smokers had to make repeated attempts at cessation before they achieved a lasting
result (2008 PHS Guideline Update Panel, Liaisons, and Staff, 2008).
Addictions are behaviours—they have to be enacted or performed: drinking alco-
hol, inhaling tobacco smoke, injecting heroin, snorting cocaine, pressing the button on
a slot machine, buying a lottery ticket, eating food, having sex, shopping online. None
of these behaviours is inherently addictive, but they all have addictive potential. They
start out as behaviours that a person chooses to engage in, but become addictive when
the person becomes caught up in them in ways that produce harmful consequences. A
characteristic of addiction is the degree to which the person persists with the behaviour,
reverting to it to feel pleasure and to find relief from pain and distress. In its more
advanced forms, the person loses control over the behaviour. The feeling of loss of
control is what people with more severe addictions commonly report as a defining char-
acteristic of their problem.
Implicit in this model is the concept of addiction as occurring along a contin-
uum. Addiction is not a binary either/or problem that you have or don’t have. We are
all on this continuum in terms of risk and harm. Depending on our situation, which
can change depending on our physical health, emotional stress, social dislocation or
other factors, we become more or less resilient or more or less at risk and “under the
influence” of addiction.
6 Fundamentals of Addiction: A Practical Guide for Counsellors
Addiction as a “Disorder”
For the counsellor in a health care setting, the American Psychiatric Association’s
Diagnostic and Statistical Manual of Mental Disorders (DSM) has governed the way addic-
tion has been constructed as “disorder.” The DSM-IV, in effect from 1994 until the
spring of 2013 (including a revision, DSM-IV-TR, in 2000), shaped diagnosis and the
clinical perception of substance use disorders and other mental health problems. The
new version, DSM-5 (APA, 2013), combines what were two levels of diagnosis—sub-
stance abuse and substance dependence—into one category—substance use disorders,
or diagnoses that require specification of a particular substance (e.g., cannabis use disor-
der). The severity of the disorder is determined by the number and gravity of symptoms.
Using a checklist, the clinician uses the number of symptoms to determine whether
the client has no disorder, or a mild, moderate or severe addictive disorder. The term
“addiction” was deliberately not used in DSM-IV, and was instead replaced by “substance
abuse” and “substance dependence.” However with the DSM-5, the term addiction has
been reintroduced, and substance abuse and substance dependence have been removed.
The overarching category becomes “substance-related and addictive disorders,” which
includes behavioural addictions that are not substance-use related.
The diagnosis of “pathological gambling” in the DSM-IV has become “gambling
disorder” in the DSM-5. This allows gambling problems to be ranked along a continuum
of severity, and acknowledges that problem gambling can be effectively understood in
a paradigm of addictive behaviour. In doing so, it escapes the stigmatizing label that
came with the term “pathological gambling.” The DSM-5 also includes “behavioural
addictions, not otherwise specified,” a catch-all category for addictions that do not have
a specific DSM diagnostic identity. The DSM panel did not include disorders such as
Internet, sex and shopping addictions because of a current lack of scientific evidence to
support these as clinical disorders.
These changes reflect a more dimensional understanding of addictions as occur-
ring on a continuum. They also create a context for framing addiction within a broader
context than substance use alone. By expanding the scope of what is considered an
addictive disorder, there is the potential for more people to be identified with less severe
symptoms, and for them to be helped earlier and with less intensive interventions than
people whose problems have become more severe and require more involved services
and supports.
The 1990s were dubbed the decade of the brain in medicine, ushering in the age of neu-
roscience. Advances in medical technology, such as neuroimaging and brain scanning,
have had immense consequences for understanding addiction. In 1997, Alan Leshner,
then head of the U.S. National Institute on Drug Abuse (NIDA), published a summative
article on the neuroscientific view of addiction: “Addiction is a brain disease, and that
matters” (Leshner, 1997, p. 45). Since then, the U.S. National Institutes of Health and the
World Health Organization have pushed to get addiction seen as both a brain disease and
a chronic illness. There are two main themes in this message: genetic differences explain
the variability in people’s vulnerability to addictive behaviour, and addictive behaviour,
particularly the use of psychoactive substances, changes and disorders the brain in ways
that are demonstrable using neuroscientific technologies.
These technological advances have encouraged the reductionist view that neuro-
biological approaches to addiction could win the war on drugs. The neuropathways of
addiction lay the groundwork for pharmacotherapeutic solutions that promise to eliminate
urge, counter and cancel the powerful euphoric effects of psychoactive substances, resolve
withdrawal problems and eliminate the urges that lead to relapse that is so endemic to
addiction. Even if some of these enthusiasms have not yet been proven, the advances of
neuroscience have constructively elevated addiction from moral failing to valid health
problem, not just needing treatment, but treatable by an emerging pharmacopoeia.
In addiction treatment today, it is vital to be aware of the biomedical nature
of addiction problems and the ways that medicine intervenes, from overdose and
8 Fundamentals of Addiction: A Practical Guide for Counsellors
The brain is to neuroscience what the mind is to the psychological dimension, guiding
our understanding of addiction, and the ways that behaviour is shaped and moulded.
Many psychological models, informed by science, govern our understanding of
addiction, from classical and operant conditioning to social learning theory and the
transtheoretical model (Kouimtsidis, 2010).
Heyman (2009) recently referred to addiction as a “disorder of choice.” His views
run counter to many popular views of addiction, including those held by people with
addictions, who report that they have lost the ability to control their own behaviour. The
element of choice and intention that might have existed early on is diminished and ulti-
mately lost as a severe addiction develops. A behavioural perspective would argue that
even the most mysterious behaviours are governed by laws of reward and reinforcement.
Heyman and others show that when the operants (the positive and negative reinforce-
ments) are altered, seemingly intractable addictive behaviour changes in response
(Heyman, 2009; Pickard, 2012). They cite literature showing that when the setting is
changed, as with American GIs in Vietnam, the rates of addiction normalize. In the
extreme environment of a combat zone, soldiers used powerfully psychoactive substances
to cope and self-manage, but when they repatriated, the rates of addiction reverted to what
they would have been if these soldiers had not been in combat (Robins, 1973).
Other studies have shown that if the rewards are changed, the behaviour is
affected. For example, people addicted to opioids who are paid not to use drugs or
who are enrolled in token economies where they can earn rewards for not using are
able to cut back or stop their use, even when the reward is quite modest. Heyman
(2009) observes that in the modern industrial and post-industrial world, with the
growth of appetitive commodities, people are being exposed to more addictive oppor-
tunities throughout the life cycle. He suggests that from childhood to old age, we tend
Chapter 1 A Practical Approach to Addiction and Recovery 9
to over-consume what we like best as part of our nature. As we live in more affluent
circumstances and technology produces more and more appetitive products for us to
consume, problems that were previously restricted to powerful drugs and a few other
behaviours now can be evoked by an astonishing array of products, from the Internet to
shopping to food. These psychological perspectives heighten our understanding of how
we make choices and how the reward structure and abundance of modern life affect
our appetites, desires, decisions and behaviours. Just as importantly, the psychological
dimension allows us to understand and work with motivation, perception, expectancy,
reward, meaning and maturation in helping to find solutions to addictive behaviours by
developing behavioural alternatives that are more effective in helping individuals, fami-
lies and communities thrive and flourish.
Leading thinkers in the biological and psychological sciences point to the decisive role
of environment and how human development and life take place within an all-pervasive
social surround (Leshner, 1997; NIDA, 2010). They point to the active and co-productive
interplay among biological, psychological and social factors in addiction. While human
biology and psychology are malleable, they also have limits and constraints. The prob-
lems of addiction emerge and can be more decisively resolved by the ways in which we
are shaped by social realities, for example, by our socio-economic status, and depending
on our access to housing, proper nutrition and health care.
A social-structural perspective
Typically the social dimension is considered to be the immediate interpersonal domain
that is most proximal to the person who develops an addictive disorder. We think of the
person’s family and friends, workplace, leisure companions and faith community. These
are all important in terms of how they increase risk or support resilience. However, we
believe we need to take a broader view that includes macro-social factors. For example,
issues related to class, race and gender are of great consequence in attempting to deal
with issues related to addiction. This more comprehensive socio-structural perspective is
essential to understanding the social underpinnings of addictive behaviour.
Seeing the social dimension as including broader socio-structural factors leads
to a public health approach to social and health problems such as addiction. The social
determinants of health are significantly correlated with addictive behaviours. In very
direct ways, social disadvantage and social factors, such as access to employment, food
and transportation, as well as stress, early life experiences, education opportunity, social
exclusion and unemployment, shape the health outcomes of addictive behaviour. Not
only is addiction in any community shaped by these factors, but addiction itself is a
co-factor in the social determinants of health in that addictive behaviours compromise
personal and community health even further (Wilkinson & Marmot, 2003).
10 Fundamentals of Addiction: A Practical Guide for Counsellors
“Culture” needs to be allowed to carry the widest connotations possible. It refers to the
essential importance that cultural rediscovery can have for indigenous people, refugees
or members of often-marginalized communities who are able to speak their own lan-
guage together, grieving, nurturing and celebrating their identities, the present and the
future. It can refer to young people in a secular materialist culture who create ceremo-
nies and rituals that evoke ecstatic experience and communal celebration. It can refer to
people who feel marginalized by sexual orientation and preference.
Culture is that essential ingredient that is missing when considering people’s vul-
nerability to addiction: culture may have been lost or not yet created, causing someone
to suffer, as Alexander (2008) puts it, from dislocation. The more people find themselves
in a cultural surround that respects them, that expects positive contributions from them
(and rewards them for these) and that supports and protects those in need, the healthier
the community and the members who compose it.
Even approaches that are usually criticized and challenged from the vantage
point of those who emphasize the importance of culture acknowledge the need to
have a culturally informed understanding of people affected by addiction. Both the
DSM-IV and DSM-5 have tools to help the clinician make a cultural formation of the
client’s situation, reflecting a widespread awareness and acceptance of the importance
of understanding the client’s cultural belief system. Addiction as a concept is subject to
interpretation through the lens of the culture—indeed the many cultures that inform
and shape meaning for clients and counsellors alike. The question is not whether we
should examine cultural factors, but how we will do so. This cultural dimension offers
a powerful way of approaching addictive behaviours and is entwined with other key
factors, including spirituality.
If you listen closely to your clients who are struggling with addictions, you will hear
about the importance of spirituality in their lives, whether religious or non-religious.
Finding a personal “cure” for the crisis of meaning is a challenge faced by many people
caught in addictive behaviours. Because this problem has to be resolved from the inside
out, rather than prescriptively, it is important to respectfully keep the spiritual dimension
as wide open as possible. This means keeping it open so that the therapeutic imagination
respects the freedom of each person to find answers to their own questions in their own
way. It involves supporting each client in searching for, connecting and making contact
with the widest and deepest sources of wisdom and grounding that there are to be found.
We know that spirituality, in any form, can be protective of health and well-being,
and is positively associated with lower rates of addictive behaviour. We also know that for
many people devastated by addiction, spiritual affiliation and practice open up powerful
12 Fundamentals of Addiction: A Practical Guide for Counsellors
paths for healing, recovery and growth. Many people seek escape and temporary tran-
scendence through addictive behaviours, and many people draw on spiritual resilience
and support to bring themselves out of the hopeless places they have wandered into. The
power of mutual aid and peer support lies very much in the fellowship of others suffer-
ing in ways that are similar, working for solutions that are deeply personal and the result
of the hard work of disciplined practice. But the quest for the peace and mindfulness that
come with being spiritually centred is a common denominator in many healing journeys
(Humphreys, 2004).
Gabor Maté (2008) provides a carefully constructed narrative of how addiction can
be found in many forms of human behaviour. He found the most devastating levels of
addiction in the lives of women and men living profoundly marginalized lives in down-
town Vancouver. At the same time, he makes a much more comprehensive case for the
BPS+ model of addiction, drawing out in detail the biological, psychological and social
factors that co-construct addiction as a persisting human problem.
Each of the dimensions we highlight in the BPS+ opens up a key vector to an effec-
tive understanding of addiction for the practitioner, but even more importantly, these
dimensions represent essential pathways to healthy functioning. Addiction treatment is
the skillful ability to work with people affected by addictive behaviour, drawing on all of
the resources that a comprehensive BPS+ approach offers, as needed in the stages and
phases of the journey toward recovery and well-being.
Bio
Psycho
Social
Cultural
Spiritual
Chapter 1 A Practical Approach to Addiction and Recovery 13
Since most people have mild to moderate addiction problems, screening should
be an inherent part of health and social service assessments. Eventually, this would mean
that most addiction interventions would be offered outside the specialized addiction
sector, in community and primary care settings, and in other specialized environments,
such as mental health, physical health, criminal justice, and child and family services.
The evidence suggests that clients with mild to moderate addiction problems will
have good outcomes with brief interventions that empower them to take a primary role
in the change process. Not only can brief treatments be effective, but also they do not
need to be delivered by specialists in the addiction treatment system. The work of early
identification and early intervention is best syndicated across the full span of health and
social services in a community. Another valuable factor is that clients tend to respond
quickly to early intervention (within six or seven sessions) if they are going to do well,
so that those who do not show improvement early on should be offered more support.
Chapter 1 A Practical Approach to Addiction and Recovery 15
Over the past decade, a number of techniques and tools have been developed and evalu-
ated, enabling health care and social service professions to screen, treat and refer clients
for problems related to addictive behaviours. Approaches for early identification and
intervention include the Screening, Brief Intervention and Referral to Treatment (SBIRT)
model developed by the Substance Abuse and Mental Health Services Administration
(SAMHSA). It is “a comprehensive, integrated, public health approach to the delivery
of early intervention for individuals with risky alcohol and drug use” (SAMHSA, 2011,
p. 2). The model identifies six characteristics to be applied in all health care and social
service settings:
• brief, quick screening and quick, short interventions
• universal screening (as part of regular intake processes)
• focusing on targeted behaviours (one or more specific problematic behaviours)
• providing interventions in non-addiction settings (e.g., public health settings, schools,
doctors’ offices, family agencies)
• having a seamless flow between screening, brief intervention and referral to special-
ized addiction settings
• providing research and experiential evidence to support the approach (using program
outcomes to measure success).
Resources to do SBIRT are now widely available, for example, through SAMHSA
and the College of Family Physicians of Canada.
While SAMHSA acknowledges that risky alcohol use has garnered the most
attention in terms of the SBIRT model, enough evolving evidence exists to support its
application to other problem areas. The model now applies to tobacco use, illicit drug
use, depression, anxiety disorders and trauma (SAMHSA, 2011).
The SBIRT model (see Figure 1-2) starts with screening to allow for a quick cal-
culation of risk. Risk is divided into low risk (no further intervention), moderate risk
(brief intervention: one to five sessions lasting five to 60 minutes), moderate to high
risk (brief treatment: five to 12 sessions) and severe risk (referral to specialized service
for treatment).
16 Fundamentals of Addiction: A Practical Guide for Counsellors
Screening
Referral to
No Further Brief Brief
Specialty
Intervention Intervention Treatment
Treatment
In their review of the literature, Bien and colleagues (1993) identified six key features
linked to success in brief outpatient treatment. More than 20 years later, these six com-
ponents remain salient and robust markers for the brief treatment of addictions. The
mnemonic FRAMES has become foundational to evidence-based addiction treatment:
• Feedback: giving the client information that is relevant to his or her situation, particu-
larly around the risks and negative consequences of the addictive behaviour.
• Responsibility: change is ultimately up to the client, from decision making to taking
action to maintaining change, with the counsellor and other resources available to
support, advise, guide and coach the client as needed.
• Advice: the counsellor guides the client on how to modify his or her addictive behav-
iour, drawing from clinical experience and the evidence base.
• Menu: the counsellor helps the client see that he or she has different options to choose
from to work toward change.
• Empathy: the counsellor listens respectfully, supportively and attentively to the client’s
personal concerns and goals so the client experiences how the counsellor is compas-
sionately working in the client’s best interest.
• Self-efficacy: the counsellor works to enhance the client’s belief that he or she can
succeed at making change happen.
The services and supports provided by the health care and social services systems
need to be more collaboratively connected to form a continuum of care if clients with
addiction problems are to be seen as non-stigmatized consumers who are welcomed and
supported in getting the help they need. Practitioners in the specialized addiction system
Chapter 1 A Practical Approach to Addiction and Recovery 17
need to share their expertise with other health and social service providers who lack this
specialized knowledge. The National Treatment Strategy Working Group (2008) has
produced practical approaches to identifying and treating addiction problems that can
fit integrally in health care and other systems.
developed by Aboriginal leaders and Health Canada (Health Canada et al., 2011), is an
instructive example of a culturally shaped approach to knowledge and evidence.
The debate is and will continue to be about who is let on to the jury that arbi-
trates what evidence-based practices should be. This creates dilemmas for counsellors,
researchers, clients, families and funders who have to defend the rationale for their deci-
sions. As consumers, we expect the health care domain to be excellent, and we would be
appalled if we or someone we care about were getting care of one sort when there was
stronger evidence for another form of care.
There is much to work out in addiction treatment, from determining whether
there are advantages to residential over outpatient care (and if so, for whom), to the
merits of abstinence-only goals to harm reduction approaches, to whether to include
significant others and family members in the treatment process. This debate needs to
continue. As stronger evidence emerges, it is hoped that consensus will emerge among
the constituents, all of whom have a stake in the process. In the meantime, addiction
counsellors need a set of effective practices to guide them in the daily they work they do
with people affected by addiction, in the reconstructed way we have described it here—
existing on a continuum and extending to a wide range of addictive behaviours that
carry the risk of harm. Our governing observation is that everything works in addiction
treatment, except when it doesn’t. Even doing nothing “works.” A certain percentage of
people who have identifiable addiction problems, including very severe ones, improve
without seeking treatment, as do people who are on wait-lists for treatment (Granfield &
Cloud, 1999; Miller and Carroll, 2006).
While we don’t recommend doing nothing, when evaluating addiction treatments
we need to determine whether the treatments are better than what happens when people
take action on their own or are left on a wait-list. Evidence suggests that people who
complete treatment do better, in general, than people who do not, and that the engage-
ment skills of the counsellor are important in retaining clients in treatment (Miller et al.,
2011). We also have evidence that confrontation produces worse outcomes in treatment
than does motivational communication (Miller & Rollnick, 2013). There is also evidence
that some medications work in some situations and have therapeutic advantages over
psychosocial therapies alone. This is consistent with our BPS+ model, which indicates
that we can be most helpful by exploring and identifying pathways in all five dimensions
relevant to clients’ present status and treatment goals.
We can also advise our clients based on our understanding of the evidence. For
example, a doctor wanting to prescribe a drug to help a person with withdrawal symp-
toms would likely choose a drug that has the highest efficacy in addressing the person’s
symptoms. But the drug will not be effective in all cases, for one reason or another. What
will the doctor do next? One option is to do nothing, because there is no other drug with
comparable efficacy. Or the doctor could consider a second drug, with lower overall effi-
cacy, but which does work with a smaller portion of the population. Ideally, the doctor
will discuss with the person the pros and cons of each choice, so the two can arrive at a
mutual decision.
Chapter 1 A Practical Approach to Addiction and Recovery 19
Meta-analyses and reviews by Lambert and his colleagues (e.g., Asay & Lambert, 1999)
over several decades point to three ways in which counsellors influence the outcomes
in therapy:
• the helping relationship
• the methods and techniques we use
• the hope and positive expectancy we support in the client.
Asay and Lambert (1999) also remind us that a fourth variable belongs totally to
the client: the personal strengths and social supports they have to draw on.
30%
Therapeutic 40%
Relationship Extra-Therapeutic
Factors
15%
Expectancy
(placebo 15%
effects) Techniques
mo
m
ild
se
tted
Mental health
de e
nt
rat
commi
problems
ambivale
ve
opposed
e
r
we ny
ak ma
m
e
ro so
st
ng fe
w
Social Other
support problems
This mapping can be done with the client, as well as collaboratively with a
multidisciplinary team. Tools like this allow tracking over time, as well as helping with
the initial assessment, especially with clients with severe and complex problems, to help
you find an area on which to focus your efforts. Be aware of your scope of practice—the
orbit of things you can and cannot do. It is unrealistic for a single person to be able to
address all of the client’s problem areas and needs. The more severe and complex the
situation, the more important it is not to be working alone. Ideally, the client and you
have access to experts who can address both the client’s immediate and long-term goals,
and can tackle a shared plan together, one increment at a time.
The reasons that people decide to change are diverse: some people’s addictive
behaviour is damaging their physical health, so that the behaviour is no longer the source
of pleasure and reward it had been; for instance, they may have contracted HIV or hepa-
titis C. Other people may decide to change for psychological reasons because they don’t
like or can no longer recognize the person they have become. Sometimes the decision to
change can be motivated by an embarrassing or worrisome social consequence of their
addiction, such as being arrested, or humiliating public behaviour, such as becoming
uninhibited and sexually compromised while intoxicated, or out of hand at a party. For
others, the threat of losing a job or the breakup of a relationship is what makes them
decide to change an addictive behaviour. Still others change with the desire to get in touch
with their cultural roots and be guided by cultural values. And finally, feeling spiritually
empty and bankrupt may be what propels someone to seek a stronger, more meaning-
ful life. The birth of a child, the death of a parent, or another dramatic life event, such
as surviving a life-threatening event, or getting a serious diagnosis, or seeing what has
happened to someone else you care about or know—these are all examples people give as
the precipitating factors for deciding to change an addictive behaviour without treatment
(Cloud & Granfield, 2008; Granfield & Cloud, 1999; Klingemann et al., 2009).
People with addictive behaviours who can access social support have much bet-
ter chances of a sustained recovery. Having problems that lead to low self-worth and
an inclination to isolation or problematic interpersonal behaviour are precursors to
addiction behaviours. The loss of social relationships and social standing that are often
a consequence of addictive behaviour can contribute to the radical demoralization that
comes with a life derailed by addictive behaviour.
In helping people with addiction, the goal is not just to get them to stop the addic-
tive behaviour, but to develop alternatives that adequately meet their needs, without
imposing the severe negative consequences that can come with addiction. Treatment,
especially brief treatment, can only help the person prepare for or start that process of
finding more positive alternatives to their addiction. It usually takes time for clients to
feel that they have moved from the active state of addiction into the process of, or journey
into, recovery.
Drawing on the theoretical work of French sociologist Pierre Bourdieu (Bourdieu
& Wacquant, 1992) and on their own research on recovery without treatment, White and
Cloud (2008) use the concept of “recovery capital,” introduced by Granfield and Cloud
(1999), which describes “the breadth and depth of internal and external resources that
can be drawn upon to initiate and sustain recovery” from addictive behaviours (Granfield
& Cloud, 1999, p. 1). Recovery capital reflects a paradigm shift in addiction treatment
from a focus on problems and illness to one directed toward solutions and recovery.
Cloud and Granfield (2008) define capital as “a body of resources that can be accumu-
lated or exhausted” (p. 1972).
Cloud and Granfield (2008) divide recovery capital into four components:
• Personal recovery capital: either physical (e.g., safe shelter, physical health, clothing,
food, transportation) or human recovery capital (e.g., values, education, knowledge,
24 Fundamentals of Addiction: A Practical Guide for Counsellors
Conclusion
—William Shakespeare
Addiction treatment is ultimately about finding solutions to the problems that come
with addictive behaviour. It is a very practical project that requires knowledge and val-
ues, and respect and compassion for each client. Most of all, it is skillful work. At its
core is our ability to work empathically and respectfully with individuals, families and
communities affected by addiction, often in extremely challenging circumstances. The
BPS+ model allows us to construct a dynamic and evolving engagement with clients in
the context of addiction and recovery. The biological, psychological, social, cultural and
Chapter 1 A Practical Approach to Addiction and Recovery 25
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Chapter 2
A Client Perspective
Cheryl Peever
For my money, memoirs written by addicts recounting their use are usually not what I
would consider reliable accounts of that period in their lives. If anyone implies they can
recall with perfect clarity the places, people, amounts and chronology of events surround-
ing their use, it’s usually fiction. What I do trust are stories of treatment and recovery.
People can recall with astounding detail the people they met, a look, a phrase or a gesture
during the early phases of recovery. Your first experience with treatment professionals is
an incredibly powerful moment. Your senses are heightened, your fear is acute and you
are considering making the most profound change of your life. From the first moment
you pick up the phone, walk into a meeting or attend an assessment, the circumstances
of that moment and the days and weeks that follow become embedded in your memory.
Even people who have relapsed many times and experienced multiple encounters with
addiction professionals can relate important moments of every treatment experience.
I did not have good experiences with addiction facilities when I was looking for
help, although in fairness to those I came into contact with, I would not have been
considered a platinum client. The symptoms of my illness and the accompanying agita-
tion, anxiety, depression and anger made it difficult for me to advocate appropriately for
myself or ask the right questions. I found the system confusing and frustrating, and it
seemed like there were more barriers than access points. As a professional, many years
later, I have been critical of the way clients are often treated within the addiction and
mental health systems and between those systems, although I admit great improve-
ments have been made over the last 20 years. It would be wrong to only talk about the
problems. In my career as a social worker, I have encountered incredibly skilled and
innovative clinicians who are trying to do their best in spite of the challenges presented
to them by clients with increasingly complex problems, higher demands for productivity
and an underfunded system.
A chapter about consumer perspectives should not reflect only one voice or one
time period. I decided that I needed to include the voices of others who had experience
with substance use treatment. I began to ask everyone I knew who had been to treatment
if they would speak to me about their experiences. They eagerly agreed. I also mentioned
it to other professionals and asked if they had any clients who would be willing to talk to
me. They did. At a talk I gave to an audience of both professionals and clients, I put it out
there almost as an afterthought; yet I had a lineup of people wanting to be interviewed.
30 Fundamentals of Addiction: A Practical Guide for Counsellors
Initially, I thought I would ask a couple of people some pointed questions about their
experiences with treatment. Instead I heard a chorus of about 40 people graciously and
thoughtfully telling their stories of treatment, recovery and relapse, and offering sugges-
tions for current and future professionals in the field.
Some people agreed to talk to me because they had negative experiences and
wanted to suggest how clinicians and systems could do better. People who had positive
experiences were equally as passionate about wanting to be heard; they wanted to talk
about what worked and why, and to convey the importance their counsellors played in
changing their lives. This was not a representative sample of all addicts by any means,
but it was a decent cross-section of the population—people varied in age, gender, ethnic-
ity and sexual orientation. Some people who spoke to me were using again; others were
in early recovery; and some had been clean for many years. Several people had chosen
to work in the addiction field because of their journey; others were in school or worked
in other fields, and some were unemployed. People were surprisingly compassionate
toward those who go into the helping profession and work with addicts, and they were
incredibly savvy about the internal pressures faced by those who work within the system.
Nevertheless, we think the system could work better; clinicians could be trained better,
supervised better; and society could do a better job of understanding addiction and what
addicts go through.
Throughout this chapter, I use the terms “addict” and “addiction” because those
are the terms I use for myself. If this were an academic article, I would probably use
terms like “people with substance use issues,” or I would distinguish between people
who are “substance abusers” and those who are “substance dependent.” But this is a
personal piece that conveys personal stories, so I choose to refer to myself and my com-
rades as addicts. Since alcohol is a drug, I include people who used alcohol as well as
those who used chemical or herbal substances. I sometimes refer to “drugs and alcohol,”
even though alcohol is also a drug. Instead of distinguishing the drug addicts from the
alcoholics and using another term for people who are cross-addicted, I use the word
“addict” as an umbrella term, with apologies to those who may feel squeamish about it.
Many of the people I talked to have a concurrent mental health issue. People don’t refer
to themselves as concurrent disorder clients, nor do they separate their mental health
issues from their addiction issues. While clinicians may think of concurrent disorders
as two disorders, those of us with personal experience generally think of it as one issue
that affects our total experience. I don’t distinguish between the groups.
The difficulty with papers, studies and books on addiction is that they have to distill
addicts into traits, generalities and common denominators. Trying to place those
templates onto the person in front of you misses the uniqueness and diversity of who
they are, their experience and what they may be trying to tell you. By the nature of the
lifestyle they have been living, and as a survival technique, most addicts are highly
Chapter 2 A Client Perspective 31
skilled at reading people. Some of us are used to walking into situations where we
must complete a threat assessment in about 30 seconds, and we need to be able to
spot the scam, the rip-off and the empty promises right away. So, we can spot phoni-
ness and false bravado a mile away, and can detect weariness, but distinguish it from
impatience, boredom or dismissiveness.
The client studies the clinician and tries to figure him or her out in much the
same way the clinician studies the client—by looking at body language, tone, speech
content, eye contact and so on. Clinicians often unknowingly telegraph their thoughts
and attitudes during an encounter in subtle ways (Maté, 2008). A client can tell when
someone is talking to them as a genuine human being and listening with compassion
and empathy to what they are trying to say. A client can also tell when someone is mak-
ing quick judgments or assumptions and slotting them into a category.
A clinician can ruin an encounter in only a few seconds, so that initial engage-
ment with a client is incredibly important. Even if a client decides not to continue on into
a program, that first experience with you can determine his or her feelings about treat-
ment as a realistic possibility some time in the future. If clients know they will be treated
with compassion and respect, they will feel comfortable about coming back. People who
were initially unsure about entering treatment said they engaged in a program based on
the first clinician they met. Overwhelmingly, what hooked people was being treated with
dignity and feeling like that counsellor or that program could help.
At a recent talk I gave to professionals in a psychiatric program, I put this question
to the audience: “Who would like to see clients treated with more respect?” Almost every
hand in the room went up. When I asked “Who feels like they treat their clients with
respect?” again, almost every hand went up. And therein lies the crux. Many clinicians
think their interactions with clients are respectful, while others are consistently witnessing
disrespectful encounters. If other clinicians can see it, you can bet your client can as well.
So how can you be sure you are treating clients respectfully? It’s pretty simple. If
you are talking to your client in the same way you would speak to your boss, a police-
man, your bank manager or your doctor, you are probably being respectful. If you are
talking to your client like a “street person,” a “sick” person or as if you don’t care how
they interpret what you are saying, then you are being disrespectful. If when clients are
not around you refer to them using terms like “junkie,” “crackhead” or “drunk,” chances
are pretty good you will come across as disrespectful to your client. As Gabor Maté
(2008) put it, “We see their reactions but don’t realize that we ourselves may be creating
what they are reacting to—not so much by what we say but by who we are being in the
process” (p. 384).
Many folks I talked with expressed frustration that their intellect seemed to be put
into question because of their substance use or substance of choice. Crack users and
meth users in particular felt like they were treated as uneducated or just plain stupid.
32 Fundamentals of Addiction: A Practical Guide for Counsellors
Counsellors tended to convey this message by speaking slowly and emphasizing cer-
tain words with an infantilizing tone or repeating phrases and questions for emphasis.
People with alcohol issues were sometimes treated to prepackaged slogans such as “just
put a plug in the jug” (as if that hadn’t already been tried). As a former cocaine user, I felt
like I was treated as if I had just done a little too much partying until I mentioned dealing
and intravenous use; then I could see in the clinician’s face that my intelligence quotient
plummeted and she was dropping me down a few notches on the seediness scale as well.
Having a substance use problem says nothing about your intelligence. It says
nothing about who you are, your moral character, your family, your personality, your
potential or your future. When I was at my worst, no one would have ever predicted
I would someday be clean and sober with two degrees and a fulfilling career. Perhaps
that’s because societal stereotypes and media portrayals involving addicts can sometimes
influence clinicians to set their expectations lower than they should. Additionally, some
clinicians who are used to seeing people who are acutely ill on a daily basis can easily
forget that those of us doing well in recovery are not an anomaly or the exception to the
rule, but what professionals should be consistently striving for.
Some stereotypes are so common they influence our behaviour without our
conscious awareness. We as a society, and sometimes health care professionals, tend to
marginalize users or take a paternalistic tone based on some of those stereotypes. It may
seem justified to treat addicts as people who need to be told what to do rather than as
thinking, complex people who need help putting the pieces back together.
While some clients may not be well educated, others are, and many are quite intel-
ligent regardless of how far they went in the education system. A good rule of thumb is
to treat clients on the same level they think they are at, not the level you assume they are
at. As one woman told me, “If I don’t understand what someone is saying I will tell them;
they shouldn’t assume I don’t know anything right from the start.” Many counsellors have
difficulty reconciling the discrepancy between a person who has the capacity to make good
decisions for himself or herself yet has made poor decisions, at least by society’s standards.
Using drugs, using certain drugs, using some drugs in certain ways, overusing
alcohol and becoming dependent on substances are all usually seen as “stupid things
to do.” But addiction has nothing to do with smart or dumb. Smart and not so smart
people can succumb to addiction, and all people make poor decisions at some point in
their lives.
Addiction, when you are in the throes of it, doesn’t feel like a decision at all; it
feels like a necessity. It’s a compulsion, a drive, an obsessive desire to acquire and use
to obliterate unwanted feelings, destroy troublesome thoughts and cope with the pain
of daily living. Addiction runs the control panel in your head and blessedly makes the
small things seem meaningless and the important things trivial. But having your life run
out of control and “needing” treatment doesn’t mean you are ready for treatment, want
treatment or can stick with it. Only a client can make that decision (unless, of course,
the criteria are met for an involuntary assessment). Not the family, not the friends, not
the employer. The drive overruns rationality sometimes (well, often), but that doesn’t
Chapter 2 A Client Perspective 33
mean the person can’t understand what is being presented to him or her, or what the
options and consequences are. The counsellor does not own the destruction people do
to their lives. The counsellor can’t steal other people’s lessons or take over their journey.
And clients will never follow your timetable. Treat people as if you trust they can make
a rational decision and chances are they will—eventually.
By the time most people recognize they have a problem and need help, they don’t
remember their life before substances came into the picture. Those who do remember
it may recall things like trauma, abuse, insecurity, social inadequacy, dysfunctional rela-
tionships, loneliness, self-destructive thoughts or mental health issues. The thought of
dealing with those issues clean and sober seems impossible.
People build their lives around their use. The people, places and activities that
make up their existence revolve around the substance of choice. Revamping and rebuild-
ing a new life, when this may be all you’ve known, is like being asked to live in a foreign
country. You don’t know the language, the customs or the behavioural norms, and there
is no map. You don’t know how to go about normal daily activities because your former
activities revolved around acquiring, using and recovering from your habits. When I first
had a little clean time I asked another woman in recovery what she did with her day. She
suggested going to the beach. What a revelation! I had forgotten there was a beach and
that people sometimes just relax and enjoy things like water, sun and fresh air.
The idea of interacting with “straight people” on a regular basis is another source
of stress. When you have a community of substance users, you have a culture, a lingo
and a shared frame of reference. Learning how to make small talk and converse with
people in situations that don’t involve substances can feel extremely awkward. Feeling
like you don’t belong or don’t know how to cope in the “straight world” can drive you
back to what you know, even though it may be harmful.
It is not just the particular drug or beverage or what it can do for you that is
addictive. Everyone develops little rituals that accompany their substance use. Those
little rituals become a source of immense pleasure and comfort. To live without drugs
or alcohol means living without the comfort of those rituals. Of course, new rituals can
be developed, but that is hard to imagine when you are thinking about living your life
without your substance of choice.
Clinicians may call the client “resistant” or “ambivalent.” The correct term is
“scared to death.” Knowing you may have to abandon everything you know and get
through the day without chemical assistance invokes terror in your soul. Although life
may have been hard, nasty, dangerous and unhealthy, the fear can make you want to stick
with the devil you know. Many people I spoke with said they wanted a “normal” life, but
most admitted that at the time, they did not know what “normal” meant or what it would
look like. One woman spoke of “wanting it but not wanting it,” and wondering what it
34 Fundamentals of Addiction: A Practical Guide for Counsellors
would mean to “become one of the pack.” Recognizing and acknowledging that fear and
what a multi-faceted, life-changing moment the client is facing is one of the best ways a
clinician can help a client with choices and further the therapeutic relationship.
Recovery is more than learning to stop certain behaviours or learning to take medication
regularly. People must transform many aspects of their lives and that may include where
they live, who their support system is, their habits, activities and thinking patterns. No
one developed an addiction quickly, so recovery takes time, lots of time, and can’t be
accomplished in 21 or 28 days. Treatment must be continuous, not fragmented, and
must support people through the changes they are going to experience and see them
through the inevitable setbacks. Learning to live and have a life without substances is a
huge undertaking; yet programs don’t always consider this when deciding what, or if,
aftercare will be provided.
There is a huge demand for addiction treatment, yet few new programs. That
places a huge burden on the supply side of the equation. Groups get bigger and more
economical. Budget cuts require staff to do more with less. There is a push to get people
through a program, but not necessarily to get them better. There isn’t always staff to help
with things like case management, finding appropriate housing and developing support
systems and good coping skills. People risk relapse if they end treatment without any
structure or systems in place to help them cope with the realities of their new lives.
Did you know what treatment was the first time you went?
A categorical “no.” Treatment is a mystery to those who need it. If you pay attention to
celebrity news, treatment seems like a resort in a remote setting with gourmet food,
tennis courts, individual therapy and yoga classes. Generally speaking, that’s not what it
is unless you have lots of money. Many assume treatment is where you find a cure, and
learn to become a different person. Again, that’s not it. People I talked to were under
the impression that treatment was going to “fix them.” Some were looking for their
problems to disappear; others wanted to understand why they were using, thinking that
would solve the problem; and some simply wanted the desire for drugs and alcohol to
be taken away. These misconceptions about what treatment will do for you are a recipe
for disaster. Unless you truly understand what treatment is about and what you are sup-
posed to get out of it, you are likely to be disappointed with the experience.
There are many kinds of programs, and there are many kinds of addicts and dif-
ferent ways to reach them. Some people require a structured program; others will cut
and run as soon as a heavily structured rule-based program is imposed on them. Some
addicts appreciate a standardized program, while others will label it “cookie cutter” and
look for something more suited to their particular needs. Some find comfort in God,
while others reject any form of religion or spirituality that is introduced. Some addicts
Chapter 2 A Client Perspective 35
handling this by any other means than compassion, education and getting the person
back on track. Your doctor usually doesn’t fire you for not following orders or making
mistakes on the way to learning to manage an illness.
Yet learning to manage substance dependence is often not given the same leeway.
An inexperienced clinician may take it personally and question whether they can con-
tinue working with the person because they feel let down or betrayed. Program leaders
may view the person as “not ready” or as “flouting the rules.” Things like motivation,
commitment and competence are put into question. Clinicians often feel they should
decide what they are going to do with the client, rather than asking the client what they
want to do about the program. Professionals have a lot of power to shape a person’s
recovery journey. In some cases, that power is used to further the staff agenda, and the
client is left out of the equation.
People who felt they had a great counsellor could not find enough words to express
their gratitude toward that person who helped them through the most difficult period
of their lives. They were likely to offer the bulk of the credit for their early recovery
to their counsellor, rather than acknowledge any of the heavy lifting they themselves
may have done. When asked what makes a great counsellor, everyone used the same
adjectives.
The first was non-judgmental. Clients who felt like they were not being judged,
sized up or critiqued were able to openly and comfortably discuss the full range of their
issues, experiences and feelings. This was the most significant precursor to developing
trust and respect in the therapeutic relationship. No one I spoke to mentioned respecting
a counsellor based on credentials or years of experience. What inspired respect was a
counsellor’s ability to be non-judgmental. People who respected their counsellor listened
to what they had to say and the suggestions they would offer, and remembered things
they had said. Some quoted a particular line or phrase their counsellor had used that had
an impact on their recovery. Even people who had relapsed would remember something
their counsellor had said and take that phrase into their next recovery experience with a
deeper understanding of what was meant.
In addition to being non-judgmental, a counsellor has to display humanity by
being empathic and communicating an understanding of the client’s experience.
That may sound easy, but it really is a skilled practice. There is nothing worse than
trying to explain your chaotic, messed up life to someone who has a blank look on
their face or clearly is not relating to anything you have to say. That is not to say the
counsellor has to be in recovery, or have had a chaotic life, although many people felt
that clearly helps. A counsellor simply must be able to offer more than superficial
responses and platitudes to be effective. Never use phoniness or fakery, and don’t
hide behind terms like “boundaries” or “professionalism.” Boundaries are meant
to prevent clinicians from becoming overly involved in a client’s life to the point of
Chapter 2 A Client Perspective 37
Some people talked about having good counsellors who played a pivotal role in their
recovery. Everyone talked about at least one other client, if not more, who was a sig-
nificant part of the recovery journey. The power of a common experience cannot be
understated. Going through something so difficult with others who were dealing with
the same struggles played a monumental role in people’s stories. Even if counsellors
38 Fundamentals of Addiction: A Practical Guide for Counsellors
have had their own personal experiences of going through treatment, they are not going
through it now; that is where other clients who are having the same feelings, thoughts,
fears and irritations can be helpful.
Twelve-step programs have always capitalized on the power of fellowship and
sponsorship (Narcotics Anonymous, 2004). Having another person to talk to who is
also in recovery, who has time to talk and listen, and who can share lessons learned,
steer you away from bad decisions and recognize warning signs if you are about to
relapse is an essential part of the self-help movement. There will be times when clients
may be fooling themselves, lying or overestimating their ability to stay clean. Other
clients can point out those things in a way that clinicians may not be able to. Many
programs that are not based on the 12-step model fail to capitalize on this valuable
resource. Some outpatient programs have rules forbidding clients from socializing
with one another or tell clients not to go for coffee or do things together after group.
Sometimes clients are told they can go for coffee but they are not to discuss anything
“personal” or talk about their recovery.
As a clinician, I understand the rationale. You don’t want clients working on one
another’s problems and trying to rescue one another; you want them to focus on their
own recovery. Clinicians also worry about clients triggering one another and taking it
badly if someone relapses. The thing is, clients do it anyway. It would be better for people
to have guidelines to adhere to when they socialize than to sneak around and worry
about being discharged from a program for making a friend. Many addicts don’t have
people in their lives to talk to who aren’t using and they don’t know how to make friends
with people who aren’t in treatment. Those early steps toward making friendships while
clean and sober are important steps toward a new type of social development.
It needs fixing. That was the general consensus among people who had been through
treatment. It will come as no surprise to anyone in the addiction field that clients think
it is difficult to find a treatment program and have to wait too long to get in. It would
be useful if people seeking help had one phone number to call to get information
about treatment programs and options. Many clinicians are familiar with the Drug and
Alcohol Registry of Treatment (DART), but not many clients have heard of it. Making
information more accessible and readily available would help clients or family mem-
bers who need information about treatment. Some people felt it would be useful if all
facilities pre-screened clients right away, rather than making them wait a week or more.
When a client feels ready for treatment, there is usually a small window of opportunity.
Any small frustration, such as waiting for an appointment, can close that window. Pre-
screening clients when they first make inquiries about an appointment gives them the
opportunity to ask questions and get information, and takes some of the mystery out of
the process. This may help clients stay committed to keeping their assessment appoint-
ment, even if they have to wait.
Chapter 2 A Client Perspective 39
How often is client feedback sought in your organization? Aside from anonymous sur-
veys that ask questions like “how satisfied were you with the group?” are there ways to
provide genuine feedback about the program and the clinicians working within it? One
person suggested that client feedback be incorporated into staff performance evalua-
tions, which would certainly influence service delivery. Meaningful feedback can only be
sought through one-to-one interactions or safe focus groups.
When I last managed a clinical program, I used to try meeting with clients when
they were being discharged to ask about their experience and discuss suggestions for
improving our program. Clients who were not comfortable talking about their experi-
ence could complete an anonymous survey that allowed them to voice any concerns or
compliments, but usually they appreciated being able to talk to a person. In my experi-
ence, clients often made observations about clinicians that echoed opinions I had already
formed from listening to clinicians speak in team meetings and rounds. The client voice
confirmed what I already knew—that I had a superior clinician or I had some issues to
address with training or supervision. Clients also offered suggestions for the program
that were often easily implementable from an operations standpoint but that could only
come from having experienced the program as a client.
40 Fundamentals of Addiction: A Practical Guide for Counsellors
Conclusion
There are probably few people working in the system who think it works perfectly. Most
of us realize that the system often disadvantages clients in ways we feel we don’t know
how to change. But within individual programs, barriers can be lowered. How your
program accepts clients, how quickly your program can accept clients and what your
program offers can always be improved. Communicating with clients about what to
expect and what the program is about will help them understand what they are enter-
ing into. Ensuring clinicians are well trained, well supervised and assisted with practice
difficulties can improve outcomes and clients’ perceptions of their experience. Asking
clients about their experience and having a mechanism for them to offer feedback and
suggestions can often uncover novel, inexpensive ways to improve a program.
When clients come to us, they are looking for help. They are experiencing a pro-
found realization that life cannot continue the way it has been, but that doesn’t mean
it will be easy to change or that it will be easy for the clinician. Clients have the right
to expect that clinicians will treat them with dignity, compassion and respect, and have
the skills to see them through this life change. They will often challenge clinicians, but
those who meet this challenge will have their clients’ lifelong respect and often inspire
some to enter the field. The clinician who can treat a client as capable and knowledgeable
about his or her own life experience will be able to form a genuine partnership through
the client’s recovery journey. Clients will relapse—that is part of recovery—but your
personal response to relapse should not be the deal breaker or your opportunity to make
the client feel inadequate. No one I spoke with who has had success with recovery ever
thought they would be successful. Usually, they had many failed attempts and were ready
to give up. But someone gave them hope and eventually made them feel they could do
it. To those people, whether professionals, laypeople or fellow members of the recovery
experience: thank you—from all of us.
Chapter 2 A Client Perspective 41
Practice Tips
• Remember that for your client, this is the scariest thing ever and it seems
impossible. Help clients see that you understand that, and will help them
get through it.
• Be non-judgmental and truly present for the client. Being mindful of your
body language, your tone and the internal thoughts that may be coming to
mind will help you do this. Remember, your client can read you.
• Learn as much about mental health as you have learned about addiction,
and vice versa. Treat the whole person.
• Expect clients to recover and have a better quality of life. Offer them hope.
• Let clients know what they can expect from your program, and from you.
Let them know what might be available in the community, should they be
looking for something different.
• Have a mechanism for clients to offer open-ended feedback and sugges-
tions about the program. Take their feedback seriously.
• Relapse means there is more work to be done and lessons to be learned.
That’s all.
Resources
Publications
Carr, D. (2008). The Night of the Gun: A Reporter Investigates the Darkest Story of His Life.
New York: Simon & Schuster.
Maté, G. (2008). In the Realm of Hungry Ghosts: Close Encounters with Addiction. Toronto:
Random House.
Internet
Canadian Harm Reduction Network
http://canadianharmreduction.com
Drug and Alcohol Helpline
www.drugandalcoholhelpline.ca
LifeRing Secular Recovery
www.liferingcanada.org
42 Fundamentals of Addiction: A Practical Guide for Counsellors
References
Cherry, A.L. (2008). Mixing oil and water: Integrating mental health and addiction
services to treat people with a co-occurring disorder. International Journal of Mental
Health and Addiction, 6, 407–420.
Kaplan, C. & Broekaert, E. (2003). An introduction to research on the social impact of
the therapeutic community for addiction. International Journal of Social Welfare, 12,
204–210.
Maté, G. (2008). In the Realm of Hungry Ghosts: Close Encounters with Addiction.
Toronto: Random House.
Narcotics Anonymous. (2004). Sponsorship, Revised. Van Nuys, CA: Narcotics
Anonymous World Services.
Chapter 3
In trying to engage with Aleah, Marc seeks out the advice of his colleague
Nagin, who is well respected for her work with marginalized communities.
Nagin encourages Marc to consider the social context in which Aleah was liv-
ing, recognizing the impact of her life in her home country, and the effects of
migration. Nagin suggests that Marc also think about how Aleah may have
learned to mistrust authorities, and that she has clearly experienced trauma
and may feel unsafe and unfamiliar seeking the help of a professional, par-
ticularly since she has substance use issues that she might fear will cause
her to lose custody of her children.
Marc prepares by learning a bit about Aleah’s home country and settlement
issues to inform his engagement with her. He begins by listening carefully and
allowing Aleah’s trust to build gradually. He reflects back to Aleah her evident
courage and resilience in managing the migration journey with her children,
and her ability to get this far in the treatment system. Marc reflects on his own
social location and cultural norms, and how being male, English-speaking,
Canadian-born and part of the health profession may affect his rapport with
Aleah and how to mitigate that impact to support Aleah in meeting her goals.
44 Fundamentals of Addiction: A Practical Guide for Counsellors
Diversity matters. It matters in the lives of clients, in the way services are designed
and delivered, in how health systems are structured and in the very essence of how clini-
cians understand themselves and their work. The goal of this chapter is to understand
how we can effectively integrate a diversity and equity lens into our professional practice
as a core component of quality care. The chapter is an introductory road map to the spe-
cific skills and knowledge required to “do diversity” in addiction treatment.
Fortunately, there is a solid foundation of multidisciplinary research and prac-
tice literature, and several decades of dynamic debates about models, frameworks and
approaches to draw on. The clinician is often highly motivated to “get it right,” while at
the same time fearful of getting it wrong. The question is, how do we move from inten-
tion to action, from research to practice? How do we bring the necessary knowledge and
skills to bear to translate diversity and equity principles into clinical practice with diverse
clients, applying a wide range of cultural perspectives on substance use?
Integrating diversity strategies into treatment and building equity and cultural
competence into service models and systems certainly requires specific knowledge and
skills. But implementing these concepts also builds on wisdom and capacities that are
foundational for most clinicians. This work is about implementing the distinct but
interrelated concepts of diversity, clinical cultural competence and health equity. In the
practice literature, these concepts are often framed as relatively independent from one
another, rather than as existing on a dynamic continuum, with each informing the other.
In fact “doing diversity” in clinical practice draws on all three domains or concepts, apply-
ing a combination of awareness, knowledge and skills to achieve effective and equitable
care outcomes. Rather than the onus being on clients to make themselves understood to
the therapist, therapists can work to educate themselves and respond sensitively to the
diverse needs of their clients, as the opening case study illustrates.
Diversity
At its weakest, diversity refers to differences removed from social context, a concept as
banal as, “I like blue, you like yellow, we’re all just people.” From a social determinants
of health lens, it’s clear that diversity is not about “difference” per se, but about unequal
power in society—both historically and today—operating across key social locations,
including race, ethnicity, gender, class and socioeconomic status, sexual orientation, dis-
ability, language, accent and gender identity. Diversity in the health and human services
context is about the impact of inequality on the health and well-being of marginalized
individuals, communities and cultures.
Most health practitioners will be familiar with the significance of the social deter-
minants of health to this definition of diversity. The categories of the social determinants
of health are dynamic, but include income level and distribution, housing, employment,
social exclusion and more recently, forms of oppression such as racism or ableism that
in and of themselves are seen as social determinants of health (Mikkonen & Raphael,
Chapter 3 Diversity and Equity Competencies in Clinical Practice 45
2010). In the context of health, diversity is about how these characteristics of social
locations affect and even largely determine health risks, access to service and overall
health status. It is well recognized that populations with greater challenges in sustaining
good health and in accessing housing and employment have a higher burden of illness
and poorer health outcomes (Braverman, 2006). Plainly put, poverty, discrimination,
social exclusion and stigma are bad for our health. Applied to addiction treatment, this
reflects the need for a holistic approach that recognizes the effect of non-clinical factors
on health and that acknowledges the many ways in which people view, understand and
engage in recovery. A holistic approach also recognizes the importance of having access
to adequate resources and life options.
The definition of diversity engaged here includes all the categories recognized by
human rights codes and the Canadian Charter of Rights and Freedoms and related leg-
islation, but is not limited to these. At the big-picture level of social structures, Canadian
human rights laws are a vital component of “doing diversity,” even if it is not always
top of mind in clinical work. It is an under-appreciated fact that our highest level of law
explicitly recognizes the need for the protection of minority rights and the de facto exis-
tence of histories of discrimination that have systemically disadvantaged specific groups
in particular ways. (One need only do a quick Internet search for examples of systemic
discrimination toward Chinese Canadians, Japanese Canadians, women, Aboriginal and
First Nations Peoples,1 various faith groups and people with mental health or addiction
issues, for example.)
Entrenching the concept of “designated groups” and “prohibited grounds” of
discrimination in human rights law creates a fairly unique system in which positive
measures taken to redress historical wrongs and mitigate their current expressions
are understood as acceptable and often necessary, and do not constitute bias or so-
called reverse discrimination. For example, a positive measure such as hiring female
clinicians to work with women victims of abuse or a program prioritizing Somali- or
Arabic-speaking staff to work with members of the Somali community constitutes an
expression of our human rights laws—not a breach of them. A structure or program
design that is aimed at mitigating the impact of racism—for example, by integrating
Aboriginal cultural practices within an Aboriginal addiction treatment program or
prioritizing the hiring of skilled Aboriginal staff in a mainstream service—does not
create a “reversal” of colonialism and racism. The perspective behind the term “reverse
discrimination” grossly distorts the impact of decades-long systemic discrimination
(including through formal government and institutional policies, laws and processes)
and decontextualizes initiatives aimed at preventing and addressing discrimination. The
term re-centres the focus on the status quo of established privileges and hierarchy (be
it gender, race or class). If only a micro-level intervention such as priority hiring would
actually reverse macro social and historical systems of oppression, full equality would
1 While the term “Aboriginal” is frequently used as an umbrella term for First Nations (status and non-status), Métis and
Inuit, many First Nations reject the term as failing to recognize the distinct rights of each of these groups. This is particularly
so since the Department of Indian Affairs and Northern Development was renamed the Department of Aboriginal Affairs
and Northern Development Canada in 2011. For more information, visit www.chiefs-of-ontario.org/faq. The author generally
uses the term “Aboriginal,” but wishes to recognize the critique and the dynamic nature of debates around naming language.
46 Fundamentals of Addiction: A Practical Guide for Counsellors
be readily achievable! Surprisingly, federal and provincial laws are occasionally more
progressive than some front-line staff and managers who may struggle with the notion
of customized strategies in service design or delivery aimed at addressing barriers for
specific populations or communities.
A core principle of diversity and health equity is the fundamental recognition that
treating everyone the same does not result in equal outcomes. We don’t begin from a
level playing field and one size does not fit all. If the goal is to ensure equal opportunity
for services and more equitable health outcomes regardless of identity or social location,
then we need differential, customized treatment to address barriers to health care.
The demands of a broad human rights–based definition of diversity can seem
daunting at first, but perhaps counterintuitively, this complexity is also one of its great
strengths. Understanding diversity to include a range of social locations and identities
means that each one of us has some wisdom, knowledge, expertise and lived experi-
ence of at least several of these identities: our ethnicity, gender, language and race, for
example, inform our perspectives. Equally important, understanding diversity is about
recognizing that each one of us has areas where we lack knowledge of different identi-
ties and social locations. Every service provider has a potential point of engagement with
the issues of diversity and equity, some expertise and something new to learn. We are all
multiply located. However, the integration of an analysis of systemic inequality, oppres-
sion and privilege is essential to this understanding of multiple diversities and human
rights. When engaged effectively, these multiple points of knowledge assets and learning
gaps can be a powerful component to a diversity competence strategy in clinical service.
This broad definition of diversity, which integrates anti-oppression rather than
mere “difference,” avoids the problems of a rainbow of identity relativism, which conveys
that “we are all diverse,” while absenting material inequality. This stance is expressed
through comments that someone “doesn’t see” race, colour, gender or ability, despite
the evidence that such differences do matter. Rather, the broader definition enables us
to reflect on the impact of unequal social power in each of these identities and makes
visible the systemic, entrenched and institutionalized nature of privilege and marginal-
ization. Practitioners and clients need to understand how inequality and inequity affect
clients’ health in order to develop meaningful strategies and interventions.
Understanding power dynamics is about mapping degrees of privilege and mar-
ginalization across and among each of these aspects of diversity. The fact that most of
us have areas of privilege and areas of marginalization in our lives means that we have
to pay particular attention to how specific power dynamics are expressed in any given
situation, be it within a team, clinical service delivery or program design, or at the orga-
nizational level.
While each of us has experience with some unique combination of privilege and
(for most of us) marginalization and multiple points of engagement with these issues,
it is easier to remain blind to our own privilege, which by definition smoothes our path-
ways. Privilege is the absence of barriers, proximity to established norms and the accrual
of unearned benefits. In clinical practice, it is important to recognize how our privilege is
Chapter 3 Diversity and Equity Competencies in Clinical Practice 47
at play in the workplace and in the therapeutic relationship. In order to create safe spaces
for clients, therapists may need to unpack the role of privilege and oppression in their
relationships. At the very least, actions of the therapist must not reinforce or replicate
oppressive patterns that may contribute to clients’ presenting issues.
For the practitioner, this means that living with one or two points of marginaliza-
tion, for example, female gender and lesbian sexual orientation, should not make one
blind to or disengaged with points of privilege such as white skin, class and ability. In
practice, these issues require a process of learning, critical reflection and a dynamic
engagement within a complex social context. For example, a white middle-aged hetero-
sexual nurse with 25 years of experience in addiction and sexual health work in large
cities may have impressive skills and be highly culturally competent working from a
harm reduction model with urban gay male communities, but will have a whole new
learning curve in providing service for urban and suburban heterosexual women of
colour at risk for HIV.
Bringing historically grounded evidence of inequality and current health equity
data to our understanding of marginalization and privilege enables us to appreciate the
particular salience of some issues or combination of issues to health status, such as
intersections of gender, race, class and immigration. This information can be a power-
ful clinical tool. The last two national census results, for example, reveal that poverty
is highly racialized, in that populations with the lowest income are recent immigrants
(five years or less), Aboriginal Peoples, racialized people and people with disabilities.
If we were to analyze the data further we would also see the gendered racialization of
poverty within these communities (Block, 2010; Statistics Canada, 2011). This data can
tell us which communities are at greater risk for poor health and can inform planning
for health promotion, access to treatment and program design. “Doing” diversity means
having the awareness of power and social location (of self, team, service and client
or community), combining this awareness with knowledge of health data for specific
populations and bringing that awareness and knowledge to bear in practice (the skills
component). Health equity knowledge broadens the clinician’s understanding of the cli-
ent’s social context to yield options that are realistic and meaningful for the client.
How we “see” and meaningfully practise diversity is both obvious and complex.
Diversity can be both visible and invisible—the more visible often being race, sex, gender
expression, age, some physical disabilities, ethnicities (at times) and some languages.
Some diversities, including sexual orientation, class and socioeconomic status, may
vary in visibility based on factors such as individual expression and the social context,
including the class and gender norms in a service, organization or community. Working
with front-line clinicians across the province, I have often been struck by the frequency
with which diversity is assumed to refer exclusively or primarily to race and ethnicity
(narrowly defined). Training in northern and northwestern Ontario, I have commonly
heard “Oh, but we don’t have much diversity here,” as if the ethnoracial and immigration
realities of southern Ontario and the Greater Toronto Area are the only true examples
of diversity.
48 Fundamentals of Addiction: A Practical Guide for Counsellors
might focus on access issues, program design, clinical education and capacity, evaluation
of service response, ensuring that service delivery is not contributing to the problem
(health care inequities) and considering health outcomes for diverse clients.
Health equity in addiction services includes the willingness and capacity to work
with and across identities one might not share. This includes the capacity to address
one’s individual bias, prejudice or ignorance of particular groups (e.g., refugees, a spe-
cific faith or ethnic group) or social issues (e.g., poverty, domestic violence) and ensuring
these limitations do not affect clinical care. Working across diverse social locations
involves the ability to navigate potential discomfort and awkwardness in our own learn-
ing. But if we take seriously the human rights foundation discussed earlier, we cannot
simply rest with our biases and say “I am not okay working with ‘x’ population or com-
munity.” Rather, we need to consider how we build capacity at the practitioner, program
and system levels so that we are mitigating, not contributing to, health inequities. At the
system level, population, community or issue-specific services are of course important,
but we also need broad-based services that effectively provide care for all.
One example of how diversity and health equity knowledge might be applied in
addiction service provision would be a readiness to work with lesbian, gay, bi, trans or
queer (LGBTQ) clients regardless of one’s own sexual orientation and gender identity. In
this instance, the practitioner should have some knowledge of health equity research that
shows higher rates of suicidality, addiction and some mental health issues (depression
and anxiety) as a result of social exclusion and stigma toward the LGBTQ community
(Buttery, 2004/2005). The practitioner might bring an awareness of the impact of gen-
der and age differences within LGBTQ health disparities research, as well as awareness
of the differences in prevalence rates among diverse LGBTQ people. Bringing health
equity data and research to bear is of course not about projecting the socio-demographic
health research onto the client, but about keeping this social context and health data in
mind when learning about the client’s specific life context.
For clients who are also minoritized on the basis of race or ethnicity, practitioners
could explore how family, community and cultural resources are important in dealing with
both racism and homophobia. When assessing resilience, risk and protective factors, social
resources and sense of community, recognize that many racialized LGBTQ people are part
of multiple communities and cultures and that these identities affect their wellness strate-
gies. For some LGBTQ people, socializing in bars and clubs is an integral part of connecting
with community—so strategies to deal with alcohol and other drug use must address ques-
tions of culture, identity and support in ways that are specific to the client’s experience with
the queer community. This exploration includes defining family and identifying where sup-
ports and social resources are found for the client. The client’s other aspects of diversity also
remain integral to the recovery process: disability status, mental health, literacy and socio-
economic resources are all factors that shape the social determinants of health and identity
strengths for clients. This is about bringing a diversity lens to the process, not assuming the
primacy of diversity over other aspects of holistic identity, such as a person’s interests and
talents; being a parent, sibling or guardian; or their life journey and goals.
50 Fundamentals of Addiction: A Practical Guide for Counsellors
Gender power relations are a root cause of gender inequality and are among
the most influential of the social determinants of health. They determine
whether people’s health needs are acknowledged, whether they have control
of their lives or their health and whether they can realize their rights. (p. 2)
This gender knowledge would include information about the clients and one’s
own beliefs and expectations about gender role norms. It could also include accessing
epidemiological data about the impact of alcohol and other drugs on women compared
to men; research on prevalence of trauma and linkages with substance use; risk of
intimate partner violence or other potential impacts of sexism and gender inequality;
and perhaps information about what groups are disproportionately represented among
street-involved women and the criminal justice system (Aboriginal and First Nations
women, lesbian, bisexual and trans women). Gender equity would also include moving
beyond gender as solely binary male/female to include a spectrum of gender identities
and expressions. This would include gaining knowledge about the trans community, the
prevalence of barriers to accessing health and social services for trans people and the
significantly heightened risk of violence and social isolation (and under what conditions
this is most pronounced) (Trans PULSE Project Team, 2012).
This equity knowledge provides a rich social and political context for service provi-
sion, but it is never to be engaged in a deterministic or prescriptive way. In the face of this
complexity, it is understandable to wish for a checklist or a single tool to help translate
knowledge into practice. But there is a good reason to resist this impulse. Simply put, to
reduce the realities of social location and power relations, histories of colonialism and
resistance, or culturally specific knowledge to a checklist risks losing much of the meaning
and knowledge needed to translate this information into effective practice. Minimizing
the impact of culture, diversity and social location for an individual client in the face of the
complexity of a person’s actual life does a tremendous disservice to that person. Such an
impulse is really asking clients to leave some parts of themselves at the door, with all the
potential capacities and resiliencies therein, for the convenience or comfort of the service
(or service provider). Yet who hasn’t heard, “Can’t we just focus on gender and deal with
race somewhere else,” for example, or “We’re all here about our addiction issues. Your
immigration issues are not the point.” We want people to bring their whole selves to the
recovery process and this means having some capacity at the system, program and prac-
titioner level to integrate the multiple diversities each of us embodies.
The approach to diversity and health equity described here can act as a framework
that can be applied in any context. The foundational concepts remain relevant across spe-
Chapter 3 Diversity and Equity Competencies in Clinical Practice 51
cific situations because at the core is the recognition that the issues of power, inclusion
and diversity are never static, but are context dependent and dynamic. Thus, we need a
foundational understanding of power and inequality and, at the same time, openness to
the specificity of particular regions, communities and histories—and the unique ways
in which an individual negotiates and navigates these realities. This is why there is no
checklist for diversity inclusion and health equity, no recipe for cultural competency in
clinical practice.
The fields of diversity in health and human services, health equity and cultural
competence are dynamic and evolving. Multiple theoretical and practice frameworks
exist within the cultural competence literature. It is beyond the scope of this chapter
to delve into the differences between models of cultural sensitivity, humility, safety
and awareness within, broadly speaking, the cultural competence field. But within the
cultural competence field, a stream of clinical cultural competence work exists that
centres power and inequality within the model and brings a rich non-static analysis of
culture and meaning production to bear: this is the model engaged here. As with the
terminology for diversity discussed earlier, we have to interrogate how the concept of
cultural competence, or a particular iteration of it, is being applied. In particular, the
term “cultural competence” has been critiqued for bringing an overly simplistic, ahis-
torical and depoliticized understanding of culture, effectively producing the very sort
of cultural checklist and stereotypes I am warning against. This essentialist approach
assumes an overly simplistic understanding of culture and indeed of individual and
community negotiation of culture that is fixed and ahistorical. This simplistic model
owes much to the world of global business, which seeks simple rules for customs, such
as greeting by handshake or bow, or a trait list of how “x” people behave, eat, live or
otherwise conduct themselves.
Remnants of an apolitical and essentialist lens on culture still linger in the equity
literature, which is why some practitioners remain uncomfortable with the term. Others
dislike the language of “competence” for its potential to quantify complex work as if one
either is or isn’t competent. Early models also focused exclusively on “the other” without
a consciousness of the practitioner’s (and the health system’s) own cultures. Clinicians
are now less likely to draw on these simplistic models, which have been heartily critiqued
in the field of cultural anthropology, where paradigms of cross-cultural work originated
(Carpenter-Song et al., 2007). It will be interesting to see how health and human services
address issues of culture over the next few years as the research, application to practice
and discussions continue. While it is vital to guard against a problematic essentialized
version of culture and cultural competence, there is a robust body of work that does not
operate from those paradigms.
Interestingly, a health care cross-disciplinary review of best practice literature
and regulated health professional colleges (nursing, social work, occupational therapy,
psychology and psychiatry) reveals that while there is a lack of an operationalized defini-
tion in the literature, there is significant overlap of understanding about clinical cultural
competence (Harmaans, 2003). These health disciplines all recognize three main com-
petence areas for clinical cultural competence: awareness, knowledge and skills. They
also agree on several key features of clinical cultural competence, that it:
• is highly valued
• is understood as an ethical responsibility
• is developmental and requires ongoing learning
• ought to focus on client-system outcomes and client perceptions
• is a key aspect of client-centred care.
Chapter 3 Diversity and Equity Competencies in Clinical Practice 53
However, what is missing or less explicit across the disciplines is the need for
social power relations and health equity to be central to clinical cultural competence. An
explicit integration of power and equity within clinical cultural competence is a more
recent iteration in the literature, but one that is central to this project.
Providing a framework for clinical cultural competence can enable us to understand the
key domains in this project and help practitioners integrate this skill within their practice
toolkit. This is necessarily a brief introduction and overview, not a substitute for a more
sustained and extensive engagement with the literature.
Srivastava (2008) has reconfigured and expanded the widely recognized core
domains of attitudes, knowledge and skills required for cultural competence as the
“ABCDE” of clinical cultural competence—affective, behavioural, cognitive, dynamics
of difference, and equity and environment. This is a brief introduction to these core
domains.
The affective domain refers to cultural awareness and sensitivity, an understand-
ing of culture and its impact on values, norms, world view and communications. This
should be applied self-reflexively to one’s own culture and social location and also to the
culture of one’s discipline, agency or organization and cultural view of health and illness.
This domain is closely linked with the “cultural humility” model (Tervalon & Murray-
Garcia, as cited in Kirmayer, 2012).
The behavioural domain refers to skills applied in practice at all stages of service
provision, including engagement, negotiation, support, care planning, referral and
closure, which enable the health care provider to integrate the client’s cultural milieu,
social power issues and self-reflective practice regarding the clinician’s own “culture”
(broadly defined), in order to engage with the client for the most appropriate goals and
interventions. According to Srivastava (2008), “The behavioural domain of cultural skill
is complex as it requires competency in the domains of awareness and knowledge along
with ‘knowing how’ to provide effective care across cultures” (p. 27).
In the cognitive domain, Srivastava (2008) emphasizes two forms of knowledge
essential for clinical cultural competence—generic cultural knowledge and specific cul-
tural knowledge.
Acquiring both generic and culturally specific knowledge is one aspect of clinical
cultural competence that has not overlapped significantly with the previous discussion
of diversity and health equity. This domain of knowledge is essential to effective cross-
cultural clinical work, and comprises one of the final key concepts for integrating “the
how” of diversity in clinical practice.
54 Fundamentals of Addiction: A Practical Guide for Counsellors
• using team meetings, supervision and other existing forums within the clinical setting
to share information and exchange knowledge to build capacity within the service.
Health care providers should not rely solely or primarily on the client for cultur-
ally specific knowledge. Marginalized clients and those whose identities are different
from the clinician or from mainstream health care often experience the extra burden
of educating the clinician in order to receive appropriate care. On a very practical level,
this eats into the time the client has for himself or herself. As one client has said, “You
only get 10 minutes at a physician for the most part and if you have to spend half of it
explaining to them what’s going on, you don’t get your services” (Eady at al., 2008). Part
of this project must be to develop strategies to support ongoing learning and knowledge
exchange within organizations as part of the organizational competencies.
Srivastava’s (2008) “dynamics of difference” and “equity and the environment”
are about ensuring that principles of human rights, diversity and health equity are
engaged with throughout the process at the client-clinician interaction level, the client-
program/service level and the broader health system and societal level.
The cultural competence literature discusses multiple levels of engagement,
including the micro or individual level, the meso team or program level and the macro
level, both organizational and societal. As Srivastava (2008) emphasizes, clinical cultural
competence cannot function without organizational support, no matter how motivated
and informed an individual service provider may be: “Individual healthcare providers
need organizational resources such as interpreter services and collaborative partnerships
with community agencies for purposes of referral and consultation” (p. 29). This multi-
level engagement comprises the equity and practice component of Srivastava’s model.
Nuances in Practice
This chapter has provided an introductory map to the foundations and intersections of
diversity, health equity and cultural competence in clinical work. At its core, this approach
is about integrating a holistic approach that sees diversity and culture for both their
potential risk and protective factors, viewing the client as the expert on his or her own
life, demonstrating respect and regard for the client’s world view, ensuring client-led
treatment planning and being able to engage culturally specific and alternative therapies.
In practice, application of this approach will look different with every client. In the
case example that opened this chapter, we were introduced to Aleah, who fled civil war
with her two young children and came to Canada after two years in a refugee camp. In
engaging Aleah and beginning to build a therapeutic relationship, her counsellor, Marc,
considers the social context in which Aleah was living and the impact of pre-migration,
migration and post-migration factors, including why Aleah might mistrust authority and
state systems, the impact of trauma (including risk of sexual violence), the fear of losing
custody of her children, her struggle to navigate the Canadian health system and perhaps
her lack of familiarity with the role of the clinician in that system. Clinicians may also
benefit by soliciting clients’ explanatory models of their situation and addiction issues
from a holistic perspective (Kleinman & Benson, 2006; Kleinman et al., 1978). In the
case of Aleah, Marc reinforces Aleah’s strength and resilience evident in managing the
migration journey with her children, her parenting capacities, and her ability to engage
with housing, income support and the treatment system. Marc also obtains specifics
about Aleah’s culture and socio-political realities to help build rapport and provide appro-
priate care, and to help her navigate Canadian health policy and systems issues, which
have been affected by federal cuts to refugee mental health, preventative treatment and
childhood vaccinations (under the Interim Federal Health Program in 2012). Marc also
reflects on his own social location and cultural norms, and is mindful of the gender,
linguistic, ethnic and other diversities at play in the treatment process. A fuller profile of
equity engagement in practice would consider the structures and supports at the team,
program and service levels as well. These are just a few of the many possible ways in
which equity competencies could be applied with Aleah.
As discussed earlier, it is important to guard against stereotyping, essentializa-
tion or reducing a person to a cultural profile when working cross-culturally. A vigorous
equity and client-centred orientation means that the clinician is always led by what is
true for a particular client, not what might be a general truth for his or her culture or
community. Lieninger (as cited in Srivastava, 2008) describes this culturally specific
knowledge as “holding knowledge” of cultural patterns that the clinician has on hand to
inform the engagement with the client, but not in a prescriptive manner. For example,
the fact that some Aboriginal and First Nations cultures may communicate with pauses
and less direct eye contact does not mean a particular client will. In the same way, the
fact that some first-generation immigrants from a particular region may subscribe to
traditional gender norms does not mean that your client or her husband from the same
Chapter 3 Diversity and Equity Competencies in Clinical Practice 57
region will share these same perspectives. As a test of this, research your own cultural
profile and reflect on the extent to which it resonates for you as an individual. Culture
matters profoundly, but it is not deterministic.
For some dominant culture practitioners, learning about histories of colonization
and racism may trigger an unhelpful guilt response that will need to be navigated in
the therapeutic relationship. This can translate into counter-transference or boundary
issues, such as needing the client to educate or absolve the clinician’s sense of guilt.
Newly acquired knowledge of histories of oppression occasionally translates to a focus on
a static or rigid view of the impact of structural oppression on the client to the exclusion
of the client’s coping skills, resistance strategies and individual negotiation of the social
and political world. This can be limiting to the client’s sense of agency, autonomy and
resilience and to the meanings the client has created in his or her own personal narra-
tive, and risks slipping into a deficit model of marginalized cultures. There is a balancing
act in bringing an awareness of the historic and systemic legacies of oppression and the
self-reflection of one’s own culture and contexts, while being led by the client’s unique
world view and orientation to the situation.
The integration of diversity and equity into clinical practice involves engagement
at the micro or individual level, the meso or program/agency level and the macro or
health-systems level. To be truly effective in this work, practitioners need adequate
support and leadership. But at the same time, we can also break the work down into
manageable goals. While this chapter is anchored in macro or big-picture issues of social
inequality and health impacts, we also need to consider what is meaningful for a particu-
lar client. What are the things you can actually do something about? What is within the
scope of your practice? This same question can be asked at the team or program level.
This dynamic movement between big-picture analysis, concepts and knowledge and the
unique particularities and specificity of clinical work is an important component of how
diversity comes to life in clinical care. We should always be led and encouraged by the
potential to have a positive impact when and where we can. And this, for many, is what
also inspires and engages us in the health care and human services fields.
Organizational Considerations
Turning to the agency or organizational (meso) level, a useful strategy can be to consider
the cultural and other diversity assets of the organization at the program design, policy,
partnership and staff-capacity levels. Organizational competencies can include organiza-
tional values, governance, planning and evaluation, communication, staff development,
organizational infrastructure and service interventions (Kirmayer, 2012).
Diversifying the staff complement and leveraging the wisdom and insights of
staff from marginalized communities is one strategy to increase organizational capac-
ity. Are staff from marginalized communities positioned to influence the agenda? Are
their perspectives valued and heard within the agency or service? This of course does
58 Fundamentals of Addiction: A Practical Guide for Counsellors
not mean hiring for identity per se, but for the skills and specific knowledge that is pro-
duced from the margins. At the same time, it is not feasible for services to continually
match the shifting diversity of the populations they serve. Even when there is similarity
of diversity (be it class, ethnicity, race or gender) between the service provider and the
client, that does not create an inevitable similarity of perspectives or an optimal thera-
peutic match for that particular client. Further, staff from marginalized communities
cannot be the sole bearers of the diversity and cultural competence agenda. Relying
primarily on staff from marginalized communities places an undue burden on them
while simultaneously letting staff from more dominant cultures or privileged identi-
ties off the hook for this important work. This is not a desirable situation and would
eventually stall or sabotage efforts to provide more inclusive, equitable and culturally
relevant services. A diversity asset audit would thus include the wisdom and skills of
marginalized staff from their unique perspectives as the diversity and equity capacities
and skills of more privileged staff, as well as the system and program design compo-
nents. Thus education and capacity building of all staff is a core equity asset. The work
of doing diversity and clinical cultural competence should be understood as an integral
component of providing excellent care for all, and thus should be integrated within all
aspects of service design and delivery.
Conclusion
This chapter has discussed the foundational concepts and critical skills for “doing diver-
sity” in clinical practice, and framed these skills as essential to quality care. In thinking
about “the how,” we have seen that there is no single checklist for a clinical practice
that integrates a diversity analysis and cultural competence in order to achieve equitable
health outcomes for clients. However, this explication of concepts and frameworks
provides markers along the way to guide us as we engage in the ongoing process of
understanding core equity domains and their application to practice.
In practice, some of the skills required by the practitioner include critical self-
reflection and an awareness of personal and cultural values, norms and biases, including
concepts of health and illness and the health system. We have seen that it is important
to bring an awareness of social location, power and privilege and a commitment to miti-
gating their impact in service delivery. In the therapeutic relationship with clients, the
work requires knowledge of specific cultural norms and the historic and socio-political
realities affecting the culture or community as both risk and protective factors. We need
to genuinely appreciate clients’ culture and diversity as assets and a source of resilience.
This work also includes assessing the potential role of discrimination on health and
well-being, and understanding the interactions between the service provider and cli-
ent’s cultural histories. For example, is the cultural history relatively neutral or does it
resonate with a history of colonization? All of this may affect the process of cultural sur-
vival, particularly for clients who are multiply marginalized. An awareness of culturally
Chapter 3 Diversity and Equity Competencies in Clinical Practice 59
specific interventions and strategies and the capacity to negotiate between conventional
and culture-related definitions of problems and solutions are further assets in providing
equitable care.
This overview of diversity and equity in clinical care aims to build on existing clin
ical competencies by providing (or refreshing) another set of skills to add to your clinical
toolkit to achieve quality care. The practice of “doing diversity” builds on and integrates
with core practice norms, such as client-centred care, self-reflective practice and the basic
goal of providing excellent care, but also requires specific knowledge and skills. We have
explored the linkages and fruitful overlap between the concepts of diversity, health equity
and clinical cultural competence; diversity as descriptive of unequal power and social
location; clinical cultural competence focused on capacities and skills applied to practice;
and health equity with the aim of measuring and mitigating avoidable health disparities.
If our objective is to achieve respectful, effective, culturally competent and equitable
care, we need to engage with each of these paradigms at the individual, program, agency
and health systems levels.
Practice Tips
• Critically reflect on your own personal and cultural values, norms and
biases, as well as concepts of health and illness and the health system.
• Be aware of social location, power and privilege and commit to mitigating
their impact in service delivery.
• Assess the potential role of discrimination on health and well-being.
• Learn about specific cultural norms and the historic and socio-political
realities affecting the culture or community as both risk and protective
factors.
• Engage the specific meaning of addiction issues and recovery for each cli-
ent with a critical, not prescriptive, engagement with culture and diversity
information.
• Navigate the interactions between the service provider and client’s cul-
tural and diversity histories.
• Review existing research (population health, public health, advocacy and
epidemiological).
• Engage with diverse communities and community-based agencies or
coalitions.
• Conduct an equity asset audit of your team program or agency and
develop a strategy and action plan.
• Listen to your clients, and look for the signs they give you that suggest
they feel heard and understood.
60 Fundamentals of Addiction: A Practical Guide for Counsellors
Resources
Publications
Agic, B. (2004). Culture Counts: Best Practices in Community Education in Mental Health
and Addiction with Ethnoracial/Ethnocultural Communities. Toronto: Centre for
Addiction and Mental Health.
Braverman, P. (2006). Health disparities and health equity: Concepts and measurement.
Annual Review of Public Health, 27, 167–194.
Carpenter-Song, E., Schwallie, M. & Longhofer, J. (2007). Cultural competence reexam-
ined: Critique and directions for the future. Psychiatric Services, 58, 1362–1365.
Leininger, M. (1996). Transcultural Nursing: Concepts, Theories and Practice (2nd ed.).
Hillard, OH: McGraw-Hill.
Mikkonen, J. & Raphael, D. (2010). Social Determinants of Health: The Canadian Facts.
Toronto: York University School of Health Policy and Management.
Patychuk, D. & Seskar-Hencic, D. (2008). First Steps to Equity: Ideas and Strategies for
Health Equity in Ontario 2008–2010. Ontario Public Health Association.
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Health Care: Developing Cultural Competence. Healthy Work Environments Best
Practice Guidelines. Toronto: Author. Retrieved from http://rnao.ca/bpg/guidelines/
embracing-cultural-diversity-health-care-developing-cultural-competence
Sen, G., Östlin, P. & George, A. (2008). Unequal, Unfair, Ineffective and Inefficient. Gender
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WHO Commission on Social Determinants of Health. Retrieved from www.who.int/
social_determinants/publications/womenandgender/en/
Srivastava, R. (2008). The ABC (and DE) of cultural competence in clinical care. Ethnicity
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Internet
Centre for Addiction and Mental Health Knowledge Exchange portal—Resources:
Ethnocultural Communities / Cultural Competence
http://knowledgex.camh.net/policy_health/mhpromotion/culture_counts/Pages/
culture_counts_ethno_resources.aspx#competence
Diversity Rx (U.S.)
http://diversityrx.org
Journey to Cultural Competence video (New Immigrant Support Network at The
Hospital for Sick Children)
www.sickkids.ca/culturalcompetence/journey-to-cultural-competence-film/Journey-
to-Cultural-Competence-Film.html
National Center for Cultural Competence (U.S.)
http://nccc.georgetown.edu
Chapter 3 Diversity and Equity Competencies in Clinical Practice 61
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62 Fundamentals of Addiction: A Practical Guide for Counsellors
Fred is a 47-year-old man with a long history of problems with alcohol and
other drugs. He started drinking alcohol at age 9 after many traumatic
experiences in foster care. By age 15, he had started regularly using cocaine
and dropped out of school. He first injected heroin when he was 17, and
was soon involved in property crime and drug dealing to fund his addiction.
Over the next 20 years, Fred was incarcerated several times and continued
to use injection heroin daily. He has been infected with hepatitis C but has
managed to avoid acquiring HIV.
Traditional service delivery approaches to working with people with substance use
problems require them to abstain from all substances to be eligible for treatment. This
one-size-fits-all approach is rooted in the belief that people with substance use problems
are motivated to change by the adverse consequences of their behaviour. Continued sub-
stance use is viewed as a sign that the person is unmotivated to change and thus will not
benefit from services. Moreover, providing services to someone who continues to use is
considered potentially harmful to the user by reducing adverse consequences and thus
delaying the person’s commitment to abstinence.
Providing services using an abstinence approach is often based on a mutual
understanding between the practitioner and the service user: the client agrees to an
abstinence goal, and non-compliance is grounds for termination from a program or ser-
vice. The assumption is that all substance use is problematic, that moderation or reduced
use is not a viable option, and that failure to comply calls into question the person’s
motivation and readiness to change.
From the perspective of people who use drugs, the limitations of an exclusively
abstinence-based approach are apparent. For people who are not interested in cessa-
tion but want to remain healthy, treatment requiring abstinence deprives them of the
right to services. This includes refusing treatment to people who recognize they have a
problematic relationship with one substance but are able to control their use of other
substances. Certain subpopulations, types of substance and substance-using behaviours
hold greater individual, economic and public health risks and may require specific tar-
geted interventions beyond the “just say no” mantra. Harm reduction policies, programs
and practices are alternative approaches that address those shortcomings by allowing for
more flexible service delivery and greater individual autonomy. They are grounded in
evidence-based research and draw on collective wisdom and knowledge from the lived
experiences of people with substance use problems. Ironically, many people who use
drugs can harbour the longing to be abstinent and drug free in the same way that many
of us may have long-term goals that are currently out of reach. But we can take steps that
move us toward that goal. Whether or not we get there, that we do things to reduce risks
to our health and well-being, and that of others, describes the focus of harm reduction
work. Indeed, as has been shown, clients who are given choices about their substance
use goals actually have a higher likelihood of achieving abstinence goals than clients
who have abstinence prescribed for them as the only allowable outcome (Sanchez-Craig
& Lei, 1986).
In this chapter, we focus primarily on harm reduction interventions for people
who inject drugs, particularly opioids. The discussion highlights Canadian research and
evaluation of these interventions. While harm reduction has acquired an evidence-based
scope that applies not just to substance use, but also more broadly to addictive behav-
iours, such as problem gambling, and behavioural addictions, such as eating disorders,
these topics are covered in other chapters in this book. Here we focus primarily on harm
reduction practices for injection drug use, which is how harm reduction first emerged.
However, we recognize that this framework is now applied more broadly to preventing
Chapter 4 Working within a Harm Reduction Framework 65
and treating addiction, and guided by evidence-informed policies and practices (Centre
for Addiction and Mental Health [CAMH], 2002; Erickson et al., 1997; Kleinig, 2008;
Marlatt & Donovan, 2005; Marlatt & Witkiewitz, 2002; Miller, 2008).
“Harm reduction” refers to policies, programmes and practices that aim pri-
marily to reduce the adverse health, social and economic consequences of
the use of legal and illegal psychoactive drugs without necessarily reducing
drug consumption. Harm reduction benefits people who use drugs, their
families and the community. (International Harm Reduction Association
[IHRA], 2010a, “Definition”)
This definition and the accompanying position paper (IHRA, 2010b) clearly make
the point that there is no conflict between harm reduction interventions and treatment.
In fact, many harm reduction interventions are designed to facilitate entry to treatment.
A CAMH position paper on harm reduction incorporates into its definition the state-
ment that “harm reduction programs and policies must demonstrate that they have the
desired impact without producing unacceptable unintended consequences” (CAMH,
2002, p. 1). This statement emphasizes the underlying expectation of rigorous evaluation
built into harm reduction programs to demonstrate their effectiveness. It also locates
addiction treatment within the prevailing paradigm of clinical pragmatism that guides
health care in general: health care is not contingent on the client’s moral standing. In
other words, how clients may have contributed to their own health problems, which
66 Fundamentals of Addiction: A Practical Guide for Counsellors
may have resulted in their needing health care, should not affect the treatment they
are offered. Behaviours such as driving under the influence or eating excessively and
developing health complications due to obesity or poor diet should not influence the
care provided. Indeed, harm reduction can be offered when it becomes all too clear that
worse things can happen to people than to have substance use problems; for example,
acquiring infectious diseases that have health consequences not just for the individual
but for the public health of the community. With harm reduction, addiction prevention
and treatment have joined the paradigm of clinical pragmatism that makes modern
health care, at the personal and community level, a distinguishing and envied feature of
western societies.
The focus on rigorous evaluation explains why harm reduction discussions fre-
quently focus on injection drug use. For practical reasons, evaluation of an intervention
is more readily conducted when the end point is clearly defined, cheaply detected and
occurs with sufficient regularity that a study of several hundred people over a period of
months or a few years can detect a statistically meaningful difference. In many settings,
HIV infection or overdose death among people who use injection drugs meets all these
conditions: HIV infection, which still happens to at least one per cent of people who
inject drugs each year in parts of Canada and at much higher rates in other parts of
the world, can be cheaply and easily detected using a blood test. Because the effects of
injection drug use can be easily evaluated, and due to the overwhelming public health
argument for preventing the spread of HIV and hepatitis C, funding is available and
interventions can practically be designed and evaluated. Rigorous evaluations of harm
reduction interventions targeting tobacco-related cancer or alcohol-induced liver disease
would require substantially larger numbers and longer time frames, based on the natu-
ral course of these illnesses. Therefore, the research literature is less well developed for
harm reduction interventions with these substances. In this chapter, we look at examples
of harm reduction interventions that have been subjected to rigorous scientific evalua-
tion and have been shown to reduce harm.
able to sell cannabis and to prevent sales to foreigners visiting the country. The United
Kingdom has also had a long history of harm reduction. In the 1920s, the Rolleston
Commission brought forward recommendations to allow narcotics to be prescribed as
a form of treatment, but these recommendations never resulted in widespread practice.
Harm reduction gained in popularity in the 1980s, particularly in the Netherlands,
United Kingdom and, later, Australia and Canada, in response to the rates of blood-borne
viruses being contracted by people who inject drugs. Although the guidelines and regu-
lations varied among these countries, the philosophy remained the same. The harms
associated with injection drug use, namely through sharing needles and other parapher-
nalia, placed people at high risk of HIV/AIDS and hepatitis C. Pragmatic approaches to
address HIV as a public health problem evolved over time to include needle exchange
and distribution programs, prescription heroin, mobile and street outreach services, the
extensive use of peer staff, methadone maintenance treatment and drug consumption
rooms. In the past two decades, some Canadian municipalities have distributed crack
pipe kits, a practice that has been incorporated into Ontario’s “best practices in harm
reduction” (Strike et al., 2006), and Vancouver opened the first supervised injecting
facility in North America.
As harm reduction strategies become more widespread, the substance use treat-
ment field continues to evolve from its traditional “all or nothing” abstinence-based
framework to client-driven interventions that match the goals of the person. As we begin
to understand the multiple confounding factors that contribute to substance use prob-
lems, the chronic relapsing nature of drug use, the process of behaviour change and how
to provide services to people who have not benefited fully from the treatment system,
harm reduction remains an integral way to balance a person’s right to self-determination
within a broader public health model.
In addition to the expectation for rigorous evaluation and a focus on reducing
harm, harm reduction programs frequently share common principles and values. These
include pragmatism, prioritization of goals, flexibility to lower the threshold for entry
to and retention in treatment, valuing the autonomy of people who use drugs to make
their own decisions and their involvement, where feasible, in designing and delivering
programs (Centre for Addiction and Mental Health, 2002; IHRA, 2010b).
Canada has a long and rich tradition of contribution to the international devel-
opment of harm reduction and continues to be recognized as a world leader (Stimson
et al., 2010). From 1988 until 2008, the federal government’s national drug strategy
incorporated recognition for reduction of harm as a component of the federal response
to illicit drug use. Most recently, this was articulated in the National Framework for Action
to Reduce the Harms Associated with Alcohol and Other Drugs and Substances in Canada
(Canadian Centre on Substance Abuse & Health Canada, 2005). As of 2011, this frame-
work for action has been endorsed by 44 organizations across Canada, despite a shift in
federal government policy and funding away from harm reduction over the same period
(Cavalieri & Riley, 2012).
68 Fundamentals of Addiction: A Practical Guide for Counsellors
Early on in the HIV epidemic, needle sharing was recognized as posing a significant
risk for the spread of blood-borne viruses, and public health officials began investigating
providing sterile injection equipment as a means of preventing HIV infection (National
Institutes of Health, 2002). One of the first needle exchange programs to open in
North America was initiated in Vancouver in 1988: that program has since distributed
between two million and three million needles per year (Strathdee et al., 1997). Many
national and international organizations have endorsed needle exchange programs as a
mechanism for reducing the spread of HIV—a recommendation supported by scientific
evaluation (Gibson et al., 2001). For example, a careful analysis of discarded syringes
prior to and following the introduction of a needle exchange program in New Haven,
Connecticut, demonstrated a reduction in the number of times each needle was used
and in the likelihood of finding HIV in the discarded syringe (Heimer et al., 2002).
Critics of needle exchange programs frequently refer to a study conducted in
Vancouver that demonstrated increased incidence of HIV infections among people
who most frequently accessed the syringe exchange program (Schechter et al., 1999).
However, careful evaluation of the data has shown that the increased risk of HIV infec-
tion was accounted for by frequent injection of cocaine and injecting in public spaces,
while use of the needle exchange program reduced HIV-risk behaviour (Wood et al.,
2002). More recent evaluations of needle exchange programs have demonstrated other
changes in service delivery leading to reductions in HIV-risk behaviour: the expansion
of the number and type of service locations (e.g., primary care clinics, drop-in centres
and peer-run outlets); peer involvement in service provision; and abandonment of a one-
for-one exchange policy (one clean needle for each dirty one) in favour of an unlimited
distribution model, in which the person gets as many needles as he or she wants (Kerr
et al., 2010).
Despite the well-documented benefits of needle exchange programs, researchers
have demonstrated several limitations in their effectiveness. For example, people may
continue to inject drugs in public spaces, thus increasing their risk of overdose death.
Injecting in public may also cause users to inject as quickly as possible, thus increas-
ing the risk for local tissue damage and infection (Broadhead et al., 2002; Dovey et al.,
2001; Wood, Kerr, Montaner et al., 2004). Supervised injecting facilities (SIF), where
they are available, address these harms by providing a safe and supervised environment
where people who use drugs may inject them, and in some places smoke them. These
facilities provide benefits beyond the scope of what can be provided by syringe exchange
programs: injecting facilities reduce risks in the drug-taking environment, allow for pro-
fessional staff to intervene in the event of an overdose, and enhance opportunities for
providing primary care and referral to addiction treatment.
Extensive evaluation of an SIF that opened in Vancouver in 2003 has demon-
strated a broad range of benefits both for injection drug users who access the facility
and for the community (Wood, Kerr, Lloyd-Smith et al., 2004). The SIF has been shown
Chapter 4 Working within a Harm Reduction Framework 69
to attract drug users at higher risk of acquiring HIV and having an overdose (Wood,
Tyndall, Qui et al., 2006). After the facility opened, public injecting in the neighbour-
hood around the facility decreased (Wood, Kerr, Small et al., 2004). Regular use of the
safe injection facility is associated with changes in behaviours that are linked to reduced
risk of acquiring HIV, such as less syringe sharing and increased use of sterile water
(Kerr et al., 2005; Stolz et al., 2007). Professional SIF staff can refer clients to addiction
treatment: these referrals have increased the rate of admission to withdrawal manage-
ment, led to subsequent enrolment in addiction treatment, and resulted in reduced drug
use (Wood, Zhang & Montaner, 2006; Wood et al., 2007). These successful referrals
have also produced an increased rate in the cessation of injection drug use among people
using the SIF (DeBeck et al., 2011). Nurses at the SIF can also intervene in the event
of overdose: their role and the overall functioning of the site have led to significantly
reduced overdose mortality in the neighborhood around the facility (Kerr et al., 2006a;
Marshall et al., 2011).
The evaluation has also sought to verify potential negative impacts of the facil-
ity. It found no increase in drug-related crime (Wood, Tyndall, Lai et al., 2006) and no
negative impact on the likelihood of either relapse to injection drug use among those
who had stopped injecting or prolonged drug use with a lower rate of cessation (Kerr et
al., 2006b). Independent evaluation has shown that SIFs are cost-effective because of
reduced health care costs from blood-borne infections (Bayoumi & Zaric, 2008). Overall,
the SIFs provide a range of positive benefits for people who use drugs, for the health
care system and for the broader community, and therefore are an example of how many
other harm reduction interventions could be rigorously evaluated to show a broad range
of benefits.
Addiction Research Foundation, now part of CAMH, in Toronto, has operated a MMT
program since 1968 (Brands et al., 2000). However, in 1972, Health Canada introduced
new regulations requiring physicians to have an exemption from the federal narcotic
laws in order to prescribe methadone. This requirement led to declining availability of
MMT in Canada, to the point where fewer than 600 people were in treatment across the
country in the mid-1980s (Peachey & Franklin, 1985). In the mid-1990s, national and
provincial governments took steps to increase the availability of MMT in response to
the burgeoning HIV crisis among people who inject drugs (Brands et al., 2000). Since
2005, MMT programs have been available in all Canadian provinces, with particularly
dramatic increases in treatment availability in Ontario and British Columbia (Brands et
al., 2000; Nosyk et al., 2010).
MMT involves providing daily doses of methadone within a structure that should
ensure patient safety and medical and psychosocial services (Health Canada, 2002).
Several factors affect the effectiveness of MMT, including the availability of counselling
services as a component of methadone treatment (Amato et al., 2004). MMT is more
effective when methadone is prescribed in higher doses, a finding confirmed by a large
review of the British Columbia MMT program, which showed that higher doses were
correlated with improved retention in treatment and therefore better patient outcomes
(Nosyk et al., 2009). However, despite these findings, many patients continue to receive
doses below the optimal range of 60 to 120 mg per day (Nosyk et al., 2009), and the
availability of ancillary psychosocial and counselling services is limited. Gaps in the
system of services and supports in most jurisdictions continue to be a major challenge,
as the discrepancy between actual practices and the evidence base continues to plague a
domain that is under-resourced.
When prescribed within the context of appropriate services, MMT leads to a range
of benefits, not only for patients, but ultimately for the community. Benefits include:
• reduced use of other opioids (Brands et al., 2003)
• reduced use of other drugs (Brands et al., 2002)
• improved mental and physical health (Health Canada, 2002)
• reduced illegal activity and incarceration (DeBeck et al., 2009)
• reduced risk of acquiring HIV infection (Gowing et al., 2004)
• improved outcomes of pregnancy (Health Canada, 2002)
• improved quality of life (Dazord et al., 1998).
illicit opiate use and an elevated risk of overdose death (Woody et al., 2007). When MMT
is not successful, other treatment options should be explored.
Heroin-Assisted Treatment
So far this chapter has focused on harm reduction interventions primarily for people
who inject drugs. However, many other harm reduction interventions are also possible.
To illustrate the spectrum of harm reduction interventions, we can consider approaches
to alcohol.
The National Alcohol Strategy in Canada aims to promote a culture of modera-
tion, which includes using several harm reduction strategies (National Alcohol Strategy
Working Group, 2007). For example, public policy measures that limit the availability of
72 Fundamentals of Addiction: A Practical Guide for Counsellors
alcohol, through reduced late-night bar hours or fewer alcohol sales outlets, have been
demonstrated to reduce alcohol-related harm without requiring cessation of alcohol use
(National Alcohol Strategy Working Group, 2007). Another effective public policy mea-
sure would be to establish a standard minimum price per standardized drink of alcohol.
Using this approach, raising the minimum standard price by 10 per cent would lead to
a six per cent reduction in related harms, including alcohol-related deaths (Stockwell et
al., 2012). Server training interventions aimed at reducing the likelihood that bar patrons
become excessively intoxicated are another strategy for reducing the harms of drinking
without requiring cessation (Ker & Chinnock, 2008).
Public Policy
As described above, many harm reduction interventions have been shown to reduce the
risk of HIV infection or other negative health outcomes for people who use drugs, while
having positive benefits for the community through reduced criminal activity, improved
public order and cost savings to the health care system. The recognition of these ben-
efits, combined with the limited evidence for success of legal prohibition approaches,
has led to increased global calls for a move away from prohibition and toward a public
health approach to substance use (Global Commission on Drug Policy, 2011; Vienna
Declaration, 2010). Portugal has made the most significant shift toward a public health
approach: possession of drugs for personal use has been decriminalized since 2001,
resulting in decreased drug use, reduced crime and increased admissions to addiction
treatment (Domoslawski, 2011). These are paradoxical effects when seen through the
stereotypical perception that it is necessary to criminalize drug use to reduce its preva-
lence. By changing the paradigm from interdiction to intervention using public health
approaches, a range of interventions from primary prevention through early intervention
and tertiary prevention are used, with problematic substance use being seen as a health
problem mediated by social determinants of health. Policing and law enforcement are
still directed at drug importation and distribution, while the individual user is seen as
someone who is entitled to health care and social support whether or not he or she stops
using drugs.
Despite the proven benefits of harm reduction strategies, global spending on
harm reduction programs is estimated to amount to less than three cents per day for
each person who injects drugs (Stimson et al., 2010). For a more detailed Canadian per-
spective on the possible public health approaches to substance use, refer to the recent
discussion paper by the Medical Officers of Health in British Columbia (Health Officers
Council of British Columbia, 2011).
Chapter 4 Working within a Harm Reduction Framework 73
These 12 principles serve to enhance the therapeutic relationship, allow for cli-
ent self-determination and foster an open and honest dialogue between the client and
clinician. Similar to other therapeutic interventions, harm reduction psychotherapy is
focused on developing the therapeutic alliance and the subsequent reparative nature of
this relationship and on capitalizing on this relationship to promote self-reflection, goal
setting and the acquisition of new skills and strategies to address substance use (Tatarsky
& Kellogg, 2010).
74 Fundamentals of Addiction: A Practical Guide for Counsellors
Conclusion
Harm reduction encompasses a broad range of public policy and public health interven-
tions that all seek to reduce harm related to substance use. We have reviewed several
approaches to highlight the range of options available, with a focus on evidence-based
interventions studied in Canada. To see harm reduction and abstinence as opposites is
to misunderstand the nature of addiction and the ways in which it can be treated. Within
an overall philosophy of harm reduction, abstinence goals and abstinent-oriented ser-
vices are seen as foundational, not exclusive, elements. Indeed, most people who seek
addiction treatment, especially those with more severe problems, will continue to have
their own goals for abstinence. The reality is that many of these people will have trouble
achieving or maintaining these goals. Harm reduction as a public health approach
assumes that neither abstinence goals nor abstinent behaviour should determine access
to addiction treatment or other health care services. Instead, these resources need to
offer evidence-based service and innovate new approaches to help people with modera-
tion goals.
The spirit of a treatment system embracing harm reduction is that of open doors.
A harm reduction approach challenges and inspires health care practitioners not to
take only those clients who can benefit from care and support with non-abstinent goals.
Finally, harm reduction compels us to find ways to do outreach and connect with those
at greatest risk of harm from problems related to addictive behaviour: those who have
tried and not yet succeeded at addiction treatment, and those who are so socially margin-
alized and demoralized that they have become radically alienated and dislocated. Harm
reduction provides a philosophical framework and a set of pragmatic practices that allow
the use of effective strategies to address all three of these populations: people seeking
to abstain; those with non-abstinent goals; and those who remain disengaged from and
unhelped by treatment services, and who need to be the focus of continuing concern.
Chapter 4 Working within a Harm Reduction Framework 75
Practice Tips
• Recognize that the client is the expert on his or her life, while you are the
expert on the process—two expertises that complement each other.
• Be respectful and non-judgmental about the person’s substance use and
other addictive behaviours. Explore the benefits and costs as the client
sees them. Show the client that you understand his or her point of view,
issues and desired solution.
• Ask the client what he or she needs, including what he or she would like
from you. Drug use may not be the primary concern for the client—and
should not be for you.
• Consider what practical things you can do to help the client improve his
or her situation, reduce risk exposure, enhance well-being and increase
the likelihood of coming back to see you, or connect the client with other
resources that provide the necessary help and support.
• Optimize your environment so that it is welcoming to visitors, particularly
those you are working with, be they youth, single mothers, people who are
homeless, Aboriginal people, members of diverse ethnicities or people
involved with the criminal justice system.
• Identify the practical things you can reasonably provide or help the cli-
ent access (e.g., condoms, clean needles, safer crack use kits, medical
triage, clothing, housing support, income support, legal support). Take a
Maslovian approach, looking at the client’s need hierarchy from safety to
social support to meaningful activity.
• Have protocols for intervening in a range of crisis situations, including
contingencies for everything from overdose to disruptive behaviour to
suicidal and self-harm behaviours.
• Always work on trying to connect with the person, and seek feedback
about whether what you are doing is helpful to the person on his or her
own terms.
• Employ, train and support peer workers.
• Ensure that harm reduction programs are open during hours that reflect
clients’ needs.
• Offer food and clothing as a way to entice people to use your services.
• Demonstrate respect for clients. More important than having the full
range of supplies needed to provide services is the attitude of staff toward
service users. A good and honourable relationship is very curative.
76 Fundamentals of Addiction: A Practical Guide for Counsellors
Resources
Internet
Canadian Harm Reduction Network
www.canadianharmreduction.com
Drug Policy Alliance
www.drugpolicy.org
Harm Reduction Therapy Centre
www.harmreductiontherapy.org
Trip Project (Queen West CHC)
www.tripproject.ca
Vancouver Area Network of Drug Users
www.vandu.org
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Chapter 5
Motivational Interviewing
Marilyn Herie and Wayne Skinner
How would you respond to the following client statements? Before you read
this chapter, take a couple of minutes and write down a sentence or two.
Imagine that the client is sitting across from you and you have to respond right
away, so write down the first thing that comes to mind. You will have a chance
to review these questions and your answers when you finish this chapter.
Client: It’s easy for you to tell me all these things I have to do. When was the last
time you had someone on your case all the time?
Counsellor:
Client: I’ve tried everything and nothing seems to help. What’s the point?
Counsellor:
Adia is a 27-year-old single parent who attends school part-time while looking
after her two young kids. Child protection services were called to her home
when a neighbour discovered that the children were left unattended over-
night. Adia has had previous involvement with police and child protection for
drug-related offences and drug use. She is now mandated to attend addiction
counselling in order to maintain custody of her children. She feels angry that
“people are interfering in my business.” She maintains that she no longer has
a drug problem, and that her past drug use has never affected her parenting
or her other responsibilities. Adia currently expresses that she does not want
to attend treatment.
she does not want or need. However, because she loves her children, she says
she will “do what I have to do.”
When Adia presents at the addiction treatment centre for her intake inter-
view, she appears hostile and unco-operative. She answers the counsellor’s
questions in monosyllables, seems distracted and impatient and repeatedly
asks how much longer the interview is going to take. When the counsellor
points out that Adia has a history of drug-related offences and drug use, Adia
becomes angry and defensive. After the session, the counsellor notes that Adia
is “in denial,” has no insight into her drug problems and is unmotivated to
change.
This case example illustrates a common issue in addiction treatment: many clients
seemingly attend treatment only because of extrinsic pressures rather than from any
intrinsic motivation to change. Adia likely feels coerced into attending treatment, rather
than taking part because she wants to. Yet in a way, she “chooses” to co-operate, or at
least goes along with this demand.
Adia’s case also illustrates how easy it is for practitioners to find themselves in an
adversarial dynamic with their clients. On the one hand, clients often feel coerced into
stopping or changing their substance use, are skeptical that substance use is really a
problem and feel ambivalent about attending treatment. On the other hand, the practi-
tioner may regard substance use as a major issue, work hard to engage with clients in a
meaningful way and establish trust and rapport, and work collaboratively toward positive
change. How can these seemingly dichotomous perspectives and goals align?
This chapter outlines the underlying philosophy and core skills of motivational
interviewing (MI), a client-centred approach that can help build engagement and foster
readiness to change among people who are ambivalent. Each skill is illustrated with
various examples. We review the “spirit” of MI and the theoretical and empirical litera-
ture supporting the use of this approach in addiction treatment (and other behavioural
change domains). We also discuss evidence and ways of adapting MI with diverse client
populations. The chapter concludes with an outline of eight processes in learning and
practising MI, and some key practice tips. The overarching theme we explore is captured
in the metaphor of “dancing versus wrestling,” and how MI can help us join with our
clients and promote their autonomy and empowerment (Miller & Rollnick, 2013). It can
be all too easy to fall into the trap of trying to persuade or coerce clients to accept our own
agenda for change, which often leads to an adversarial or even confrontational dynamic
that is generally counter therapeutic.
Chapter 5 Motivational Interviewing 85
Defining MI
MI was developed in the 1980s by William Miller and Stephen Rollnick as a client-
centred approach to enhancing motivation for change. The focus and skills of MI are a
counterpoint to traditional approaches in addiction treatment, which emphasize break-
ing down “denial” through confrontation, direct advice and warnings or threats if change
does not occur.
MI has been variously defined since its first conceptualization, and it has evolved
over the years, reflecting advances in theory and research. The earliest definition focuses
on MI as a directive but non-confrontational approach to helping clients explore and
resolve their ambivalence about changing: it is a “client-centered, directive method
for enhancing intrinsic motivation to change by exploring and resolving ambivalence”
(Miller & Rollnick, 2002, p. 25). More recently, Miller and Rollnick (2009) described
MI as directional as opposed to directive. This means that the client and counsellor work
toward one or more specific and agreed-upon goals (directional), and the counsellor uses
non-directive (client-centred) strategies to get there.
Three definitions of MI
A layperson’s definition:
MI is a collaborative conversation style for strengthening a person’s own
motivation for and commitment to change.
A practitioner’s definition:
MI is a person-centred counselling method for addressing the common
problem of ambivalence about change.
A technical definition:
MI is a collaborative, goal-oriented style of communication with particular
attention to the language of change. It is designed to strengthen personal
motivation for and commitment to a specific goal by eliciting and exploring
the person’s own reasons for change within an atmosphere of acceptance
and compassion.
Source: Adapted from Miller & Rollnick (2013), p. 29.
Rollnick and colleagues (2008) use the action term guiding to make a distinction
between simply following the client non-directively and directing the client prescriptively.
These definitions highlight that at its core, MI is a way of being with the client. It is a
clinical approach that focuses on interpersonal communication, informed by a particular
“spirit,” incorporating complex relational and technical skills that need to be learned and
practised over time (Miller & Rollnick, 2013).
86 Fundamentals of Addiction: A Practical Guide for Counsellors
The “Spirit” of MI
Using the skills of MI without embracing the underlying spirit is like listening to the
lyrics of a song without the music. Just as the music is essential to any song, the phi-
losophy or “spirit” of MI is an essential foundation to the practical strategies. The goal
is to evoke the client’s own reasons for change (and his or her ideas about how change
should happen).
Spirit is a fundamental component without which any specific skill or strategy will
“fall flat.” Yet many counsellors are unable or unwilling to let go of the traditional expert
role, and may even believe that it is dangerous to clients to do so. After all, what if a cli-
ent, like Adia in the case example at the beginning of the chapter, refuses to change? It
seems paradoxical that abandoning an attempt to push for change can actually promote
change; yet anyone who has had the experience of being pressured into a behaviour or a
course of action can attest to the truth of the axiom that people are most able to change
when they feel free not to. In motivational interviewing, expertise is measured by the
ability of the therapist to form effective helping relationships that guide clients toward
healthy behavioural change, rather than dispensing technically correct advice to clients
who are not inclined to change.
The four elements of the spirit of MI are partnership, acceptance, compassion
and evocation of the client’s ideas and goals toward change. Drawing on the work of
Carl Rogers, MI spirit represents an egalitarian relationship characterized by uncondi-
tional acceptance and positive regard; compassionate and empathic understanding; and
a stance of evoking versus installing ideas, goals and deep wisdom.
In MI, the counsellor actively fosters and encourages power sharing in interaction
with the client, such that the client strongly influences the conversation in the context of
a working partnership. Further, the concept of acceptance encompasses Rogers’ thera-
peutic stance of unconditional positive regard, accurate empathy, support for clients’
autonomy and affirmation of clients’ strengths and efforts. Compassion, the third com-
ponent of MI spirit, means actively promoting the welfare of the client and putting his
or her needs first. Finally, evocation implies, “You have what you need, and together we
will find it” (Miller & Rollnick, 2013, p. 21).
Evocation of the client’s own reasons for change is more compelling than sim-
ply trying to educate and instruct the client about what objectively needs to be done to
improve the situation:
When clients are viewed primarily from a deficit perspective (e.g., being in
denial; lacking insight, knowledge, and skills), it makes little sense to spend
time eliciting their own wisdom. Instead, the counselor would be inclined to
confront denial, explain reality, provide information, and teach skills. Within
this perspective, consultation is clinician-centered, and it revolves around
the counselor providing what the client lacks: “I have what you need.” It
can be quite a cognitive jump from this expert stance to MI, wherein the
Chapter 5 Motivational Interviewing 87
table 5-1
MI-Consistent and MI-Inconsistent Behaviours Relating to MI Spirit
MI CONSISTENT MI INCONSISTENT
Emphasizes and respects client’s Asserts authority about what is best for
autonomy this client, pursues own agenda in the
session
Actively collaborates with client
Mandates specific goals (e.g.,
Elicits client’s perspective, ideas,
abstinence)
hopes, concerns, etc.
Provides unsolicited advice, feedback
Demonstrates non-judgmental accep-
or information without client’s
tance and conveys empathy through
permission
words, body language and tone of
voice Confronts or threatens client with
negative consequences if change does
not occur
Focusing: With the client as equal partner, this “strategic centring” process hones in on
the possible targets or directions for change. At all times, client autonomy is respected—
88 Fundamentals of Addiction: A Practical Guide for Counsellors
it is for the client to determine what he or she would like to address or work toward in
treatment. Periodic “refocusing” may be needed as goals evolve or change over time.
Evoking: Once the client is engaged in treatment, and both client and practitioner have
agreed on areas of focus, it is the practitioner’s task to evoke from the client his or her
ambivalence about changing, reasons for change and strategies for change. In this stage,
the skills of MI become strategic in guiding the client in the direction of change by pay-
ing special attention to evoking change talk.
Planning: The process of planning can occur when (and only when) the client is ready to
make a commitment to change. The skills of evoking commitment language, as well as
the client’s strategies and ideas for change, are key in this process.
Note that these processes follow a logical sequence, with each one building
on the one that precedes it. However, practitioners may return to earlier processes
throughout the helping relationship. It can be helpful to visualize the processes as
steps on a staircase:
Planning
Evoking
Focusing
Engaging
Source: Miller, W.R. & Rollnick, S. (2013). Motivational Interviewing: Helping People Change (3rd ed., p. 26). New York: Guilford
Press. © Guilford Press. Reprinted with permission.
The core skills of MI described in this chapter are used throughout these four pro-
cesses, although certain skills may be more applicable to specific processes. A detailed
explanation of the skills and processes is beyond the scope of this chapter (which high-
lights practical approaches that may be helpful to counsellors beginning to learn about
and apply MI in practice). For a more robust and nuanced exposition of MI processes
and skills, see Miller and Rollnick (2013).
Chapter 5 Motivational Interviewing 89
Theoretical Foundations
MI has been strongly influenced by Rogers’ humanistic psychotherapy (Rogers, 1980),
particularly in its emphasis on accurate empathy and unconditional positive regard.
Prochaska and DiClemente’s transtheoretical model ([TTM], 1984) was also an early
influence on MI as it was first developed—so much so that the two approaches have been
termed “kissing cousins who never married” (Miller & Rollnick, 2009, p. 130). In the
second edition of their influential motivational interviewing book, Miller and Rollnick
(2002) purposely omitted any references to TTM (also known as the Stages of Change
model) in order to help correct the perception that MI is based on TTM.1 Essentially,
TTM outlines a process of change and different therapeutic tasks within each stage,
whereas MI is an evidence-based intervention (or communication style) with techniques
that can be used with anyone who is resistant or ambivalent about changing, or who
is struggling with making a change. The main point is that an MI approach seems to
work best with people who are not yet committed to—or continue to remain ambivalent
about—change (Miller & Moyers, 2006); however, a client does not need to be assigned
to a specific stage of change in order to benefit from MI (Miller & Rollnick, 2009, 2013).
Miller himself has acknowledged that he developed MI in the absence of a strong
theoretical framework:
It is only in the past few years that a cohesive theory base for MI has started to
take shape. Self-determination theory, which posits that autonomy support, autonomous
motivation and perceived competence predict health and behavioural outcomes, appears
especially congenial to the spirit and strategies of MI (Vansteenkiste & Sheldon, 2006;
Williams et al., 2006). In addition, cognitive dissonance theory (e.g., the gap between
current behaviours and future goals) is relevant to some aspects of MI, especially the
clinical skill of developing discrepancy (Draycott & Dabbs, 1998; Lundahl & Burke,
2009). Self-perception theory, which posits that hearing oneself argue for change affects
motivation, relates to MI’s focus on eliciting client change talk (the elements in clients’
speech that favour change) (Lundahl & Burke, 2009).
Miller and Rose (2009) reviewed the past three decades of MI research in order to
understand the “mechanics” of how this approach works to influence behaviour change.
They highlight two specific types of components that work together to effect change: the
relational (or empathic, interpersonal) components and the technical components that
1 A detailed discussion of the critiques of TTM and how the Stages of Change model fits—or, more accurately, does not
fit—with MI is beyond the scope of this chapter. See West (2005) for a summary of theoretical and empirical issues with TTM.
90 Fundamentals of Addiction: A Practical Guide for Counsellors
elicit and reinforce clients’ own reasons for behaviour change. An emerging causal chain
model for MI links together therapist training, MI skills, client responses and treatment
outcomes (Miller & Rose, 2009).
These various theoretical strands are still being debated and discussed in the lit-
erature, and further iterations of MI will no doubt be grounded in more robust models
and frameworks.
In general, treatment trials tend to find that no one intervention is innately supe-
rior for all clients under all conditions—this includes MI (Prochaska & Norcross, 2007).
Keeping these caveats in mind, when MI has been compared with other interven-
tions (treatment as usual), outcomes in the MI condition were found to be effective 75
per cent of the time, with 50 per cent of clients gaining small but meaningful effects,
Chapter 5 Motivational Interviewing 91
and 25 per cent gaining moderate to strong effects (Lundahl et al., 2010). These results
are consistent with research findings for other clinical interventions. However, an added
benefit of MI over other treatments is that a smaller dose of treatment may be needed;
on average, studies have found that MI treatments take an average of 100 fewer minutes,
yet produce equal effects (Lundahl et al., 2010).
The body of research evidence helps to answer the question “Does MI work?” A
recent study goes on to address an important related question: “How does MI work?”
(Moyers et al., 2009). Moyers and colleagues (2009) micro-analyzed audio recordings of
MI interventions to investigate the degree to which client change talk plays a role in treat-
ment outcomes. Based on session recordings from the U.S. multi-site Project MATCH
study (Project MATCH Research Group, 1999), therapist and client speech were classi-
fied using a validated MI coding instrument, the Motivational Interviewing Treatment
Integrity (MITI) code (Moyers et al., 2003). Therapist utterances were coded as either
MI consistent or MI inconsistent, and then further classified into subcategories (e.g.,
simple reflections, complex reflections, open-ended or closed questions).
Moyers and colleagues (2009) found that, overall, MI-consistent statements
resulted in increased client “change talk” (i.e., demonstrating desire, ability, reasons,
need or commitment to change), whereas MI-inconsistent statements led to counter-
change or “sustain talk” (reflecting clients’ investment in maintaining the status quo).
Examples of MI-inconsistent statements include directing, informing, warning, reassur-
ing and confronting clients. Furthermore, counselling sessions characterized by a high
proportion of MI-consistent statements and a corresponding high rate of client change
talk were associated with lower levels of weekly drinking post-treatment than were ses-
sions that featured MI-inconsistent statements and lower levels of change talk. Gaume
and colleagues (2009) found that clients whose therapists exhibited better MI-consistent
skills had more positive alcohol treatment outcomes at one-year follow up, lending some
preliminary support to Moyers and colleagues’ (2009) research.
The causal chain for MI proposed by Moyers and colleagues (2009) can be illus-
trated as follows:
therapist MI-consistent speech à increased client change talk à improved treatment outcomes
The spirit of MI guides how we use the skills described in this section. Often when coun-
sellors come to supervision stating “Motivational interviewing doesn’t work with this
client,” it is because the counsellor is using the skills without emphasizing partnership,
acceptance, compassion and evocation—the components of MI spirit. Of course, it may
be the case that MI is not appropriate for a particular client, but it is always worth reflect-
ing on whether the skills were practised from a place of open curiosity about the client’s
situation and goals, and with a shared “agenda” (e.g., the counsellor is not implicitly or
explicitly communicating “I know what is best for you”).
This is easier said than done, as counsellors often feel a sense of urgency to “get”
the person to change. Miller and Rollnick (2013) call this the “righting reflex,” and note
that avoiding our reflexive response to “fix” the client is key. In other words, suppress-
ing counter-motivational behaviour (like the righting reflex) is often harder—and more
important—than how much or how well we use the specific skills.
There are various ways we behave therapeutically, all of which can be based in
genuine concern for the client. Wanting to correct or instruct the client usually has this
compassionate base of concern. But the test of whether we are holding to the MI spirit
can often be measured by empathy—not the counsellor’s self-rating of how attuned he
or she is to what the client is struggling with, but through feedback from the client that
this client values and appreciates our efforts to understand how things are with him or
her, on the client’s terms, not ours.
With that in mind, the following section provides brief descriptions of MI skills.
A more detailed description and examples can be found in Miller and Rollnick (2013),
Rollnick and colleagues (2008) and Rosengren (2009).
The four OARS skills are fundamental to MI practice. Even in a brief conversation, they
can build collaboration and enhance motivation for change. OARS is an acronym for:
• Open-ended questions
• statements of Affirmation
• Reflective listening
• Summary statements.
table 5-2
Closed and Open-ended Questions
Did you have any cravings in the last Tell me about your cravings last week.
week?
Have you ever injected drugs? What is your experience with injecting
drugs?
Would you like to come back for We’re at the end of our appointment—
another appointment? where would you like to go from here?
In general, open-ended questions are preferred over closed ones because they are
more effective at eliciting the client’s thoughts, feelings, preferences and goals.
Counsellor: Please tell me about any times that you have been able to stop drink-
ing in the past.
Client: Well, I was abstinent from alcohol for about four years when I was in
my 30s.
Client: Actually, I was miserable. They were the worst four years of my life!
Of course, not all clients would respond in this way, but the example illustrates the
perils of inserting our own assumptions and judgments into the conversation. A more
fruitful response might have been something along the lines of “You were able to stop
drinking for quite some time. How were you able to do that?” The practitioner could then
explore what led the client back to alcohol use, as well as relapse prevention and coping
skills issues and current goals.
Here are some examples of statements of affirmation:
You are committed to making the best choices for yourself, including what types
of goals you want to set in treatment.
Reflective listening is the most central of the OARS skills, and can also be the most
challenging to learn and practise effectively. Many counsellors assume they already know
and practise reflective listening; yet when their interviews are recorded and reviewed,
it becomes clear that they default to some combination of questioning, advising and
affirming. For example, go back to the self-assessment at the beginning of this chapter:
Would either of your responses to the challenging client statements meet the following
criteria for reflective listening?
There are two types of reflective responses: (1) simple reflections essentially repeat
back to a client the explicit content of something he or she has said; (2) complex reflections
include the client’s unspoken (implicit) meaning, feelings, intentions or experiences. In
general, complex reflections are more effective at continuing and deepening the conver-
sation. One way to understand the difference between these two types of reflection is to
imagine an iceberg (see Figure 5-2). The tip of the iceberg (above the water) represents
the content (or the words the client speaks); a simple reflection focuses on the tip of the
iceberg. The huge mass of the iceberg below the water represents all the thoughts, feel-
ings and meanings that lie behind the client’s words; a complex reflection focuses below
the waterline (Miller & Rollnick, 2013).
Chapter 5 Motivational Interviewing 95
Simple
reflection
Complex
(enhanced)
reflection
Done well, reflective listening on its own can help open up new ground with cli-
ents and convey understanding and empathy. Table 5-3 provides examples of simple and
complex reflections in response to different statements.
table 5-3
Examples of Simple and Complex Reflections
I don’t think I have a Using drugs is not a Your drug use is not
problem with drugs. problem for you. something to be con-
cerned about, so you
aren’t sure that coming
here is going to be help-
ful for you.
I can see that I need to You don’t see a problem You’re feeling like
stop using crack, but with the cannabis. people don’t understand
smoking a joint now that it’s not the canna-
and then is no big deal. bis that’s causing you all
these problems, it’s the
crack use.
96 Fundamentals of Addiction: A Practical Guide for Counsellors
Things are way too I am hearing that this is You intend to quit smok-
stressful right now for not a good time for you ing at some point—it’s
me to deal with giving to quit smoking. finding the right time to
up cigarettes. do so that is a
challenge.
The last component of the OARS skills involves periodically summarizing what
has been discussed in the interview. Summary statements bring together key points and
content and offer these back to the client in order to help reflect on where the conversa-
tion has led. Summarizing can be used strategically—since an important objective in
MI is to elicit change talk, practitioners who are skilled in the approach are able to offer
selective summaries, emphasizing the different kinds of change talk they hear from cli-
ents. Miller and Rollnick (2010) call this offering “bouquets of change talk” (with sprigs
of sustain talk). Referring back to Adia’s case from the beginning of this chapter, here is
an example of what a summary statement might sound like if Adia’s counsellor had used
MI during the initial assessment:
Let me make sure I understand what you’ve been saying so far. (Adia nods.)
Okay, so you have been forced to come for treatment, even though you are very
clear that you don’t have any problem with drugs. I’m also hearing that you
came today because your kids are the most important things in your life, and
you’ll do whatever it takes to keep your family together. You acknowledge that
drugs have caused some problems for you in the past, and you’ve worked really
hard to stop using and to stay quit. It’s feeling like no one recognizes the efforts
you’ve made and how far you have come, and feeling respected is important to
you. What did I miss?
Desire for or Ability to make a change (what Adia has been able to accomplish with
respect to her past drug use)
Commitment, Activation or Taking steps toward change (e.g., “I will do whatever it takes
to keep my kids with me”).
and centre (i.e., emphasizing partnership, acceptance, compassion and evocation at all
times). Indeed, learning to listen for change talk is a skill in itself. These different types
of change talk are discussed in the next section.
Change talk in general refers to clients’ statements about their desire, ability, reasons
and need for change, whereas commitment language represents a more assertive
declaration about commitment/actions to change. Research shows that change talk
is associated with enhanced motivation for change, and motivation is associated with
increased likelihood of actual change. This supports the emphasis that MI places on
listening for, and eliciting, change talk as key counselling skills (Miller & Rollnick, 2013;
Moyers et al., 2009). Sustain talk is the opposite of change talk; these terms reflect two
sides of a person’s ambivalence about changing (two sides of the same coin). The skillful
counsellor understands that difference and guides the client away from sustain talk and
toward change talk, listening especially for statements that show commitment. Table 5-4
provides examples of change talk and sustain talk.
table 5-4
Examples of Change Talk and Sustain Talk
My gambling is totally out of control. But betting is the only way I can
de-stress and forget all my problems
for a while.
I know I should take my medication It’s just that I hate the side-effects so
every day. much.
Activation: “I’ve erased the dealers’ phone numbers from my contact list, and I am get-
ting a new phone number so they can’t call me anymore.”
Taking steps: “I’ve started taking a fitness class at the community centre twice a week
in the evenings.”
DARN statements tend to predominate when people are still deciding to make
a change, whereas CAT statements indicate that a client is ready to take action. DARN
statements on their own are insufficient or do not necessarily predict change. For
example, Miller and Moyers (2006) point out that two people exchanging wedding
vows “ideally respond with commitment language (‘I do’) rather than just change
talk (‘I hope so,’ ‘I could,’ ‘I have good reason to’ or ‘I need to’)” (p. 11). Commitment
language signals that a client is ready to actively plan for change or is already making
some positive changes.
The strategies to elicit and strengthen change talk and commitment language build on
the basic OARS skills. The following are effective ways to evoke change talk and help
guide the conversation toward increased commitment:
Ask open-ended questions: “What are some of the less good things about drug dealing?”
Listen empathically and selectively reflect back: Client: “Don’t get me wrong—I know
my crack use is out of hand, but the dealers are everywhere in my neighbourhood.”
Counsellor: “Things are really difficult, and you are worried about how much crack you
are using.”
Look forward, look back: “Where would you like to be five years from now? How does
that fit with where you are now?” “Tell me about what things were like for you before all
of these difficulties started.”
Link behaviour with values and develop discrepancy: “Your kids mean more to you than
anything, and being a good parent is a high priority. Yet you also mentioned that they
were scared when you left them alone in the house that time. How do those things
fit together?”
Chapter 5 Motivational Interviewing 99
When all else fails, the easiest way to elicit change talk is to listen carefully for any
example of change talk (Desire, Ability, Reasons, Need), and then respond with “Tell me
more about that.” Asking for elaboration encourages more conversation about change.
Even the most highly skilled and experienced counsellors encounter sustain talk and dis-
cord; they are often manifestations of the client’s ambivalence. It helps if we regard them
as feedback pointing to a need for us to change our intervention strategies, as invitations
to respond differently, especially by returning to reflective listening. In MI, discord and
sustain talk have distinct meanings. Miller and Rollnick (2013) note that discord refers
to client statements about the intervention process or relationship to the counsellor, par-
ticularly the direction in which the client perceives things are going (e.g., “But you don’t
understand what I’m going through” or “I am not ready to go there yet, if ever”). Discord
is a normal human response to feeling pressured or challenged to do something about
which a person is ambivalent. It often comes in the form of a “yes, but” statement (e.g.,
“Yes, but I tried that before”). Note that MI frames discord as an interpersonal process,
which often occurs as a natural response to a counter-motivational statement or a direc-
tive or authoritarian stance on the part of the counsellor (MI-inconsistent responses).
Sustain talk, on the other hand, focuses on the client’s behaviour and simply
represents the opposite side of change talk (e.g., “I don’t have a problem with drugs” or
“There are some things about my drug use that I still really like”). Sustain talk represents
the other side of a person’s ambivalence about changing. It can be an expression of the
client’s desire for the way things are, feeling unable to change, having reasons for keep-
ing things the same or needing to keep things the way they are—a kind of reverse DARN
CAT (Rosengren, 2009).
While in earlier years MI made heavy use of the concept of resistance, the more
recent introduction of the terms “discord” and “sustain talk” has seen a shift in our
understanding of these concepts as the logical complement to change talk. Both terms
underline the continuing challenge of working with ambivalence in helping clients move
toward healthy behaviour change. Before and after we make decisions to change, we still
experience ambivalence. Humans, especially when the stakes are high and the outcome
is uncertain, tend to “ambivilate.”
MI is especially interested in the ways that discord and sustain talk can be by-
products of how we engage the client. However we think of these issues, we surf the
waves of sustain talk using the same skills. Three types of reflective listening can be
particularly helpful ways to respond to discord and ride the wave of sustain talk. The fol-
lowing strategies can open the door to a more productive conversation—that is, dancing
versus wrestling.
100 Fundamentals of Addiction: A Practical Guide for Counsellors
Amplified reflection: reflecting back what the client has said in an amplified or slightly
exaggerated form (there should be no sarcasm in the counsellor’s tone when using an
amplified reflection). For example:
Client: I have no intention of quitting smoking (sustain talk), and you can’t
make me! (discord)
Double-sided reflection: acknowledging what the client has said and adding to it the
other side of the client’s ambivalence, using material the client has offered previously.
For example:
Client: I don’t drink any more than most of my friends. What’s wrong with a few
beers now and then? (sustain talk)
Counsellor: So it’s kind of confusing. On the one hand, you’ve told me you’re
concerned about how alcohol affects you, and on the other hand, it seems you’re
not drinking any more than your friends.
We can respond by shifting focus; that is, shifting the conversation away from what
seems to be a stumbling block to progress. Essentially, this means changing the subject
when talking about an issue has become counterproductive at that moment. An example
of shifting focus might sound like “That doesn’t seem like a problem to you right now.
What are some of the things you’re dealing with that you feel are a challenge?” Finally,
simply emphasizing the client’s choice and control (autonomy) can help minimize resis-
tance and move the conversation away from sustain talk. This means explicitly stating
something along the lines of “It really is your choice what you will do about _______.”
Remember that sustain talk, in particular, is to be expected in any conversation
about change, especially when a person is feeling ambivalent. The counsellor’s response
can provide the forward momentum in the client’s process of exploring and resolving
his or her ambivalence and ultimately making a decision to change. However, we should
always be open to—and accepting of—the possibility that a client may very well decide
not to change despite our best efforts. If we have respectfully and empathically stayed
with our clients through to this decision, it is more likely that they will come back and
re-engage with us if or when their circumstances or perceptions change.
Chapter 5 Motivational Interviewing 101
If you like, we can talk about some of the things that you might find helpful to
work on together. Here are some areas that you noted during your assessment.
The case example of Adia outlined a number of possible areas that a counsellor
could note on an agenda-mapping worksheet. These include child care and Adia’s efforts
to complete her high-school diploma. In addition, Adia may identify other concerns,
such as housing, stress or financial problems. If Adia states that she has been successful
in stopping her past drug use on her own, then the practitioner could suggest relapse
prevention as a possible treatment goal. The question marks on the sample worksheet
indicate other possible areas that Adia might identify as part of the agenda-setting con-
versation. Note that the agenda is the client’s, and the counsellor works to ensure that
action to produce positive change will be successful. Agenda setting gives a shape to the
work the client and counsellor will do together.
102 Fundamentals of Addiction: A Practical Guide for Counsellors
High-School
Housing ?
Diploma
Relapse
? ?
Prevention
Source: Miller, W.R. & Rollnick, S. (2013). Motivational Interviewing: Helping People Change (3rd ed., p. 110). New York: Guilford
Press. © Guilford Press. Adapted with permission.
Once the client and the counsellor agree on the presenting issues, it is up to the
client to identify priorities and target areas. The objective in agenda setting is to work col-
laboratively and support the client’s commitment to both the end point and the starting
point, and then proceed to identify and explore the specifics. Small incremental changes
in one area can lead to continued and growing commitment to work on change in other
areas. Like assessment, agenda mapping is an ongoing process that evolves with increas-
ing trust, rapport and engagement.
The Readiness Ruler is a useful tool to check whether clients are ready to take the impor-
tant step of making a commitment to change. In general, higher ratings for importance,
confidence and readiness signal that it is time to make a transition in MI strategies
toward actively planning for, and consolidating client commitment to, change.
Chapter 5 Motivational Interviewing 103
People usually have several things they would like to change in their lives—
your substance use may be only one of those things. So importance and
confidence about changing your substance use can vary depending on other
things that are happening. Circle the number (from 0 to 10) on each of the
lines that best fits with how you are feeling right now.
1. How important is it to change this behaviour?
0 1 2 3 4 5 6 7 8 9 10
Comments: What else is more important at this time? What has made this
change this important to you so far, as opposed to it being unimportant (0)?
What would it take to make this change even more important to you?
2. How confident are you that you could make this change?
0 1 2 3 4 5 6 7 8 9 10
Comments: Why are you at (current score) and not 0? What would it take for
you to get from (current score) to (higher score)?
A useful follow-up to the Readiness Ruler is asking a key question to help facilitate
the client’s explicit commitment to making a change. The key question essentially invites
the client to talk about “What’s next?” with respect to making the change. Different ways
to ask a key question include:
Given what we have talked about, what do you think you will do?
Once the client has expressed a preferred course of action, the counsellor can work
collaboratively to help the person come up with a concrete plan. At this point, it is appropri-
ate to be a bit more directive in the session. In fact, continuing to elicit and explore a client’s
desire, ability, reasons or need for change can be frustrating for clients who are ready to
take action. Clients will often ask for advice or suggestions at this time, so continuing to
rely primarily on the OARS skills may be less helpful. However, it is still important not to
underestimate ambivalence and to be ready to cycle back to reflective listening and the other
MI skills if the client seems unwilling or hesitant to commit to a goal or a plan of action.
104 Fundamentals of Addiction: A Practical Guide for Counsellors
After working collaboratively with a client to develop a plan for change, it is a good
idea to consolidate commitment by asking an open-ended question that allows the client
to clearly articulate why the change is so important to him or her. Questions like “What
made you decide that now is the time you must do this?” “or “What are the reasons that
make succeeding at this so important to you?” help the client hear himself or herself
express out loud the necessity and salience of the change.
Asking permission is a useful way to invite “conversational consent” before pro-
viding information or making suggestions. There are three types of permission:
1. The client asks the counsellor for advice, information or suggestions—this is implied
permission.
2. The counsellor asks the client for permission (e.g., “Can I share some of my thoughts
about this treatment plan?”).
3. The counsellor asks permission to present a menu of options, and asks for the
person’s choice (e.g., “Would you like to hear about some of the different kinds
of treatment we offer here, including . . .? What do you think would work best for
you?”).
The most important reasons why I want to make these changes are . . .
Source: Ingersoll, K.S., Wagner, C.C. & Gharib, S. (2002). Motivational Groups for Community Substance
Abuse Programs. Rockville, MD: Center for Substance Abuse Treatment. © Center for Substance Abuse
Treatment. Reprinted with permission.
table 5-5
MI to Enhance CBT
CBT MI + CBT
change talk and commitment language tell us that we are “doing it right” and are head-
ing in a positive direction.
MI may also be a useful approach with people with acquired brain injury (Medley
& Powell, 2010). In particular, the spirit and techniques of MI can help promote clients’
self-awareness, goal setting and engagement in treatment and rehabilitation.
Research with different ethnocultural groups has been encouraging: a meta-analysis
by Hettema and colleagues (2005) concluded that ethnospecific populations may benefit
more from MI than from other mainstream addiction treatments (i.e., CBT and 12-step
facilitation). One possible explanation is that the “client centered, supportive, and non-con-
frontational style of MI may represent a more culturally respectful form of psychotherapy
for some ethnic groups” (Lundahl & Burke, 2009, p. 1241). Specific populations are het-
erogeneous in themselves, so any generalizations are potentially problematic. Nonetheless,
these preliminary findings support MI as at least a promising practice with populations
that have been traditionally ignored or under-represented in treatment research.
108 Fundamentals of Addiction: A Practical Guide for Counsellors
1. The Spirit of MI
This is a key starting point. As we stated earlier, the spirit of MI is the most important
prerequisite to practising the approach. Practitioners who sincerely convey their belief
in the inherent human potential for growth and development in their clients, and who
work in a collaborative, evocative and respectful way, are more able to acquire the skills
of MI. Workers who can convey empathic regard to their clients are manifesting MI
spirit in action.
These skills are not unique to MI, and are captured in the OARS approach described
earlier: Open-ended questions, statements of Affirmation, Reflective listening and
Summary statements. These skills are all part of a meta-skill, accurate empathy, which is
actually quite complex and never fully perfected by even the most seasoned, experienced
clinicians.
Change talk, as we have seen, is predictive of behaviour change and positive treatment
outcomes. Selectively listening for, eliciting and reflecting change talk builds motivation
and reinforces clients’ readiness to change. Recognizing and reinforcing change talk and
eliciting and strengthening change talk are posed as distinct skills because it generally
takes some practice for counsellors to be able to accurately distinguish and respond to
change talk. Actively eliciting change talk is a more advanced skill.
Chapter 5 Motivational Interviewing 109
The final process is probably the most challenging. MI can be used to build client moti-
vation to enter other kinds of treatment programs, or it can be combined with other
evidence-based interventions (or both). In addition, there may be clients for whom MI is
not appropriate at all. The complex skills and clinical judgment to flexibly move between
MI and other approaches, and to decide which approach to take, characterize this process
of learning and development.
The “coach” or observer listens to either a live or recorded session and on the cod-
ing sheet places checkmarks beside the appropriate category for the type of utterance
made by the counsellor or the client. At the end of the interview, the observer adds up the
checkmarks for each category to get a total number of open and closed questions, simple
and complex reflections and client change statements. The observer then provides an
overall rating of therapist talk time and rates the degree to which the counsellor demon-
strated MI spirit—partnership, acceptance, compassion and evocation—in the session.
The coding sheet can be completed by the therapist or by a clinical or peer supervisor.
The coding sheet can be used individually for a counsellor’s own reflection and
self-assessment, or in individual or group clinical supervision. It can also be adapted
so the counsellor can gather more detailed feedback about his or her proficiency in
MI skills. For example, the counsellor can include a section to note MI-consistent and
MI-inconsistent behaviours and responses. Counsellors new to MI can use the coding
sheet as a structured way to view demonstration videos online: it will help them recog-
nize specific micro-skills and how they are used in practice (see the Resources section for
links to MI videos). In the end, our clients are our best teachers, and regular practice and
post-session reflection help to highlight areas of strength and areas for continued focus.
Chapter 5 Motivational Interviewing 111
Conclusion
Adia’s case example illustrates some of the pitfalls that occur when helping profession-
als use a highly directive or confrontational style. At the end of the addiction assessment
(which Adia seemingly attended only out of duress), both Adia and her counsellor felt
frustrated, discouraged and hopeless. Yet Adia has a wealth of personal resources that
she has brought to bear on the problems and roadblocks in her life: she is surviving as
a single parent; she manages to feed and house herself and her children; she is commit-
ted to finishing high school so she can have more choices in her life; she has tried—and
by her own reports succeeded in—stopping her drug use in the past; and she is used to
doing things on her own initiative. A motivational approach that elicited Adia’s hopes,
dreams, goals and strategies might have led to a more positive outcome in this treat-
ment encounter. At the least, Adia would have felt heard, validated and understood—and
therefore more inclined to trust that the counsellor had her best interests in mind.
The major objective in MI is to guide the client in the direction of change using
a combination of core skills and specific strategies, practised with an underlying MI
spirit. Just focusing on helping a client explore his or her ambivalence about changing
can enhance motivation, and has the added benefit of communicating non-judgmental
acceptance of where the person is at, building rapport and strengthening therapeutic
alliance. Although there is no one approach that is likely to be the best or most appropri-
ate intervention for every client, MI represents a useful and important evidence-based
approach to addiction counselling.
Now that you have read the chapter, is there anything in your responses to
the self-assessment questions posed at the beginning of this chapter that you
would change? Take another look at the following client statements, and write
down one or two sentences in response. Then compare your answers with the
ones you formulated at the beginning of the chapter. What, if anything, is dif-
ferent? What implications does this have for your clinical practice?
1. Client: It’s easy for you to tell me all these things I have to do. When was the
last time you had someone on your case all the time?
Counsellor:
2. Client: I’ve tried everything and nothing seems to help. What’s the point?
Counsellor:
112 Fundamentals of Addiction: A Practical Guide for Counsellors
Practice Tips
Miller and colleagues (2004) and Miller and Rollnick (2013) suggest
overall guidelines for using MI core skills:
• Resist the “righting reflex” and practise listening to your client with
unconditional acceptance and compassion. This is the essential
starting point for MI, and is key to the spirit of the approach.
• Don’t ask more than two questions in a row. Open-ended
questions are followed up with reflective listening to convey under-
standing and empathy and to further the conversation. Asking a lot
of questions conveys an expert, one-up position on the part of the
counsellor, rather than the equal partnership—client and counsel-
lor are both experts—that characterizes MI.
• Aim for a two-to-one ratio of reflections to questions. In other
words, try to offer two reflections for every question asked.
Remember that reflective listening is a complex skill that takes
practice. It may be useful to set a small, incremental goal, such as
committing to listening to a client carefully throughout the session
and offering a single tentative reflection of what you have under-
stood. Aim for more than 50 per cent complex (versus simple)
reflections. Complex reflections are more evocative of clients’ own
goals, concerns and hopes. Again, formulating complex reflections
takes practice. As clinicians become more adept at reflective listen-
ing, complex reflections become easier to frame and articulate in
one-to-one interactions with clients.
• Aim to do less than 50 per cent of the talking in the conversation.
The goal is to facilitate the client’s own exploration of the problem
or issue.
• Avoid “roadblocks” or counsellor behaviour that gets in the way of
enhancing motivation for change. This includes giving advice or
making suggestions without asking the client’s permission, as well
as warning or threatening the client.
Chapter 5 Motivational Interviewing 113
Resources
Publications
Martino, S., Ball, S.A., Gallon, S.L., Hall, D., Garcia, M., Ceperich, S. et al.
(2006). Motivational Interviewing Assessment: Supervisory Tools for Enhancing
Proficiency (MIA STEP). Salem, OR: Northwest Frontier Addiction Technology
Transfer Center, Oregon Health and Science University. Retrieved from
www.motivationalinterview.org/Documents//MIA-STEP.pdf
Matulich, B. (2010). How to Do Motivational Interviewing: A Guidebook for Beginners.
San Diego, CA: Author.
Miller, W.R. & Rollnick, S. (2009). Ten things that motivational interviewing is not.
Behavioural and Cognitive Psychotherapy, 37, 129–140.
Miller, W.R. & Rollnick, S. (2013). Motivational Interviewing: Helping People Change (3rd
ed.). New York: Guilford Press.
Moyers, T.B., Martin, T., Manuel, J.K., Miller, W.R. & Ernst, D. (2010). Revised Global
Scales: Motivational Interviewing Treatment Integrity 3.1.1 (MITI 3.1.1). Retrieved from
http://casaa.unm.edu/download/miti3_1.pdf
Rollnick, S., Miller, W.R. & Butler, C.C. (2008). Motivational Interviewing in Health Care:
Helping Patients Change Behavior. New York: Guildford Press.
Rosengren, D.B. (2009). Building Motivational Interviewing Skills: A Practitioner
Workbook. New York: Guilford Press.
Internet
Center on Alcoholism, Substance Abuse, and Addictions
http://casaa.unm.edu
Motivational Interviewing
www.motivationalinterview.net
Motivational Interviewing Network of Trainers
www.motivationalinterviewing.org
Motivational interviewing videos on YouTube
www.youtube.com/user/teachproject#p/u
www.youtube.com/user/MerloLab#g/u
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Chapter 6
Increasing evidence suggests that substance use disorders have a biological founda-
tion and may be best understood as a chronic brain illness (McLellan et al., 2000).
Multiple neurobiological processes are highly affected and altered when recreational
drug use progresses to chronic use. Understanding substance use disorders within a
neurobiological framework may be advantageous for developing effective and successful
pharmacotherapies specifically tailored to treat people with these illnesses.
1 The DSM-5 was published in May 2013. The terms “abuse” and “dependence” have been eliminated and replaced with the
terms “addiction” and substance “use” disorders (e.g., “alcohol use disorder” rather than “alcohol abuse” or “alcohol dependence”).
118 Fundamentals of Addiction: A Practical Guide for Counsellors
This diagnosis can occur with or without physiological dependence, but physiological
dependence alone is not sufficient for a diagnosis.
The most common licit and illicit substances of abuse or dependence include nico-
tine, alcohol, marijuana, opiates, cocaine, hallucinogens, stimulants, sedative-hypnotics,
anxiolytics, anesthetics and inhalants (National Institute on Drug Abuse, 2009). However,
hallucinogen dependence differs from substance dependence involving other classes of
drugs in that it is not associated with the classic patterns of tolerance and withdrawal
liability. The extent of hallucinogen tolerance appears to be minimal and a clear with-
drawal syndrome has not yet been well established (APA, 2000; Kosten et al., 1987). While
hallucinogens tend not to cause physiological dependence, chronic users may experience
psychological dependence or “cravings” for hallucinogens (APA, 2000).
Drug craving is the desire for previously experienced effects of a psychoactive sub-
stance. This desire can become compelling and can increase in the presence of both internal
and external cues, particularly with (perceived) substance availability. It is characterized
by an increased likelihood of drug-seeking behaviours and drug-related thoughts (World
Health Organization, 2004). Drug cravings can persist, or even return long after drug use
has been discontinued, which may, in part, account for the typically high rate of relapse.
Opioid analgesic drugs are recommended for the management of severe pain.
While psychological dependence is quite rare in people chronically treated with opioid
analgesics, physical dependence can develop (Portenoy, 1990). Notably, only about two
to six per cent of medical patients with no history of substance misuse abuse analgesics
when they are medically administered, adhering to strict guidelines (Fields, 2007). It
should be common practice for clinicians to screen for risk factors associated with addic-
tion before starting patients on any opioid treatment plan.
Prefrontal
Cortex
Nucleus Accumbens
Ventral Tegmental Area
Neuroadaptation
While increases in extracellular dopamine are acutely reinforcing, this increase in itself
does not mediate the persistent behavioural consequences of substance use disorders.
These disorders are thought to be the result of repeated stimulation of the mesolimbic
pathway, which triggers reorganization in the brain’s neurocircuitry. Long-lasting molec-
ular and cellular plasticity can result in compromised neural mechanisms that mediate
positive reinforcement, craving and relapse. These changes serve to motivate the user to
continue to administer the drug (Koob & Le Moal, 2008). As people become more driven
to administer the drug, the drive can also progress to a state of negative reinforcement, in
which the removal of (or the subjective need to alleviate) the uncomfortable symptoms
associated with withdrawal leads to drug re-administration.
Neuroplasticity refers to the brain’s remarkable ability to change structurally or
functionally in response to stimuli from the environment. It is the mechanism that
underlies learning and memory. Drugs of abuse can modulate neuroplasticity, while
neuroplasticity in the mesocorticolimbic reward pathway may drive the development of
drug addiction (Everitt et al., 2008).
Neuroadaptation refers to the process whereby the brain attempts to compen-
sate for the drug’s effect so that it can attempt to function normally. Ironically, these
alterations contribute to the development of dependence. Changes are long-lasting
and not readily reversible (Hyman et al., 2006). Repetitive substance use corrupts
the normal circuitry of the brain and triggers neurobiological changes associated
with aberrations in the dopamine systems. Researchers have proposed that adaptations
122 Fundamentals of Addiction: A Practical Guide for Counsellors
in these dopaminergic circuits make the addicted person more responsive to the
increases in dopamine that are produced by drugs of abuse and less sensitive to the
physiological increases in dopamine produced by natural reinforcers (Volkow et al.,
2004). To the degree that a person is addicted, they require the extra dopamine that
drugs provide.
Neuroadaptations have been documented not only for dopamine systems, but also
for other neurotransmitters: glutamate, GABA, opiates, serotonin and various neuro-
peptides. At a cellular level, chronic drug intake has been reported to alter the density of
certain receptors in order to adapt to the strong imbalances of neurotransmitter levels.
Neurons accomplish this by either reducing (“downregulating”) or increasing (“upregu-
lating”) the number of receptors for a specific neurotransmitter. For example, chronic
nicotine exposure can cause desensitization of nicotinic receptors in the brain, leading
to an upregulation of such receptors. This is associated with increased dopamine respon-
siveness within the VTA or other dopamine systems and may contribute to a heightened
response, a phenomenon known as sensitization.
Sensitization refers to the phenomenon that occurs with repeated administration
of a drug, which elicits escalating effects at a given dose. It may be best conceptualized
as reverse tolerance. This response can persist for months after the last drug exposure
(Robinson & Berridge, 1993). Moreover, sensitization is thought to mediate drug-,
cue- and stress-induced relapse (Kalivas & Stewart, 1991). Interestingly, tolerance may
develop to select drug effects, while sensitization develops to others, presumably reflect-
ing the different properties of the affected circuits. The clinical implication of tolerance
is that people with addiction require more and more of the substance to get the same
clinical effect, or the same amount of the drug becomes less effective. With sensitization,
the use of the drug over time leads to more pronounced clinical effects (e.g., cocaine-
induced paranoid thinking).
Relapse is the resumption of drug-seeking or drug-taking behaviour after a period
of abstinence to a level of intensity comparable to that attained before the initiation of
abstinence. Chronic relapse is a significant problem and a core feature of drug addiction
(Kleber, 2007). Relapse rates are estimated to be between 35 and 85 per cent and often
occur within the first three to six months after cessation (George, 2011). Research has
identified numerous risk factors that predict vulnerability to relapse, including genetic
predisposition, stress and conditioned positive reinforcers, such as specific places or par-
aphernalia. Given that substance dependence is a heterogeneous condition, predicting
the exact time course from abstinence to relapse is difficult. Rates can vary as a function
of severity of addiction, type of drug, genetics, gender, the presence of a comorbid disor-
der and treatment compliance.
Enhanced understanding of the neurobiological processes implicated in addic-
tion, such as neuroadaptation and neuroplasticity, may lead to pharmacotherapies and
other treatment approaches that help improve rates of recovery.
Chapter 6 Neurobiology of Substance Use Disorders and Pharmacotherapy 123
Pharmacological Treatments
Understanding the cellular mechanisms, neural circuitry and neuroplasticity resulting
from compulsive drug use has tremendous implications in the prevention and treatment
of substance use disorders, and the development of medications. Broadly speaking,
medication interventions can be classified as agonists, partial agonists or antagonists.
Each of these is described below. Table 6-1 at the end of this section presents a complete
summary of evidence-based pharmacological treatments.
Agonist Therapy
The agonist approach uses a similar drug to mimic certain aspects of the abused sub-
stance by stimulating a relevant receptor involved in the drug addiction (e.g., nicotinic or
mu-opioid receptor). This type of therapy is often referred to as substitution or mainte-
nance therapy. Using this approach, an addictive agent is replaced with one that has less
addictive potential and a better safety profile due to its pharmacological characteristics.
Chapter 6 Neurobiology of Substance Use Disorders and Pharmacotherapy 125
Methadone
Methadone is an example of an agonist used to treat opioid dependence (Bao et al.,
2009). The opioid-withdrawing brain cannot distinguish between methadone and the
abused opioid (e.g., heroin, oxycodone, morphine), as both relieve withdrawal symptoms
such as body aches, nausea, diarrhea, anxiety and elevated pulse. Methadone is readily
absorbed and is long-lasting, with a half-life (the time required for half of the drug to
be eliminated from the body) between 12 and 100 hours (Reisine & Pasternak, 1996).
Methadone produces different euphoric effects from person to person, but it is effective
in blocking craving and withdrawal for 24 to 36 hours (Scimeca et al., 2000). It is a suc-
cessful maintenance therapy because it keeps people in treatment, reduces their use of
injection drugs (and of thus acquiring or transmitting diseases) and reduces overdose
risk. Methadone decreases opioid abuse more successfully than treatments that do not
incorporate this therapy. Optimum duration of maintenance on methadone remains
unclear, but outcomes are best with extended treatment (Kleber, 2007).
Partial Agonists
While agonists are chemicals that bind to receptors and fully stimulate them to produce
their effects, partial agonists work by both stimulating and blocking receptors. More
specifically, these drugs primarily stimulate receptors at low doses, and block them at
higher doses.
Varenicline
Varenicline is approved in Canada and the United States for the treatment of nicotine
dependence. It acts as a partial agonist at the nicotinic acetylcholine receptor (nAChR),
the same receptor on which nicotine itself acts. Research has demonstrated promising
effects using this compound. One study found that after one year of abstinence, the odds
of quitting with varenicline were 2.5 to three times greater than with placebo (Jorenby
et al., 2006), making it the most effective treatment available for nicotine dependence.
126 Fundamentals of Addiction: A Practical Guide for Counsellors
Buprenorphine
Compared to methadone, buprenorphine is a relatively new treatment option for opioid
dependence, with a higher safety profile and easier accessibility. Methadone patients
generally require once-daily dosing, but many people on buprenorphine can be treated
once every two or three days. Buprenorphine is a mu-opioid receptor partial agonist.
It has very high affinity and low intrinsic activity at the mu-receptor and thus will dis-
place opioid full agonists, such as abused opioids, from the receptor. Buprenorphine’s
long duration of action is due to its long half-life and slow dissociation from mu-opioid
receptors. At increasing doses, buprenorphine has a ceiling effect. In other words, it
reaches a maximum euphoric effect and subsequently does not continue to increase
linearly with increasing doses of the drug; in fact, at higher doses, the antagonist effects
of this drug become more prominent. Accordingly, these properties explain why over-
dose of buprenorphine is rare and why it is unlikely to cause respiratory depression, a
major concern with full opioid agonists such as heroin and methadone. Furthermore,
buprenorphine may be less sedating than full mu-opioid agonists while still decreasing
cravings for other opioids and preventing opioid withdrawal. Having opioid-dependent
patients comply with buprenorphine therapy remains a clinical issue (Boothby &
Doering, 2007).
Antagonists
Like agonists, antagonists compete with the substance of abuse for the receptor bind-
ing sites. However, antagonists do not stimulate the receptor. Instead, the effects of the
abused substance are blocked, thereby attenuating or eliminating the rewarding or rein-
forcing effects of the substance.
Naltrexone
Naltrexone is a mu-opioid receptor antagonist and is thought to reduce both cravings
and euphoria related to alcohol consumption (O’Brien et al., 1996; O’Malley et al., 1992).
Studies have demonstrated its effectiveness in decreasing alcohol consumption and
increasing the time to relapse (Anton & Swift, 2003). Not only is naltrexone an approved
treatment option for alcohol dependence; it has also been shown to be effective in treat-
ing opioid dependence (Roozen et al., 2006).
Disulfiram
In 1948, disulfiram was the first medication to be approved by the U.S. Food and Drug
Administration for alcohol dependence. Disulfiram works by inhibiting aldehyde dehy-
drogenase, an enzyme involved in alcohol metabolism, which results in the buildup
of the compound acetaldehyde. Acetaldehyde is a very toxic substance that causes
many of the hangover symptoms heavy drinkers experience. In the normal metabolic
TARGETED
PHARMACOLOGIC SUBSTANCE ADMINISTRATION
Chapter 6
receptors
Evidence-Based Pharmacotherapies for Substance Use Disorders and Their Characteristics
127
128 Fundamentals of Addiction: A Practical Guide for Counsellors
process, the body continues to oxidize acetaldehyde into acetic acid, which is harm-
less. Disulfiram interferes with this metabolic process by blocking this last conversion
step. If alcohol is ingested when disulfiram is in the system, the concentration of blood
acetaldehyde levels may be five to 10 times higher than that found with alcohol alone.
This leads to a disulfiram-ethanol reaction and results in aversive symptoms such as
nausea, headaches, flushing, warmness, vomiting, shortness of breath and blurred
vision (Garbutt, 2009). Disulfiram is one of the few demonstrably effective interven-
tions for alcohol dependence, both alone and as an adjunct to psychosocial methods.
However, its success is highly correlated with compliance (Brewer, 2000) and is not
effective if taken intermittently.
Conclusion
Substance use disorders clearly have a neurbiological basis. Adopting a neurobiological
framework is critical given that pharmacotherapeutic interventions, in combination with
behavioural treatments, may be our best method for treating people with these disor-
ders. There is considerable enthusiasm in the scientific community about incorporating
advances in neuroscience, imaging techniques and pharmaceutical technology not only
in improving existing pharmacotherapies, but also in developing new potential agents.
Such approaches hold great hope and promise for people with substance use disorders,
their families and society as a whole.
Practice Tips
Resources
Publications
Cami, J. & Farre, M. (2003). Drug addiction. New England Journal of Medicine, 349,
975–986.
Kosten, T.R. & George, T.P. (2002). The neurobiology of opioid dependence: Implications
for treatment. Science & Practice Perspectives, 1, 13–20.
Internet
Canadian Centre on Substance Abuse
www.ccsa.ca/Eng/Pages/Home.aspx
National Institute on Drug Abuse
www.nida.nih.gov/nidahome.html
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Chapter 7
Fifteen months ago, Paolo, a 45-year-old man, went to the emergency depart-
ment of a community hospital presenting with severe anxiety. Three days
before the emergency visit, he had abruptly stopped taking lorazepam and
codeine because he was unable to renew his prescriptions. The emergency
physician diagnosed benzodiazepine and opioid withdrawal, prescribed a
small supply of both medications and referred Paolo to the nearby with-
drawal management centre.
Both the physician and the therapist continued to see Paolo over the next
several months, and communicated regularly with each other over the
phone. The physician initiated buprenorphine treatment for codeine depend-
ence, and tapered the lorazepam to a much lower dose. The physician also
initiated antidepressant treatment and connected Paolo with a family phys-
ician. The therapist provided ongoing solution-focused therapy, encouraging
Paolo to get help caring for his mother, and to exercise regularly and attend
Narcotics Anonymous meetings. She also taught him simple cognitive
strategies for dealing with stress and cravings, and organized referrals to an
134 Fundamentals of Addiction: A Practical Guide for Counsellors
One year later, Paolo reports that his mood and activity levels are much
improved, and that he has enrolled in a new business course.
Substance use counsellors can play an important role in maintaining their clients’
physical health. They are frequently called upon to explain the health risks of alcohol and
other drugs, and to inform clients of ways to minimize these risks. They often communi-
cate with the client’s family physician and other health care providers. Counsellors may
be the first professionals to become aware of signs and symptoms of impending illness
in a client. This chapter summarizes the health effects of the major drugs of abuse, rec-
ognizing the role that counsellors can play in helping their clients cope with the physical
effects of substance use.
Key Concepts
Tolerance
Withdrawal
The nervous system requires days or weeks to adjust to the sudden cessation of drug use,
causing a set of signs and symptoms known as withdrawal. For example, tolerance makes
the NMDA system of people who drink heavily more active (see above), so when the
person quits drinking, he or she experiences symptoms of an overactive nervous system.
When tolerance develops, a balance is achieved between the sedative effect of alcohol and
the increased activity of the NMDA activity in the brain. When alcohol is discontinued
abruptly, the brain is left with the unopposed increased NMDA activity, leading to with-
drawal symptoms. Withdrawal (like tolerance) is most common and severe with sedative
Chapter 7 Physical Effects of Alcohol and Other Drugs 135
and opioid use. While physical symptoms of withdrawal usually resolve in a week or
two, people who use substances heavily over the long term may experience mood distur-
bances and craving for weeks or even months, due to semi-permanent changes in the
nervous system.
Physical Dependence
Dependence Liability
The ability of a drug to produce reinforcing states, such as pleasure or euphoria, is known
as dependence liability. Drugs within the same class may vary in their dependence liability;
for example, among opioids, heroin and oxycodone have a higher dependence liability
than codeine. Dependence liability is influenced by pharmacological factors, such as
how quickly the drug reaches the brain. Genetic, social and psychological factors are also
important, and people vary widely in their response to particular drugs. For example,
most people do not experience pleasant psychoactive effects when they take opioids for
pain, but a few people do, placing them at higher risk for abuse and dependence.
Research suggests that drugs of abuse cause euphoria by increasing the release
of the neurotransmitter dopamine in the “reward pathway,” a bundle of nerves in the
mid-portion of the brain. The reward pathway is closely tied to two other brain func-
tions—memory and executive function: a person who is addicted to a drug experiences
pleasure from taking it, remembers the pleasurable feeling and feels driven to acquire
the drug to feel the pleasure again. The reward pathway’s natural function is to be acti-
vated by non-drug activities, such as eating, sex and close contact. Drugs of abuse thus
“hijack” a brain mechanism that promotes survival of our species.
Pharmacotherapy
Alcohol
Most adults in our society who drink alcohol do so moderately and without problems.
However, excess alcohol use creates a huge burden of sickness, death and health care
costs, outweighing the combined effects of all other drugs of abuse except tobacco (Single
et al., 1999). The following is a discussion of some common alcohol-related problems.
Intoxication
The severity of intoxication is related to the amount and speed of consumption, gender,
body size, tolerance, stomach contents and genetic variation in metabolism. Alcohol is
metabolized by the liver at a rate of about one drink per hour. While consuming one
or two drinks has a mild disinhibiting and relaxing effect, consuming four or more
drinks in less than two hours typically causes increased sedation with impaired judg-
ment, slurred speech, lack of co-ordination and slow response time. Intoxication also
affects mood and behaviour, and may cause emotional lability, impulsivity, anger and
depression. Ten or more drinks can cause coma and death from decreased breathing or
choking on vomit.
The risks of acute alcohol intoxication are greatest among adolescents and older
adults, and when alcohol is consumed along with other drugs, especially sedatives.
Adolescents have little experience with the intoxicating effects of alcohol and are more
likely to engage in risky behaviours, and older adults have less tolerance to alcohol.
Chapter 7 Physical Effects of Alcohol and Other Drugs 137
Alcohol Withdrawal
People are at risk for alcohol withdrawal if they consume at least six drinks per day for
more than a week. Withdrawal becomes more severe with larger amounts and longer
duration of drinking and with increased age (Brower et al., 1994), although there are
large individual variations.
Withdrawal begins between six and 24 hours after the person’s last drink. Physical
symptoms usually resolve within three to seven days, but some people have insomnia,
anxiety and anxious or depressed mood for weeks afterward. Signs and symptoms of
withdrawal include tremors, sweating, fast pulse, high blood pressure, vomiting and
anxiety. Grand mal seizures can occur in the first two or three days of withdrawal. Other
complications include irregular heartbeat, hallucinations and delirium tremens.
Delirium tremens (DTs) occurs after three to five days of severe, untreated with-
drawal. People who are hospitalized due to a medical illness are at greatest risk for
developing DTs. Symptoms include extreme confusion and disorientation, with vivid
visual and auditory hallucinations and sometimes fever, sweating and tremor. Deaths
can occur from electrolyte imbalance or an irregular heartbeat.
Patients experiencing alcohol withdrawal require a calm, supportive environment.
Benzodiazepines are the treatment of choice for those who need medication; they are
highly effective and very safe (Holbrook et al., 1999). Treatment can be facilitated by
using the 10-item Clinical Institute Withdrawal Assessment (CIWA) Scale, which mea-
sures the severity of withdrawal (Devenyi & Harrison, 1985; Erstad & Cotugno, 1995;
Holbrook et al., 1999). A nurse or other health care worker administers the scale every
one to two hours. Patients are asked about symptoms of withdrawal (e.g., anxiety) and
are observed for signs of withdrawal (e.g., tremor). They are given benzodiazepines
when they score 10 or higher. Additional doses are usually not needed once the CIWA
score is consistently less than 8.
Detoxification options
Counsellors should consider referral to a withdrawal management service (“detox cen-
tre”) if clients are intoxicated and might go into withdrawal some hours later, or if their
withdrawal is mild and no longer requires medical attention. Staff at these centres are
usually experienced at assessing withdrawal and know when a client requires urgent
medical care. All withdrawal management services are affiliated with a nearby emer-
gency department.
Planned outpatient medical detoxification is an option for people who don’t
require urgent treatment for withdrawal, but are having trouble abstaining from alcohol
because of recurrent withdrawal symptoms in the morning. Counsellors can organize
outpatient detoxification in consultation with a physician or nurse. Clients are advised
to have their last drink the night before and attend the facility the next morning. At the
facility, they are given a benzodiazepine medication every one to two hours, according
to their CIWA score. They may be sent home or to a withdrawal management service
after completing treatment. Outpatient detoxification should be undertaken as part of
a comprehensive treatment plan, since by itself, detoxification is not likely to result in
long-term abstinence.
Some substance use treatment facilities provide inpatient medical detoxification.
This is usually an elective, pre-booked procedure, and is often followed by participation
in a formal inpatient or outpatient program.
“Home detox” is useful for clients who are unable or unwilling to attend a
treatment facility, medical clinic or withdrawal management service. Older clients in
particular can benefit from home detoxification. The person should be assessed daily by
a nurse or physician for the first two or three days. If benzodiazepines are required, a
nurse or responsible family member should dispense them, with a physician available
for urgent phone consultation if needed.
Light drinkers tend to live longer than abstainers or heavy drinkers. Alcohol prevents
clumping of platelets—tiny particles in the blood that form clots—and elevates levels of
high-density lipoprotein, a type of cholesterol that protects against heart disease. As a
result, alcohol prevents heart attacks and strokes. In women, the benefits of alcohol may
be outweighed by an increased risk of breast cancer.
Canadian Centre on Substance Abuse low-risk guidelines recommend no more
than 15 drinks per week for men and 10 per week for women (Butt et al., 2011). To reduce
long-term health risks, the guidelines advise no more than two drinks a day most days
for women or three drinks a day most days for men (Butt et al., 2011). A lower weekly
amount is suggested for women because they tend to be smaller and have a lower vol-
ume of blood than men, along with other differences that will result in a higher blood
alcohol level than in men for a given rate of alcohol consumption.
Chapter 7 Physical Effects of Alcohol and Other Drugs 139
The cardiovascular benefits of alcohol apply mainly to older adults. While older
adults who drink moderately may live longer on average, the mortality rate for young
people increases directly with the amount consumed due to death from accidents, vio-
lence and suicide (Andreasson et al., 1988).
Most of the cardiovascular benefits of alcohol are obtained with less than one
drink per day. At higher doses, alcohol can harm the cardiovascular system. Intoxication
or withdrawal can trigger an irregular heartbeat, sometimes causing sudden death.
Three drinks or more per day can raise blood pressure, causing strokes and other prob-
lems. Heavy alcohol use can damage the heart muscle, causing a condition known as
cardiomyopathy. The weakened heart muscle is unable to pump blood efficiently, caus-
ing fatigue and shortness of breath.
Alcoholic liver disease occurs in three stages. The first is called fatty liver, in which the
liver accumulates fat and becomes enlarged. This stage is reversible with reduced drink-
ing, and usually lacks observable symptoms. The second stage is alcoholic hepatitis, or
inflammation of the liver. This stage may also have no symptoms, but sometimes people
become seriously ill. They may develop jaundice, the signs of which are yellow skin, dark
urine and whitish stools. They may also develop vomiting, fever and pain in the liver area
(i.e., the right upper abdomen below the ribs).
Repeated or prolonged episodes of alcoholic hepatitis lead to the third stage, cir-
rhosis, in which large portions of the liver have died and been replaced by scar tissue.
This damage is irreversible, even if alcohol use is stopped. Cirrhosis is a major cause of
death in Canada. The risk of developing cirrhosis is between 10 and 20 per cent for men
who consume six drinks per day for 10 to 20 years. Women face an equivalent risk if they
have three drinks per day (Kahan & Wilson, 2002). Chronic daily drinking is worse for
the liver than binge drinking.
With advanced cirrhosis, the liver cannot fully metabolize proteins, which cre-
ates the buildup of intermediate chemicals containing ammonia. These chemicals are
toxic to the brain and may cause a condition called hepatic encephalopathy. In the early
stages of encephalopathy, people are fatigued, forgetful and accident-prone. They may
experience day-night reversal (sleeping during the day and being up at night). In the later
stages, people become confused, drowsy and may sink into a coma.
Encephalopathy can be triggered by sedating drugs, infections, electrolyte dis-
turbances, gastrointestinal bleeding and other causes. People with advanced cirrhosis
should avoid sedatives such as benzodiazepines, avoid high-protein meals and report
any new illness to their doctor right away. Encephalopathy is prevented and treated with
a low-protein diet and laxatives, such as lactulose (which prevents the ammonia com-
pounds from being absorbed). Sometimes hospitalization is required.
Cirrhosis may also cause death through internal bleeding. Blood normally flows
from the intestines into the portal vein, which enters into the liver. The scar tissue in
140 Fundamentals of Addiction: A Practical Guide for Counsellors
the cirrhotic liver may lead to increased pressure in the portal vein, causing it to back up
into veins in the esophagus. These veins then become swollen and engorged, a condi-
tion called esophageal varices. Varices sometimes burst, causing profuse and often fatal
bleeding into the gastrointestinal tract. Bleeding varices can be prevented with medica-
tions called beta blockers, which lower the blood pressure in the esophageal veins.
Ascites (pronounced “ah-sy-tees”), a condition in which the abdomen fills with
fluid, is also due in part to obstructed blood flow. Ascites is often the first sign of severe
cirrhosis and impending liver failure. Ascites is controlled with diuretics (“water pills”)
and a low-salt diet.
The mainstay of treatment is reduced drinking. Clients with alcoholic liver
disease should be told that fatty liver and alcoholic hepatitis are reversible with absti-
nence or reduced drinking; the liver is one of few organs in the body with cells that
can regenerate. While cirrhosis is not reversible, the liver can function normally even
if large portions are permanently scarred. People with cirrhosis can often lead normal
lives as long as they stop drinking completely. Reduced drinking strategies are not rec-
ommended for people with cirrhosis, since even moderate alcohol consumption may
promote liver damage.
People with advanced cirrhosis sometimes require a liver transplant for survival.
Most transplant programs will only place someone who is alcohol-dependent on their
waiting list if the person has participated in a treatment program, has been abstinent for
at least six months to two years and has strong social supports. The person’s counsel-
lor often has a key role in advocating for the client with transplant programs. Only 10
per cent of people who have undergone a transplant relapse to drinking (Maldonado &
Keeffe, 1997).
Trauma
Alcohol consumption is a major cause of trauma-related death and injury, including motor
vehicle crashes, work-related injuries and violence (assaults and suicide). Even moderate
alcohol consumption can impair driving ability (Lowenstein et al., 1990). Alcohol intoxi-
cation increases the risk of trauma by impairing judgment and co-ordination, slowing
reaction time and causing impulsivity and emotional lability. Adolescents and young
adults congregating in large groups are especially at risk for violence and accidents.
Cancer
Moderate alcohol consumption (two drinks per day) is associated with a modestly
elevated risk of breast cancer, perhaps due to the effects of alcohol on estrogen metabo-
lism (Bradley et al., 1998). Alcohol also acts as a carcinogen and co-carcinogen (i.e.,
it increases the effect of other carcinogens) for esophageal, colorectal, pancreatic and
laryngeal cancers (Brown & Devesa, 2002).
Dementia
Cerebellar Disease
Alcohol can damage the cerebellum, a part of the brain that controls balance and
equilibrium. People with cerebellar disease have tremors of the hands and walk with
a wide-based gait, as if they were on a moving ship. Sometimes they require a cane or
walker to maintain their balance.
142 Fundamentals of Addiction: A Practical Guide for Counsellors
Peripheral Neuropathy
Alcohol may damage the nerves in the feet and legs, causing a condition known as
peripheral neuropathy. People with this syndrome may experience decreased sensation
and painful burning sensations in their feet.
Wernicke-Korsakoff Syndrome
People who drink heavily often eat poorly, and the metabolism of alcohol depletes the
body’s stores of the B vitamins. This can lead to a severe deficiency of vitamin B1 (thia-
mine), causing Wernicke-Korsakoff syndrome. In the Wernicke’s phase of this syndrome,
people become drowsy, and their walking and eye movements become unco-ordinated.
Wernicke’s is a medical emergency, requiring prompt administration of intravenous
thiamine. If not treated in time, such people typically develop Korsakoff’s syndrome, in
which they exhibit marked impairment of short-term memory. People with Korsakoff’s
may not remember an event that occurred 10 minutes earlier. They rarely recover and
frequently require institutionalization.
Blackouts
A blackout is a type of amnesia in which the person is unable to remember events that
took place during the previous evening’s drinking binge. People may on occasion behave
in a bizarre or dangerous manner during a blackout.
Reproductive Effects
Drinking during pregnancy can cause fetal alcohol spectrum disorder (FASD), the
features of which are delayed growth, cognitive impairment and sometimes facial
abnormalities, such as short eye openings. Affected children may also have cognitive-
behavioural problems such as hyperactivity, speech disorders and deficits in learning and
memory. These problems can persist into adolescence and adulthood.
FASD varies widely in severity, depending on the amount and timing of maternal
alcohol consumption and other factors. For example, a child may have only cognitive
deficits with no facial abnormalities. A safe level of alcohol consumption during preg-
nancy has not been established and abstinence is the most prudent recommendation
(Bradley et al., 1998; Eustace et al., 2003). Alcohol consumption in the first trimester
of pregnancy is thought to be particularly dangerous. However, there is no evidence of
harm from occasional drink during the first trimester, before the woman has discovered
she is pregnant.
Alcohol use during pregnancy is associated with low-birthweight infants, hyper-
tension in the mother and other problems. Other reproductive effects include erectile
Chapter 7 Physical Effects of Alcohol and Other Drugs 143
dysfunction in men, irregular menstrual cycles in women and infertility in both men
and women.
Psychiatric Effects
One common abnormality that may be detected in people who drink heavily is an ele-
vated level of the liver enzyme gamma-glutamyl transferase (GGT) (Mihas & Tavassoli,
1992). Another abnormality is an increase in the size of red blood cells, as measured by
a test called mean cell volume (MCV). At least four drinks per day is usually needed to
produce these elevations.
Blood tests such as GGT and MCV are not as sensitive as a clinical interview in
detecting alcohol problems. However, periodic tests can be used to confirm clients’ self-
reports of reduced alcohol intake. With abstinence or reduced drinking, GGT usually
returns to normal within two to four weeks, and MCV within three months.
into a dangerous rhythm. The person should not drink for at least seven days after taking
disulfiram. Disulfiram is most effective in maintaining abstinence when it is dispensed
under the supervision of a family member or pharmacist.
Nicotine
For a detailed discussion of working with clients who are dependent on nicotine, see
Chapter 11.
Psychoactive Effects
Nicotine dependence is the most common substance use disorder. Nicotine is known as
the “chameleon drug”; it acts as a sedative when the smoker is anxious and a stimulant
when the smoker is fatigued (Brands et al., 2000). It reaches the brain within seconds,
and the average smoker takes up to 200 puffs a day. This makes nicotine a very reinforc-
ing drug with a high relapse rate.
Withdrawal
Opioids
Opioids (also known as narcotics) act on endorphin receptors in the brain to produce
pain relief and (in some people) euphoria. Heroin is the main illegal opioid; prescription
opioids include oxycodone (OxyContin, OxyNEO), codeine (Tylenol 3), hydromorphone
(Dilaudid) and morphine.
Overdose
Opioids in high doses suppress the brain centres that control breathing and heartbeat,
with potentially fatal results. People are at greatest risk for opioid overdose if they don’t
use opioids every day and are not fully tolerant, or if they have also taken benzodiaz-
epines or other sedating drugs. Signs of overdose include pinpoint pupils; slow, drawling
speech; and “nodding off” (brief episodes of falling asleep). Even if the therapist is able
Chapter 7 Physical Effects of Alcohol and Other Drugs 145
to engage the person in conversation, the person could die once he or she is alone and
falls asleep. Clients with these symptoms should be referred for immediate medical
evaluation, and should not be left alone.
Withdrawal
Opioid withdrawal causes flu-like symptoms, such as muscle aches, sweating, chills and
goosebumps, runny nose and eyes, nausea and diarrhea. Psychological symptoms include
insomnia, anxiety, depression and strong cravings for opioids. Psychological symptoms
usually cause considerably greater distress than physical symptoms. Withdrawal begins
between six and 24 hours after the last use, depending on whether the opioid is short- or
long-acting. Physical symptoms peak at two to three days and usually resolve within five
to seven days. Insomnia, dysphoria and drug craving may persist for months.
Opioid withdrawal does not have medical complications, except during pregnancy
(see below). However, opioid withdrawal is by no means harmless. It is associated with
severe depression, and clients in withdrawal should be assessed for suicidal ideation.
Also, people lose much of their tolerance after a few days of abstinence and are at risk
for overdose if they relapse.
Opioid withdrawal can be treated with methadone or buprenorphine (see Chap
ter 12) or with clonidine, a non-narcotic drug that blocks the nervous impulses in the
brain that cause withdrawal symptoms. Treatment of withdrawal by itself rarely results
in long-term abstinence and should be combined with methadone or buprenorphine
maintenance and psychosocial treatment.
Reproductive Effects
Pregnant women who are dependent on heroin have a high infant mortality rate,
due to delayed growth of the fetus and premature labour. Opioid withdrawal during
pregnancy can induce uterine contractions, causing miscarriage in the first trimester
or premature labour during the third trimester. To avoid these risks, pregnant women
dependent on opioids should, as a rule, be offered methadone or buprenorphine main-
tenance. Women who are dependent on heroin have better prenatal care, improved
nutrition and substantially lower infant mortality rates when placed on methadone
(Kaltenbach et al., 1998).
Infants born to mothers who are dependent on opioids are at risk for withdrawal,
characterized by irritability, vomiting and poor feeding. Unrecognized neonatal with-
drawal can cause seizures and death, so pregnant clients should be encouraged to
disclose opioid use to their caregivers. Withdrawal is treated with small, tapering doses
of morphine (Osborn et al., 2002).
146 Fundamentals of Addiction: A Practical Guide for Counsellors
Addiction is not common among chronic pain patients on opioids. Most pain patients
do not experience euphoria with opioid use, only pain relief. However, North America
is witnessing a marked increase in prescription opioid misuse because physicians are
prescribing opioids to many more patients and at higher doses. Examples of controlled-
release opioids include Hydromorph Contin (hydromorphone), OxyContin (oxycodone)
and Duragesic (transdermal fentanyl patch). Controlled release opioids have a greater
risk of overdose and addiction than immediate-release opioids because they come in
much higher dose formulations. Also, patients can alter the tablets to maximize their
euphoric effect, by crushing the pills before swallowing them, snorting them or mix-
ing them in water and then injecting the crushed pills. Newer formulations, such as
OxyNEO, a reformulated OxyContin, are “tamper resistant”; that is, they work as well as
their original formulations when swallowed, but are difficult to crush or inject.
Physical dependence refers to tolerance and withdrawal. Any patient who takes opioids
daily for chronic pain may experience withdrawal if the opioids are suddenly discontinued.
However, this does not mean the person is “addicted” or psychologically dependent on the
opioids. The term opioid dependence (to imply addiction to opioids) has been replaced in
the latest revision of the Diagnostic and Statistical Manual of Mental Disorders with the term
opioid use disorder (American Psychiatric Association, 2013). A person who is physically
but not psychologically dependent on opioids does not have an opioid use disorder.
It can be difficult for counsellors and physicians to distinguish therapeutic opioid use
from opioid dependence. Opioid use disorder should be suspected in pain patients who:
• have risk factors for misusing opioids. The major risk factor is a current or past history
of addiction to alcohol, cocaine or other drugs. The more recent, severe or prolonged
the addiction, the greater the person’s risk of becoming addicted to opioids. Other risk
factors are having an active mental disorder (e.g., depression or posttraumatic stress
disorder) and being under age 40.
• take opioids far in excess of what would normally be required for their pain condition.
Patients with lower back pain, fibromyalgia and other common pain conditions usu-
ally don’t need opioids, and if they do, they respond to low doses.
• rapidly escalate their dose. Tolerance to the analgesic effects of opioids develops
slowly, and patients are often able to remain on the same dose for months or years.
However, tolerance to the euphoric effects of opioids develops within days, forc-
ing patients addicted to the drug to increase their dose to achieve the same effect.
Chapter 7 Physical Effects of Alcohol and Other Drugs 147
Laboratory Detection
Immunoassay and chromatography are the two main laboratory techniques used to detect
opioids in urine. The immunoassay detects some opioids up to seven days after the last use.
Immunoassay does not distinguish between different types of opioids. Chromatography
only detects opioids for one or two days, but it can identify specific opioids.
Patients with chronic pain who also have an opioid use disorder should be considered
for methadone or buprenorphine treatment (see Chapter 12). Both these medications are
opioids and can effectively relieve pain, withdrawal symptoms and craving.
Benzodiazepines
Benzodiazepines are among the most commonly prescribed drugs. Their main action is
to diminish anxiety and induce sleep, but they are also used to treat alcohol withdrawal
and prevent certain types of seizures. People become tolerant to the sleep-inducing
effects of benzodiazepines, but do not develop significant tolerance to their anxiety-
reducing effects. Most patients take the medication as prescribed, and benzodiazepine
dependence is not common.
A number of benzodiazepines are available that differ in their duration of action
and abuse liability. For example, diazepam (Valium) and chlordiazepoxide (Librium)
are long-acting, while triazolam (Halcion) and alprazolam (Xanax) are short-acting.
Diazepam, triazolam and lorazepam (Ativan) have higher abuse liabilities than oxaz-
epam, chlordiazepoxide or clonazepam.
148 Fundamentals of Addiction: A Practical Guide for Counsellors
Rebound Insomnia
Benzodiazepines suppress the deep and the rapid eye movement stages of the sleep
cycle. When the drug is withdrawn suddenly, people experience sleep interrupted by
vivid dreams. This “rebound insomnia” occurs after about three weeks of nightly use,
and may take several weeks to resolve.
Other Effects
Benzodiazepine use increases the risk of motor vehicle accidents, and can cause falls
and confusion in elderly people. Long-acting benzodiazepines, such as diazepam, fluraz-
epam and chlordiazepoxide, are particularly hazardous for older adults.
Psychiatric Effects
Benzodiazepines can contribute to depression, particularly with high doses and in peo-
ple with a pre-existing mood disorder. Benzodiazepines sometimes have a disinhibiting
effect, especially among people with psychosis or certain personality disorders.
Laboratory Detection
Withdrawal
Withdrawal symptoms begin one to two days after stopping short-acting benzodiaz-
epines, and two to five days after stopping long-acting benzodiazepines. Withdrawal is
more severe with high doses of short-acting benzodiazepines; with longer duration of
use; and with people who are older or have concurrent anxiety, mood or substance use
disorders. Withdrawal resolves within a few weeks for most people, but for some it may
persist for months (Lader, 1994; Petursson, 1994; Pimlott & Kahan, 2000).
Chapter 7 Physical Effects of Alcohol and Other Drugs 149
People who abruptly stop taking benzodiazepines are at risk for seizures, delirium
and hallucinations if they have used large amounts for prolonged periods (50 mg or
more of diazepam per day, or the equivalent dose of another benzodiazepine daily, for
more than a few weeks). Those who suddenly stop therapeutic doses (30 mg or less of
diazepam, or the equivalent dose of another benzodiazepine) tend to experience two
groups of symptoms: anxiety-related symptoms (emotional lability, insomnia, agitation,
irritability, poor concentration and panic attacks) and subtle neurological symptoms
(distortions of visual and auditory stimuli, blurry vision, unsteadiness of gait, deperson-
alization or déjà vu sensations) (Busto et al., 1986).
Patients who are dependent on high doses of benzodiazepines should be tapered off
the drug, since the risks of continued use far outweigh the benefits. However, because
therapeutic use does not generally result in severe social disruption or physical harm,
and because withdrawal can be prolonged and difficult, the decision to taper a patient
should be made only after a careful assessment of the risks and benefits. The risks,
outlined above, include a possible increase in anxiety, depression and suicidal ideation.
The benefits might not be apparent until tapering is well underway. People who are
tapered off benzodiazepines frequently report feeling more alive, energetic and clear-
headed. They may be better able to make important life decisions and obtain greater
benefit from psychotherapy.
Approach to Tapering
People taking very high doses may need to be tapered in an inpatient setting. Those on
therapeutic doses should be tapered slowly as outpatients over a period of several weeks
or months (DuPont, 1990). It is medically easiest to taper the patient with the benzodi-
azepine he or she is taking, but people who find this difficult might have greater success
if they are switched to another benzodiazepine. Tapering with long-acting agents such as
diazepam or clonazepam may allow for a smoother withdrawal, although diazepam can
be misused and is not a safe option for older adults or people with liver disease. Patients
taking alprazolam or triazolam should be tapered with these agents, or with clonazepam.
Use of adjunctive agents such as gabapentin or anxiolytic antidepressants may be helpful
in difficult cases.
For physicians who are tapering patients, a weekly reduction of no more than
5 mg of diazepam (or equivalent) is suggested. The daily dispensing schedule (two, three
or four times per day) should be kept the same until near the end. Clients should be
advised not to miss doses or speed up the taper on their own because this will generate
withdrawal symptoms and “detoxification fear.” The taper should be slowed near the
end, as people often find the last pill the most difficult to discontinue. The patient should
150 Fundamentals of Addiction: A Practical Guide for Counsellors
have a say in the rate of the taper; there is usually no need to complete the taper in a
set time period. Frequent pharmacy pickup might be necessary if the patient repeatedly
runs out of pills.
A program of therapeutic support must be in place before tapering is attempted.
Frequent follow-up visits should be organized, weekly if necessary. The client should
be asked whether he or she feels any benefits of the tapering, as well as any withdrawal
symptoms. Counsellors should watch for signs of depression and suicidal ideation dur-
ing tapering.
Cannabis
Cannabis (marijuana and hashish) is the most commonly used illicit drug in Canada. It
is usually smoked but may be taken orally. Cannabis causes relaxation and a feeling of
well-being accompanied by mild hallucinogenic effects, such as distortion in the sense
of time, difficulty with abstract thinking and concentration, and vivid visual and audi-
tory perceptions. Effects last several hours. Cannabis intoxication can sometimes trigger
panic attacks and an irregular heartbeat.
The overall risk of becoming dependent on cannabis is low compared with alcohol
and other drugs. However, cannabis use and cannabis-related problems are very com-
mon among youth. In 2008, 17 per cent of a sample of Canadian adolescents between
age 13 and 15 reported using cannabis in the past year (Hammond et al., 2011). In a
prospective study of 2,500 youth using cannabis, 81 per cent of high-frequency cannabis
users met one or more criteria for cannabis dependence (Nocon et al., 2006). The major-
ity of cannabis users admitted to a substance use treatment program in Ontario were in
high school and under 20 years old (Urbanoski et al., 2005).
Medical Uses
Withdrawal
More than 40 per cent of daily or frequent cannabis smokers experience withdrawal
symptoms on cessation of the drug: these symptoms may involve fatigue and weakness
or anxiety and restlessness. The symptoms are often distressing enough to cause users
to resume smoking (Hasin et al., 2008; Weisdorf, 2000). Daily cannabis users may also
experience rebound anxiety and emotional volatility after stopping use. Further research
is needed to determine the role of medications in relieving withdrawal symptoms.
Psychiatric Effects
Evidence suggests that cannabis can exacerbate depression (Rey et al., 2002), impair
cognitive functioning (Solowij et al., 2002), induce psychosis (Basu et al., 1999), trigger
schizophrenia in people who are predisposed (Hambrecht & Hafner, 2000) and worsen
symptom control in people with schizophrenia (Caspari, 1999). Adolescents and people
with primary psychiatric disorders appear to be particularly vulnerable to the psychiatric
effects of cannabis (Johns, 2001; Rey et al., 2002). Frequent cannabis use in adolescents
is also associated with adjustment problems, such as crime and other illicit drug use
(Fergusson et al., 2002).
Health Effects
Epidemiological and pathological studies suggest that chronic cannabis use can cause or
accelerate chronic obstructive lung disease (chronic bronchitis), and may be a risk fac-
tor for lung cancer, although it is difficult to control for confounding with tobacco use
(Berthiller et al., 2008; Henry et al., 2003). Cannabis use during pregnancy has been
associated with cognitive defects in children (Wong et al., 2011). It is also a risk factor for
motor vehicle accidents (Mann et al., 2007).
Laboratory Detection
Regular use of cannabis is detected in the urine for 20 days or longer. Second-hand can-
nabis smoke is generally not detectable on urine drug screens.
Sedatives
Benzodiazepines have largely replaced earlier generations of prescription sedatives. Fiorinal
is the only non-benzodiazepine sedative that is still commonly prescribed. It is a combina-
tion of ASA, codeine and a barbiturate known as butalbital. Most patients take Fiorinal in
moderate doses to treat migraine headaches, but some patients become addicted.
152 Fundamentals of Addiction: A Practical Guide for Counsellors
Barbiturates can induce depression, and overdoses with these drugs are more
dangerous than benzodiazepine overdoses. Patients who abruptly stop high doses (such
as 10 tablets per day of Fiorinal) can develop a dangerous and potentially fatal withdrawal
that can include seizures, psychosis, delirium and an irregular heartbeat. The treatment
drug of choice is phenobarbital. Phenobarbital may be used as part of an outpatient
tapering program for people who use sedatives moderately, or in an inpatient setting for
those who use them heavily.
Solvents
Inhalation of solvents, such as gasoline or glue, produces intoxication similar to that of
alcohol, with slurred speech, sedation and disinhibition. Distortions of vision and sense
of time can also occur. Death can occur from suffocation or an irregular heartbeat.
Prolonged use of solvents can result in tolerance, withdrawal and dependence.
The most serious medical consequence of solvent use is permanent brain damage,
which is similar to alcohol-related brain damage but more severe and with a younger age
of onset. As with alcohol, solvents damage the cerebellum (responsible for balance) and
cerebrum (cognition and memory). Solvent use during pregnancy can cause premature
birth and birth defects. Psychiatric effects of prolonged solvent use include depression,
suicidal ideation and paranoia.
Cocaine
Cocaine causes a rapid buildup of several neurotransmitters in the brain, includ-
ing dopamine (which causes euphoria) and epinephrine and norepinephrine (which
stimulate the heart and nervous system). The euphoria usually lasts no more than 20
minutes with smoking and injection, but longer with oral or nasal use. The effects on
the heart and nervous system last for hours. The first few uses of cocaine produce the
most intense euphoria, with feelings of elation, boundless energy and confidence. With
regular use, the person tends to experience a brief “rush” lasting seconds or minutes,
followed by agitation and paranoia.
Cocaine can be injected into a vein, smoked, inhaled through the nose (“snort-
ing”) or taken orally. Nasal inhalation irritates the lining of the nose and creates a milder
euphoria than injecting or smoking. Some people “binge” on cocaine, injecting or smok-
ing it multiple times over several days, followed by days or weeks of abstinence.
“Crack” is made by mixing cocaine with baking soda, forming a small solid rock
that makes a popping sound when heated. Heating releases pure cocaine vapour, which
circulates through the lungs and reaches the brain within seconds. Crack reaches a wider
market than cocaine powder because it is easy to use and can be sold in small $10 to
$20 packets.
Chapter 7 Physical Effects of Alcohol and Other Drugs 153
Withdrawal
People who have just finished a cocaine binge sleep deeply for one to two days. This is
followed by one or more weeks of intense cravings for cocaine, depression, insomnia
with nightmares, and feelings of emptiness and irritability. Whether these phases repre-
sent a true physiological withdrawal remains controversial.
Overdose
Cocaine overdose can cause seizures, severe hypertension, rapid heartbeat, fever and
delirium, and eventually coma and death.
Cardiovascular Effects
Cocaine can trigger a marked rise in blood pressure, a rapid and irregular heartbeat, and
spasms of the blood vessels (Warner, 1993). This can result in strokes, brain hemorrhages,
heart attacks and ruptured aneurysms. While people with underlying hypertension or
heart disease are at greatest risk, these complications have been reported to occur even
in young, healthy adults taking small doses of cocaine. Combined cocaine and alcohol
use creates a metabolite called cocaethylene, which appears to enhance cardiovascular
toxicity (Pennings et al., 2002).
Reproductive Effects
Cocaine taken during pregnancy can cause the placenta to separate from the uterus,
resulting in severe hemorrhage and the death of the fetus (Keller & Snyder-Keller, 2000).
Cocaine can also trigger premature labour. Regular use of cocaine during pregnancy
may cause delayed growth of the fetus, due to poor blood supply through the placenta.
Often people who use cocaine receive inadequate prenatal and medical care (Kaltenbach
& Finnegan, 1998).
Grand mal seizures are very common among those who use cocaine, typically occurring
within minutes of use. Like other stimulants, cocaine suppresses appetite, leading to
marked weight loss (Warner, 1993).
154 Fundamentals of Addiction: A Practical Guide for Counsellors
Psychiatric Effects
Cocaine can have profound psychiatric effects. People who are acutely intoxicated on
cocaine display a wide variety of psychiatric symptoms, including delusions, paranoia,
hallucinations (especially tactile), delirium and severe anxiety. Paranoid delusional disor-
ders and other types of psychoses have been linked with chronic cocaine use. Symptoms
may persist for months after the person has stopped using cocaine, and antipsychotic
medication is often required. Cocaine can induce severe depression, and people who use
cocaine heavily are at high risk of suicide.
Concurrent cocaine and alcohol use increases the risk of depression, violence and
suicide (Cornelius et al., 1998; Salloum et al., 1996).
Laboratory Detection
Methamphetamine
Hallucinogens
Hallucinogenic drugs, such as LSD, mescaline and psilocybin, can cause intense hal-
lucinations, as well as distortions in the sense of time, disorientation and confusion.
These experiences are often perceived as pleasant, but occasionally they are frightening.
The reaction usually resolves in one or two hours, but psychotic symptoms occasionally
persist for protracted periods, even months, in rarer cases. Tolerance and withdrawal do
not occur with hallucinogens.
Chapter 7 Physical Effects of Alcohol and Other Drugs 155
In the weeks and months after stopping use, a small percentage of people may
experience “flashbacks,” in which they briefly relive past episodes of drug use. Though
vivid and disturbing, flashbacks tend to last only minutes, and diminish in frequency
and intensity over time.
Anabolic Steroids
Anabolic steroids are derived from the male sex hormone testosterone (Kahan & Wilson,
2002). They are used by athletes and bodybuilders to enhance performance and increase
muscle bulk and by adolescent males to improve their appearance. Anabolic steroids are
rarely prescribed by physicians; the drugs are acquired illicitly from veterinary sources.
They are frequently taken in heavy doses followed by reduced dosing or abstinence
(“cycling” or “stacking”). Steroids are taken orally or by injection. Long-term steroid use
has serious health effects (Bolding et al., 2002; Parssinen & Seppala, 2002).
Dependence
Steroids can induce euphoria, perhaps through the release of endorphins in the cen-
tral nervous system, and there have been case reports of steroid dependence. Abruptly
stopping heavy steroid use can cause withdrawal, which is characterized by fatigue,
depression and craving.
Psychiatric Effects
People who use steroids can develop symptoms of aggression (“steroid rage”), depres-
sion and suicidal ideation, hypomania and psychosis. Most symptoms resolve with
abstinence, but depression may persist for months.
Health Effects
Steroids raise cholesterol levels and promote the formation of blood clots, resulting in
heart attacks and strokes. Those who use steroids may be at higher risk for liver cancer.
Women may experience irregular periods and masculinizing effects, such as acne, deep-
ened voice and facial hair. Men can develop small testicles, low sperm count, decreased
sex drive and enlarged breasts. Steroids can stop bone growth in adolescents. Needle
sharing can cause viral hepatitis or HIV.
156 Fundamentals of Addiction: A Practical Guide for Counsellors
Other Drugs
The drugs described below are classified as hallucinogenic stimulants (MDMA), seda-
tives (GHB, flunitrazepam), and dissociative anesthetics (ketamine and PCP). Little is
known about their long-term health effects. They are usually taken in oral form and
their effects last for several hours. They are usually not detectable on standard urine
drug screens.
MDMA (“Ecstasy”)
The psychoactive effects of MDMA (3,4-methylenedioxymethamphetamine, commonly
called “ecstasy”) are due to the release of serotonin and dopamine in the brain. People
who use ecstasy report feeling more sensual and affectionate, hence its other names
“empathy” or “love drug.” Tolerance develops quickly, but it does not appear to cause
withdrawal.
The acute toxic effects of ecstasy are due to the release of serotonin. People who
take antidepressants or other drugs that elevate serotonin are at greatest risk. Symptoms
and signs include fever, sweating, fast pulse, muscle rigidity and twitching, seizures
and jaw clenching. Some of the medical complications of ecstasy are due to the circum-
stances in which it is used—prolonged dancing in a hot room without adequate fluid
replacement can lead to dehydration and electrolyte imbalances, which have potentially
serious consequences (Gowing et al., 2002). Regular ecstasy use is also associated with
depression (Verheyden et al., 2003), and case reports suggest that it can trigger psychosis
(Vecellio et al., 2003).
Gamma Hydroxybutyrate
Gamma hydroxybutyrate (GHB) is a potent sedative, with effects similar to alcohol.
There is a small margin between the intoxicating dose and the dose that can cause coma
and death. Combining GHB with alcohol is particularly dangerous.
GHB causes dependence and withdrawal. The withdrawal syndrome is similar to
that of alcohol, but longer (up to 15 days) and more severe (Bowles et al., 2001; Craig et
al., 2000; Dyer et al., 2001). Symptoms include tremors, seizures, hallucinations, para-
noia and delirium. Barbiturates such as phenobarbital are the treatment drug of choice.
Flunitrazepam
Ketamine
Ketamine (commonly known as “special K”) is a dissociative anesthetic. Those who use
the drug experience a dream-like state, with confusion and hallucinations, out-of-body
sensations and a distorted sense of time. Ketamine use can lead to coma and decreased
respiration, particularly if taken with alcohol or other sedatives. It can also have serious
cardiovascular and neurological complications, such as irregular heartbeat and seizures.
Phencyclidine
Phencyclidine (PCP) is also a dissociative anesthetic. It is smoked or “snorted.” It can
cause disorientation; acute psychotic symptoms, including hallucinations and delu-
sions; and violent behaviour. Like ketamine, it has serious medical complications, such
as seizures.
Conclusion
Alcohol and other drug problems are associated with a wide variety of serious physical
and psychiatric problems. Counsellors should inform their clients of these health risks,
and be alert to the symptoms and signs of physical and psychiatric illness in clients. They
should also encourage their clients’ primary care physicians to assist with follow-up and
relapse prevention.
Practice Tips
Clients often have a close, long-term relationship with their primary care
provider, and the provider can play an important role in relapse prevention.
Primary care providers should:
• regularly follow up and monitor the client, which includes taking a sub-
stance use history, and in some cases ordering blood tests and urine drug
screens
• prescribe medications to reduce craving and promote abstinence as
needed
• be cautious in prescribing potentially addicting drugs, such as opioids,
stimulants and benzodiazepines
• treat medical complications of substance use
• monitor compliance with medications and other recommended
treatments
158 Fundamentals of Addiction: A Practical Guide for Counsellors
• identify and address mental and physical disorders that can trigger
relapse, such as chronic pain, anxiety or depression
• encourage active self-care and a healthy lifestyle (exercise, sleep, spending
time with friends and family)
• encourage ongoing participation in self-help groups and outpatient
follow-up.
Counsellors should:
• refer clients for medical care and actively encourage them to attend
appointments. (Booking these appointments with the client from your
office improves their show rates!)
• communicate regularly with their clients’ primary care providers, and edu-
cate the providers about treatment of substance use problems
• ensure that treatment plans are co-ordinated, and that the goals and roles
created for clients, counsellors, primary care providers and other care
providers are appropriate and understood by all involved
• reinforce the merits of working together to find the best solutions to cli-
ents’ problems related to addictive behaviour and to achieve and maintain
goals of improved health and well-being.
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SECTION 2
CLINICAL INTERVENTIONS
Chapter 8
Scarlett was caught for underage drinking several times but has had no
legal problems. She has been moderately active socially and has a few close
friends. Over the years, she has seen her family doctor for various concerns
and tells her family that she feels “down and stressed out.” Her doctor has
prescribed antidepressants, which she takes inconsistently, a fact that con-
cerns her parents. Scarlett says the medication “isn’t going to help anyway.”
Over the years, her family has set up appointments for her with counsellors,
but she then drops out, saying the counsellors “don’t understand me.” Her
family has never had the opportunity to be involved in a case conference
with her family physician or counsellors to find out more about why these
sessions aren’t helping.
The family is concerned because since returning home after graduation from
college, Scarlett has been out a lot at night drinking with friends. There is a
lot of tension and conflict at home around her behaviour. Unbeknownst to
her family, Scarlett has been experimenting with drugs since graduating from
college. Her family has been urging her to search for full-time work and move
out of the house, which has left Scarlett feeling unsupported, misunderstood
and unable to follow through. Her parents have now held a family meeting
with Scarlett and told her that they want her to make an appointment with
the local addiction centre. They have given her an ultimatum, and she has
agreed to follow through.
166 Fundamentals of Addiction: A Practical Guide for Counsellors
Screening and assessment are the foundation of good clinical practice in the treatment
of substance use problems and other health care concerns. These two vital first steps
determine clients’ needs and preferences, their motivation for change, and the barriers
and supports around achieving their personal goals.
The purpose of screening is to determine whether there is evidence of a problem.
If the screening is positive, assessment follows, which allows the interviewer to deter-
mine the extent of the problem and how it has affected other areas of the person’s life.
In essence, an assessment involves gathering detailed information about the problem.
These clinical activities help the interviewer and the client decide what next steps to
consider and what the treatment plan might be.
The process of screening and assessment is sometimes quite fluid and difficult to
define in practice. If the counsellor’s role is to conduct both screening and assessment,
the process may be seamless within a session, as well as from session to session. The
transition from screening to assessment may even be imperceptible to the client, though
there is a continuum, in that information acquired in determining the possibility of a
problem can then be used to evaluate the nature and extent of the problem (Centre for
Addiction and Mental Health [CAMH], 2006). The counsellor should explain these dis-
tinct phases to the client, so he or she knows what to expect.
Although this chapter focuses primarily on screening and assessing substance
use problems, it is difficult to discuss these issues without also addressing mental health
concerns and behavioural addictions (see Chapters 16 and 20). This chapter describes the
properties and processes of screening and assessment and how information gathering in
the screening phase leads to better outcomes in assessment and, ultimately, in the treat-
ment planning phase. We discuss some current screening and assessment measures, but
focus on the overarching principles of screening and assessment and the importance of
these processes to the client and the clinician, as well as to the larger health care and social
services system. Shared protocols in these two important phases create a common language
between clinicians and sectors: we explore the role this connection plays in community
development and strengthening the treatment system’s capacity to serve the public.
Screening
It is important to screen for substance use concerns early in the counselling process. If the
person doing the screening does not have the resources to provide a more comprehensive
assessment or treatment, the client may need to be linked to other clinicians or agencies
that can provide these services. A proper screening allows the interviewer (a health care
provider, counsellor or therapist) to identify at the outset of the therapeutic relationship
all or as many of the clinical issues the client brings to counselling as possible.
A “positive” screen for a specific issue (e.g., alcohol use problem, trauma) warrants
further examination and a thorough discussion about choices to be made, opportunities
for change and the relationship of this issue to other circumstances in the person’s life.
Chapter 8 Screening and Assessment Practices 167
Screening Procedures
Screening may be conducted over the phone or face to face. Virtual Internet screening
protocols between agencies and institutions are implemented when clinical information
can be securely transmitted. Some clinical websites have self-referral forms and self-tests
that people can complete. The Ontario Telemedicine Network allows for video confer-
encing with client consent and also administers screening and assessment procedures.1
Screening in community-based addiction settings is done to determine whether
the client is in the right place to receive the services delivered in that setting. If the client
needs to be referred to a more appropriate setting, the screening process will help deter-
mine that need and be able to legitimize the referral so the reason for the referral can be
explained in concrete terms to the client and family. Specialized or residential services
may be required, which involve moving or referring clients to other programs, agencies
or organizations. Unlike in an emergency department, wait times in community-based
agencies are most often determined chronologically by order of contact or by date of
physical attendance in a clinical setting, rather than by chronicity or acuity of symptoms.
The distress and urgency felt by people with substance use issues and the myths
about motivation fuel the expectation that treatment providers should make an immedi-
ate referral to treatment, which unfortunately is still mostly understood as “residential
programming.” The public often misunderstands the importance of screening and
assessment and wants to “get on with treatment,” especially in urgent situations, for
example, where regaining custody of children from child welfare or getting back to work
are foremost in the client’s mind. However, the screening process may uncover signifi-
cant barriers that may impede the person’s progress or ability to achieve his or her goals,
and therefore is an important process that cannot be overlooked.
Because the addiction treatment system is under-resourced, wait-lists are com-
mon. Screening determines whether there is any evidence of substance use first and
foremost, and next, whether there is any evidence of concerns about or consequences
of use.
In some cases, screening will determine that the client has already made changes
and that the current course of action is sufficient, in which case referrals to aftercare or
other supports will be made.
examine the source of the person’s motivation for change and need for formalized exter-
nal treatment or supports.
Historically, when clients present and report substance use problems, treatment
professionals have rushed to provide solutions, for example, recommending abstinence
when that goal may be premature, inappropriate or not helpful at the time. Screening
protocols are needed to determine the problem and identify other immediate crises, health
or mental health concerns, or other barriers to participating in the screening process.
Clients often have very practical concerns that, while they are not necessarily the
purpose of the visit, must also be given priority. These concerns may include:
• shelter and housing
• food
• physical health care
• interpersonal crises.
To address these concerns, the clinician may take direct action or connect the
client with relevant community resources. Supporting the client through any crisis is
important in itself and helps build an ongoing connection (Skinner, 2005).
Clients may self-refer or be referred by another professional because of other
unmet needs or critical situations related to issues such as withdrawal symptoms,
overdose, violence, trauma, loss or legal problems that could or should interrupt the
screening and assessment process.
Screening determines whether substance use problems exist or have in the past,
addresses the concerns the client identifies as the reason for coming for treatment, and
explores any crises that may have precipitated the visit. Screening also allows the inter-
viewer to explore whether the client is in a position to examine next steps.
In hospital emergency departments, triage determines which patient will be seen
immediately and which patients will wait. Wait times may not be determined chrono-
logically, and more serious health care problems will take precedence. Patients provide
information about the acuity and severity of their symptoms or injuries and details of
the situation (unless of course they aren’t conscious or capable), which helps health care
providers decide who should be seen first.
Injuries related to substance use may involve observable signs and symptoms, such
as obvious intoxication or the distinct odour of alcohol or inhalants, or physical events
attributed to specific drugs, such as cardiac incidents related to stimulant use. If the client
is unconscious or incoherent, a toxicology screen is performed, which involves drawing
blood to determine or confirm the presence of substances. Through triage processes, the
patient’s needs are identified and decisions are made about the next natural step in the
process. Using a decision tree, these next steps might include doing X-rays and blood work
or questioning the patient or the person accompanying the patient. The source and nature
Chapter 8 Screening and Assessment Practices 169
of the symptoms or injury and the context and circumstances may affect how quickly the
patient will be seen and whether a referral to his or her family physician will be made.
Telehealth Ontario also triages clients. Registered nurses ask the caller screen-
ing questions and follow decision trees to make clinical decisions, recommendations
and referrals. (Similar protocols are used with people calling or using Webchat through
ConnexOntario.) The substance use, mental health and problem gambling referral
agents follow protocols to help callers get to the next steps, whether those steps involve
seeking emergency medical assistance, checking appointment availability across the
province or virtually booking an appointment with a problem gambling treatment
centre. Referrals are often made to addiction programs if a substance use problem is
identified. For residential withdrawal management services, callers are screened pri-
marily for evidence of intoxication (current or recent) or for symptoms of withdrawal to
determine their eligibility. In terms of the continuum of care, this screening procedure
is very similar to that of a hospital emergency department, where symptoms are quickly
screened (triaged) to determine whether the person’s level of need should be upgraded
to requiring emergency medical services. Clients who do not require medical interven-
tion to facilitate withdrawal or prevent life-threatening medical complications will be
admitted to the residential or community withdrawal management service if beds are
available. This is similar to the triaging that happens in the emergency department to
consider medical complications that can exist during substance withdrawal.2
If the risk is moderate, the interviewer might recommend brief outpatient treat-
ment and a more in-depth assessment.
If the problem appears to be severe, the client will qualify for the second
step—a more in-depth assessment to determine eligibility and fit for more intensive
treatment for addiction-related problems. (See Babor et al., 1989, Alcohol Use Disorders
Identification Test [AUDIT] algorithm for levels.)
Screening for addiction problems needs to be a capacity in all health care and
social service settings, while comprehensive assessment falls under the purview of
specialized addiction treatment settings. The role of a decisional algorithm is to provide
decision rules to make this process work effectively.
Assessment processes and tools engage the client further in a dialogue about
clinical concerns and the impact of substances. Assessment tools allow the clinician to
systematically explore each area of the client’s life and his or her personal circumstances.
The assessment process should encourage both client and clinician to examine together
the biopsychosocial implications of substance use. In this process, the client participates
fully in identifying and prioritizing issues and deciding what to do about each issue.
The client retains full control over the pace of the examination, the steps to take and
the timing for decisions about change. Should the client be less experienced in this
process, the clinician can assist through education and teach the client how to identify
issues, determine how important change is right now and develop a strategy for change.
The clinician benefits by observing the knowledge level and experience the client has in
identifying concerns and motivation for change. Through this exploration of issues and
concerns, the clinician will be able to assess how much education will be required and
which motivational interviewing strategies will be most effective. The clinician can then
assist the client as much or as little as required in identifying issues and concerns, as
well as in making the choices required to accomplish goals.
Standardized screening and assessment practices have greatly improved. Ontario
has been using standardized assessment tools for more than a decade, and common
screening tools are being shared in many regions of the province. Screening and assess-
ment protocols may cross over communities, creating a more cohesive system for the
client who needs this continuity of care.
Many communities and regions have developed shared screening protocols in
addiction and mental health settings. In addiction settings, clinicians screen for mental
health issues, and clinicians in mental health settings screen for addiction issues (CAMH,
2006). These shared protocols are referred to as “universal screening protocols.”
The screening and assessment phases of care are quite distinct from one another
in theory and practice, and require different tools. Role clarity is essential: interview-
ers should know when they are providing screening services and how this differs from
assessment services.
Screening and assessment services may be offered in a single setting and with a
single interviewer, or they may be offered by a series of staff in a program or agency. The
client might attend a group interview for screening and be assessed individually, or may
Chapter 8 Screening and Assessment Practices 171
undergo an individual assessment first, followed by a group. The demand for service, the
size of the community and the type of agency will determine these processes.
In some communities, one program or agency may screen and another will com-
plete the assessment. Practitioners in primary care settings, other health care providers,
school guidance counsellors and corrections professionals may screen clients and refer
them to a specific addiction or mental health agency for assessment.
The specific tools used for screening and assessment may vary depending on the
agency and the sector of health care or social services.
Figure 8-1 illustrates the Stages of Change model (Prochaska et al., 1995). The
clinician’s task varies depending on what stage the client is at. Traditionally, clinicians
have presumed that the client is in the action stage. The Stages of Change model allows
the clinician to determine the client’s stage of change and make a response appropriate
to that stage.
PRE-CONTEMPLATION
does not recognize the need
for change or is not actively
considering change
RELAPSE
has relapsed to drug use
LEAVES TREATMENT
CONTEMPLATION
recognizes problems and
is considering change
MAINTENANCE
is adjusting to change and
is practising new skills and
behavious to sustain change
PREPARATION / ACTION
has initiated change
Scarlett’s parents identified the issues they were concerned about, and were
pushing for action. Scarlett agreed to make an appointment at an addiction
agency because of her parents’ ultimatum. She will likely attend the appoint-
ment not having made any decisions about whether she wants to cut down
on her drinking, and without being aware of the relationship between her
not getting a job and her substance use. Scarlett does not see what others
around her see, and she does not identify her behaviours as problematic.
This indicates that Scarlett is in the precontemplation stage of change.
Although Scarlett’s family may feel the right to be concerned, Scarlett may
not be drinking and partying any more than do her friends. If the family
confronts Scarlett about her drinking, she will be unable to hear the family’s
concern or objectively assess for herself whether her drinking is a problem.
If Scarlett makes an appointment at the local addiction centre to placate
her parents, she may procrastinate by booking it for a few weeks away, then
deciding not to attend the appointment, and then waiting to re-book.
Chapter 8 Screening and Assessment Practices 173
Remember that the purpose of screening is not to determine the degree of the problem,
but to determine whether a problem exists and whether a comprehensive assessment
is needed. Each substance use or behaviour-related problem can be screened with a few
basic questions. This is a good opportunity not only to ask these questions, but also to
educate clients about healthy behaviours or about the need to examine more risky ones.
Not every screening protocol involves implementing tools or measures right away.
For example, health care workers and people working in primary care or social services
can ask basic questions about alcohol consumption to determine whether referral to an
addiction centre might be needed. A series of well-placed questions in a conversation can
elicit important information and be less intimidating for clients who are nervous about
formal testing measures.
Basic questions should be used in a “universal” way; this means that the clinician
asks the same questions of every client in a standardized interview or with a question-
naire. Simple questions can be dispersed throughout an interview. The clinician should
normalize use (rather than using judgmental language implying that the client’s sub-
stance use is abnormal). The clinician should also explain to the client why questions
are being asked and what will happen with the information. Clients should know that
they can speak freely and ask questions. Referrals to virtual sources of information or
self-tests may be a good idea, as some clients want to educate themselves. If clinicians in
primary care or community care settings can ask only one question, such as “Have you
had more than five drinks on any one occasion over the last three months?” (for a man)
or “Have you had more than four drinks?” (for a woman), and the client answers “no,”
further questions are not needed (Fleming et al., 1997).
Examples of basic questions about alcohol use might include:
• How often do you have a drink containing alcohol?
• How many drinks containing alcohol do you have on a typical day when you are
drinking?
• Are there times when you drink more than this?
• What negative consequences have resulted from your use of alcohol? (CAMH, 2008)
These types of questions inform the clinician about the client’s patterns and fre-
quency of drinking. They also provide a sense of the person’s alcohol tolerance, and a
quick but silent guess about the person’s weight will determine how intoxicated he or
she should be with a given amount of alcohol. (Smaller men and women should feel
more intoxicated and have a higher blood alcohol level.)
A more comprehensive screening would address tobacco use, specific types of
substance use and addictive behaviours such as gambling, sex and Internet use.4
Affirmative answers to basic screening questions mean the interviewer should
then use a formal screening tool and steer the conversation in that direction. The
4 For sample screening questions about prescription and over-the-counter drug use, and use of illegal drugs, inhalants and
tobacco, see Substance Use, Concurrent Disorders and Gambling Problems in Ontario: A Guide for Helping Professionals (CAMH,
2008), p. 19. For questions about gambling, see p. 49.
174 Fundamentals of Addiction: A Practical Guide for Counsellors
c linician should keep in mind that the client may have also already shared that he or she
is not at all concerned about substance use or its long-term effects.
Some people share more information in a conversation than through a question-
naire or test. Computerized tests may appeal to any client: don’t assume that only youth
and young adults will prefer to use a computer. Most often in practice, a combination of
computer, questionnaire and conversation is used.
Best Practice in Screening for Substance Use and Mental Health Disorders (Health
Canada, 2002) suggests the following three screening questions, which should be inves-
tigated further if the person responds “yes” to one or more of them:
• Have you ever had any problems related to your use of alcohol or other drugs?
• Has a relative or friend, or a doctor or other health worker, been concerned about your
drinking or other drug use, or suggested you cut down?
• Have you ever said to another person, “I don’t have a problem” (with alcohol or other
drugs) when, around the same time, you wondered whether you did have a problem?
(Health Canada, 2002)
It is a good idea to practise asking these questions in an objective way that is non-
judgmental and does not imply how much is “too much.”
Returning to the case study of Scarlett, screening for the appropriateness of the
referral will need to consider the following issues:
• Scarlett’s stage of change
• evidence that there is some past or current concern about her substance use
• whether the referral is mandated (e.g., by probation, child welfare, physician)
• whether Scarlett is starting at the right place on the continuum of care. Is she in with-
drawal from substances? Medically or mentally fragile?
• any previous experiences with the treatment system, including assessments or seek-
ing assistance for substance use problems.
Scarlett’s responses to the following questions will shape next steps in booking
an appointment:
• How can I help you?
• How did you hear about our program?
• Are you currently using substances?
• Do you have substance use concerns or feel you have a problem?
• Do you feel you need assistance?
• Are you having any other concerns you wish to share?
• Is your family doctor aware of your decision to make an appointment?
The goal will be to get Scarlett to physically attend or commit to checking out the
information virtually and then to call back. In most settings, screening activities include
eliciting routine demographic information. Screening also asks about other issues; for
example, in the case of Scarlett:
• What does Scarlett want? What are her intentions?
Chapter 8 Screening and Assessment Practices 175
• What prompted Scarlett to attend this appointment (i.e., has there been a crisis? Are
her basic needs for food, shelter and safety being met)?
5 One social media site where people share their experiences and stories is www.its-possible.ca.
176 Fundamentals of Addiction: A Practical Guide for Counsellors
Refer to Refer to
appropriate appropriate
level/intensity level/intensity
of community of residential
treatment treatment
When examining each of these strengths and needs criteria, the clinician can work
with the client to prioritize needs and determine referrals to addiction-related services
or non-addiction supports and services. Assessment tools should map onto these seven
areas. The Global Appraisal of Individual Needs (GAIN) created by Dennis (2010) at
Chestnut Health Systems is an example of a suite of tools that work with criteria like
Ontario’s seven areas of strengths and needs. Chestnut Health’s tools move from screen-
ing (GAIN-Short Screener) to quick or more involved assessment tools (GAIN-Quick
or GAIN-Intensive). The GAIN tools are designed to assess the criteria outlined in the
Diagnostic and Statistical Manual of Mental Disorders (American Psychiatric Association,
2000), with algorithms embedded in the computerized version of the tool to match cli-
ent answers to treatment plan suggestions. GAIN tools are used across the United States
and meet state or federal legislation requirements.
In Canada, the GAIN-Intensive is used in Quebec as the standardized measure for
substance use problems, and is also being adopted by other Canadian provinces.
6 For the six dimensions of client strengths and needs identified by the American Society of Addiction Medicine, visit www.
asam.org/publications/patient-placement-criteria.
178 Fundamentals of Addiction: A Practical Guide for Counsellors
CAGE-AID
A score of two or more “yes” answers indicates a positive CAGE and further
evaluation is indicated.
Source: Brown, R.L. & Rounds, L.A. (1995). Conjoint screening questionnaires for alcohol and drug abuse. Wisconsin Medical
Journal, 94, 135–140. Reprinted with permission.
Chapter 8 Screening and Assessment Practices 179
7 For more information about the Ontario Woman Abuse Screening Project, visit www.womanabusescreening.ca.
180 Fundamentals of Addiction: A Practical Guide for Counsellors
for substance use and gambling problems, and by many addiction agencies to screen
for mental health concerns, including eating disorders. An undetected co-occurring
problem can result in clients being bounced between the substance use and mental
health systems, making frequent visits to the emergency department or being hospi-
talized. (See Chapter 16 for more information about concurrent disorders.)
Evidence-based practice indicates that all agencies, institutions and practitioners should
be able to deal effectively and empathically with anyone who comes through the door.
Agencies supported by government funding that serve the public are required to
serve anyone who needs assistance. Thus it is not a matter of choice that practitioners
learn about cultures in their community, but a moral imperative. Many professional
development opportunities exist to expand this knowledge, and agencies should develop
policy statements and strategic plans that reflect the value of culture and diversity and
serving everyone in the community. Some agencies state these ideals but do little to
implement them in actual practice.
Practitioners involved in screening and assessment must be well informed about
available culture-based services and how to refer to them.
Because of the high prevalence of trauma among people with substance use and mental
health problems, clinicians should consider the possibility of a trauma history before or
during screening and assessment. According to the Women, Co-occurring Disorders and
Violence Study, more than 91 per cent of study participants reported a history of physical
abuse, and 90 per cent reported sexual abuse (Jean Tweed Centre, 2013). Other popula-
tions for high risk of trauma include Aboriginal people who were in residential schools,
people referred by child welfare to addiction services, military personnel, police officers,
firefighters, paramedics, 911 call centre staff, people who work with trauma survivors,
and witnesses of crime, natural disaster and family loss. Clinicians who work with
these people need training about the relationship between trauma and substance use
problems. Knowing about local programs and services that provide trauma treatment is
critical to treatment planning.
Traumatic experiences may interfere with the client’s ability to trust the clinician.
Clinicians who observe guardedness in the client should consider the possibility of
trauma and try to promote safety in the interview by being supportive and gentle, rather
than trying to “break through” evasiveness that might look like resistance or denial.
Questions should be asked in a way that does not retraumatize the client.8
8 For more information about working with clients who have trauma histories, see Bridging Responses: A Front-Line Worker’s
Guide to Supporting Women Who Have Post-Traumatic Stress (Haskell, 2001). The information does not apply exclusively to
female clients.
Chapter 8 Screening and Assessment Practices 181
Issues around sexual orientation and gender identity do not necessarily make people
more susceptible to substance use or mental health problems. However, stress or
uncertainty in these areas may relate to the client’s substance use, or to suicidal or self-
harming behaviour (CAMH, 2012).
Screening questions can be used to determine whether issues around gender and
sexual orientation are linked to substance use problems. If the screening reveals con-
cerns, the assessment can explore them with specific questions or the clinician can use
tools from the Asking the Right Questions manual (Barbara et al., 2007).
Screening questions can include asking how the client identifies in terms of
gender identity and sexual orientation, and whether the client has a partner and how
that partner identifies (demographic questions asked at intake may already request this
information). Traditionally, clinicians have not explicitly asked about clients’ sexual orien-
tation and gender identity, and have assumed heterosexuality. But being in a heterosexual
relationship does not mean a person identifies as heterosexual. Asking these questions
can also be useful in determining the client’s need for information about harm reduction
and access to harm reduction supplies, and education about safer sex practices.
Interviewers who assume a client’s heterosexuality send a message that they do
not accept other identities and orientations. This bias can discourage clients from shar-
ing important information. The interviewer should refer to an “intimate partner” or
“significant other” as opposed to boyfriend, girlfriend, husband or wife. (Practitioners
may erroneously assume the opposite gender when the client says “I am married” or “I
have a spouse.”)
Clinicians must also be careful not to pathologize or imply a pathological con-
nection between clients’ mental health and substance use concerns and their gender
identity or sexual orientation. Appropriate signage can open discussion, just as dis-
playing rainbow flags, stickers or symbols can open doors for clients so they know
the environment is safe. The language used in the context of triage, screening or
assessment must also create safety. The word “straight” has another meaning in the
addiction field, so clinicians should not talk about “getting straight” because this lan-
guage may be misunderstood.
Issues of sexual orientation and gender identity may be particularly sensitive
among particular populations and cultures, such as youth. Interviewers should be
discreet when speaking with families or other community members. Even seemingly
benign inferences about a client’s sexuality could make clients susceptible to bullying
and other forms of discrimination. The interviewer should be aware of safety planning
and other support services, and discuss possible referrals for the client as needed.
182 Fundamentals of Addiction: A Practical Guide for Counsellors
Clients may arrive for appointments under the influence of substances. Policies need to
be in place to guide staff in these situations. When clients book an appointment, they
need to be told that they must not arrive intoxicated. This will be difficult for clients
who use daily, who are under stress or who are dependent on the substance and risk
withdrawal. A solid understanding of harm reduction activities and techniques is very
important in this work. Some drug use is more obvious than others: some substances
have no odour and sometimes a client may not appear to be intoxicated.
In most clinical outpatient settings, clients who are obviously intoxicated will not
be screened or assessed. However, the client could be referred to community or resi-
dential withdrawal management programs or to primary care (walk-in or urgent care
centres) or emergency departments when warranted medically.
If the client is at risk to self or others, the clinician should follow agency protocols
about risk assessment, referral and safety planning.9
If a client shows up for the appointment intoxicated, it is important to arrange
safe transportation home. The clinician should ask about dependents and their where-
abouts (i.e., underage children in child care, schools or at home) and safety in order to
determine how to proceed. If the client has driven to the appointment, the clinician must
explain that his or her keys will be taken away and alternative transportation arranged for
the person’s own safety and that of the public. If the person refuses to surrender the keys
or leaves, the clinician must call 911. Intoxicated clients who arrive at the appointment
on foot or by bicycle can also be a danger to themselves or others. The clinician must
follow protocols established in the agency’s policies and procedures.
Clients with an acquired brain injury (ABI) may have difficulty with concentration,
memory, judgment and task initiation and completion; they may experience headaches
or outbursts; and they may not be able to live independently. These are issues that are
also common among people with substance use problems. The clinician must screen to
determine whether the client’s difficulties are related to an old or recent acquired brain
injury (ABI).10
People referred to addiction treatment may have other diagnoses, such as fetal
alcohol spectrum disorder (FASD), or they may have experienced accidents or inju-
ries. Therefore, it is important to screen for other diagnoses and ask about past or
recent accidents, injuries or violence. (See Chapter 18 for more information about
ABI and FASD.)
9 Refer to the admission and discharge criteria in Appendix A of Admission and Discharge Criteria and Assessment Tools Clinical
Manual: Helping Clients Navigate Addiction Treatment in Ontario Using the Admission and Discharge Criteria and Standardized
Tools (Cross & Sibley, 2010).
10 One commonly used ABI screening tool is the HELPS. It is available at https://www.hnfs.com/va/static/rmh/4_helps_tbi.
pdf.
Chapter 8 Screening and Assessment Practices 183
The following basic screening questions can help determine the presence of an ABI:
• Do you have a diagnosis of an acquired brain injury?
• Do you suspect you may have had a brain injury?
• How long has it been since your first brain injury?
• Have you ever lost consciousness or had a concussion?
• How long was your loss of consciousness?
• How many concussions have you had?
Assessment
When screening suggests that a substance use problem might exist, an assessment is an
important next step. The assessment provides more detailed information and scores that
can help the clinician and client understand the severity of the problem and its impact
on the client’s life (e.g., health, relationships, employment).
The interviewer should share the results of the screening tools or protocols with
the client and gather the client’s impressions about the results using motivational
interviewing techniques. Asking open-ended questions about scores and for the client’s
interpretations and feelings about the results yields important information about the
stages of change and the client’s decision-making process.
The assessment should be conducted using a standardized process or tool that
has been tested scientifically. Some assessment tools are interview protocols such as the
Ontario Common Assessment of Need, in which questions are asked consistently with
11 For more about the signs and symptoms of traumatic brain injury, see www.brainline.org/content/2008/07/signs-and-
symptoms.html.
184 Fundamentals of Addiction: A Practical Guide for Counsellors
each client but do not necessarily result in a single score. Other assessment tools yield
scores that are interpreted with the client to determine next steps.
The interviewer must get permission from the client to proceed with the assess-
ment. The interviewer should be able to describe the tools and process, what will be
measured, how long it will take and what results might be apparent. At each step, the
interviewer gathers evidence and information about the issue and checks in with the
client for permission to continue. This is experienced as a mutual exploration of each
step and of each outcome or result. It is important for the interviewer to remain silent
periodically during the assessment and to observe the client’s body language and facial
expressions and watch for signs of stress or discomfort in order to create a successful
assessment experience.
The interviewer must give the client the opportunity to ask questions during the
assessment. Some assessment tools are self-administered in groups or via computer and
others are administered individually by an interviewer.
The Addiction Severity Index (ASI), AUDIT, Substance Abuse Subtle Screening Inventory
(SASSI) and ADAT are well-known assessment tools used in Ontario. ADAT has been
used for more than a decade and was developed to assess clients’ strengths and needs,
which all assessment tools should identify because strengths-based assessment leads to
strengths-based treatment planning. This approach allows treatment providers to under-
stand and prioritize the client’s concerns and goals and build a solid foundation starting
with what the client feels most confident about. In contrast, a problem-based approach
focuses on areas in which the client is least skilled, and may arouse in the client fear
of relapse and other concerns about substance use. Examining strengths and needs is a
positive approach to treatment planning in which previous successes are highlighted to
motivate the client in working toward the changes he or she is now considering.
The assessment should be performed with the understanding that the client’s cur-
rent stage of change may influence his or her understanding of the results, and that the
feedback may move the client to the next stage of change (DiClemente, 2003). Research
shows that this personalized feedback can influence decision making (Emmen et al., 2011).
A thorough assessment yields the following information:
• quantity and frequency of substance use
• historical onset and evolution of use
• which substances lead to the use of others and what substances the client prefers
• substances the client has tried and disliked, quit attempts, periods of abstinence
• goals the client has set and met
• treatment experiences and outcomes
• connection between substance use and life areas, including physical health, with-
drawal effects and symptoms, legal status, relationships, employment or school,
mental health, financial status
Chapter 8 Screening and Assessment Practices 185
• the client’s expectations for the future, decisions the client has made about substance
use
• the client’s recovery environment and supports.
Strong evidence suggests that the process of screening and assessing for substance use
concerns can either motivate or de-motivate clients, affecting their likelihood of staying
in treatment. Motivational interviewing has been shown to enhance the assessment
process (Miller & Rollnick, 2013). While some assessment tools do not allow the clini-
cian to deviate from the script, motivational interviewing techniques can be applied after
assessment, with the clinician asking for comments and feedback and then using reflec-
tion skills to enhance motivation and learning. Enhancing motivation using information
from the assessment is critical to moving the client into the next stage of change. (See
Chapter 5 for more about motivational interviewing.)
When the assessment process or tool allows for reflection or motivational inter-
viewing techniques, the interviewer can stop to reflect on the client’s body language or
other non-verbal messages and probe for deeper meaning using motivational interview-
ing techniques.
Treatment Planning
This section examines the seven areas of need identified by ADAT (Cross & Sibley, 2010)
to determine appropriate next steps and referrals for Scarlett:
1. Acute intoxication and withdrawal needs: Scarlett drinks more on the weekends but is
not a daily drinker. Although she may benefit from learning about lower-risk alcohol
consumption and blood alcohol levels to reduce risky behaviour such as impaired
driving, no referrals are warranted at this time. Scarlett may benefit from harm reduc-
tion strategies.
186 Fundamentals of Addiction: A Practical Guide for Counsellors
2. Emotional and behavioural needs: Although Scarlett may benefit from supportive
counselling and cognitive-behavioural therapy to increase her coping skills, she
does not have major concerns about emotional or behavioural issues at this time. As
Scarlett opens up to her counsellor and becomes more engaged in the therapeutic
relationship, such issues may emerge, at which time referrals could be made.
3. Medical and psychiatric needs: The clinician should refer Scarlett for a general physi-
cal exam and tests to rule out brain injury from her car accident. She should also be
referred for brain functioning tests.
4. Treatment readiness: Scarlett does not believe she needs treatment for her drinking.
She is in the precontemplative stage of change. She may need education and informa-
tion about safer drinking choices and referrals for supportive counselling.
5. Recovery environment: Despite some conflict with her parents around their concern
about her drinking and unemployment, Scarlett generally has a supportive home
environment.
6. Relapse potential: Scarlett is likely to continue her weekend binges with friends. She
may agree to participate in education sessions to prevent legal problems such as an
impaired driving charge. Should Scarlett wish to cut down on her drinking, the clini-
cian can discuss techniques and strategies to help her.
7. Barriers and resources: Scarlett has some financial barriers, but she has social and
family supports, financial support through her parents and a university degree. With
some counselling supports and education, Scarlett will likely meet her goals.
Health Canada recommends that all people seeking help from mental health services be
routinely screened for co-occurring substance use problems, and that all people seeking
help from substance use services be screened for co-occurring mental health problems.
This helps to ensure that people will be welcomed wherever or however they enter the
Chapter 8 Screening and Assessment Practices 187
system (the “no wrong door” approach), and will have seamless and timely access to
services (CAMH, 2006).
Many communities are adopting co-ordinated access agreements across child and
family services and mental health and addiction sectors. These agreements or integrated
service delivery systems allow for easier access for the community with one phone
number to call and, in some cases, multiple access centres across a region or commu-
nity. Shared screening tools and processes open the doors for these co-ordinated service
delivery options.
Shared screening protocols are an excellent vehicle for cross-sector collaboration
and training. Increased access points are good for the community that needs them, and
cross-sector collaborations allow for increased skill sets across clinical networks. New
partnerships and other shared service delivery options become possible as staff work
more closely together to decrease the fail points in the system. Funders have an expec-
tation of collaboration and integrated service delivery to increase the efficiencies and
effectiveness in health care and social services.
Clients and their families should not have to access multiple agencies for screen-
ing and assessment for each concern; accordingly, staff in agencies that serve people
with mental health and addiction issues should be able to educate clients about all the
choices available.
Conclusion
Screening and assessment should be viewed as ongoing processes, rather than as
discrete single events that occur only at intake or at the start of a new treatment rela-
tionship. Addiction problems can be quite complex, and it often takes time for a clear
understanding to emerge. Clients with addiction problems are a diverse group, with clin-
ical features that can change or emerge over time. Clinicians can best help clients if they
have comprehensive information, and screening represents the first step in this process.
Over the next decade, ongoing changes in the health care system will focus on
integrated service delivery, co-ordinated access and opportunities for cross-training.
Counsellors who work outside of the specialized addiction services sector but who see
clients with addiction problems should learn screening skills, be knowledgeable about
the addiction services sector and train to administer standardized tools.
Many clinical settings will implement assessment groups or will use groups for
screening and assessment to reduce wait times and free up time for new groups to
ensure timely interventions.
The availability of online self-tests will increase, giving people greater access
to information about their risk addiction problems, and the potential for self-change.
Mobile applications will also grow as more and more consumers rely on hand-held
devices. Applications already exist with which people can determine themselves whether
they have a Facebook addiction, for example.
188 Fundamentals of Addiction: A Practical Guide for Counsellors
People who prefer online advice or counselling to face-to-face meetings will have
access to a growing number of counsellors with expertise in online addiction, including
online gambling, gaming or other online behaviour issues.
Counsellors will need to be able to incorporate computerized screening and
assessment tools into their daily work, and to be able to incorporate this information into
the client’s electronic health record and data collection systems.
New types of behavioural or process addictions related to social media, gaming
and online gambling are emerging and share some of the features of addiction to sub-
stances, such as loss of control and continued use despite adverse consequences. (See
Chapter 20 about process addictions). The same criteria for screening and assessing
alcohol or other drug problems can be applied to these process addictions.
Practice Tips
• Develop your ability to move easily through assessment tools and proto-
cols by engaging in practice sessions with colleagues, observing others
who have more experience, doing dry runs to practise explaining things
out loud, and becoming familiar with the paperwork and other procedures
your protocol requires. It is important that clients feel you are confident
administering the tools and that the interview flows well. If you are new to
the tool itself or the process of assessment, explain to clients that you are
on a learning curve and are interested in their feedback.
• Familiarize yourself with the CCSA core competencies of the Canadian
Centre on Substance Abuse (CCSA), specifically those relating to screen-
ing and assessment skills. They can be found on the CCSA website (CCSA,
2010).
• Explain the importance of standardized assessment, outlining the ben-
efits to clients and their treatment plan. Ensure that clients understand
that assessment is an important part of the process and that the informa-
tion it yields will help them understand the impact of substance use on
their lives.
• Ensure that a policy or guideline is in place at your agency or private prac-
tice regarding the use of social media and virtual contact . These policies
should describe how technology should be used to maintain contact with
the client.
• Write down details of the next visit for clients, including all contact informa-
tion and the date and time of the next visit if you are referring someone in
crisis. With clients’ permission, you might also e-mail them the information
for the next visit. This may be helpful in maintaining contact with clients.
Resources
Publications
Center for Substance Abuse Treatment. (2007). Screening, Assessment, and Treatment
Planning for Persons with Co-occurring Disorders. Rockville, MD: Substance Abuse
and Mental Health Services Administration. Retrieved from http://store.samhsa.gov
Centre for Addiction and Mental Health (CAMH). (2006). Navigating Screening Options
for Concurrent Disorders. Toronto: Author.
Croton, G. (2007). Screening for and Assessment of Co-occurring Substance Use and
Mental Health Disorders by Alcohol & Other Drug and Mental Health Services. Victoria,
Australia: Victorian Dual Diagnosis Initiative Advisory Group. Retrieved from
www.nada.org.au/media/14706/vddi_screening.pdf
190 Fundamentals of Addiction: A Practical Guide for Counsellors
Health Canada. (2002). General issues in screening. Best Practice in Screening for
Substance Use and Mental Health. Ottawa: Author. Retrieved from www.hc-sc.gc.ca/
hc-ps/pubs/adp-apd/bp_disorder-mp_concomitants/screening-depistage-eng.php
References
American Psychiatric Association. (2000). Diagnostic and Statistical Manual of Mental
Disorders (4th ed., text rev.). Washington, DC: Author.
Babor, T.F., de la Fuente, J.R., Saunders, J. & Grant, M. (1989). AUDIT—The Alcohol
Use Disorders Identification Test: Guidelines for Use in Primary Health Care. Geneva:
World Health Organization.
Barbara, A.M., Chaim, G. & Doctor, F. (2007). Asking the Right Questions 2: Talking with
Clients about Sexual Orientation and Gender Identity in Mental Health, Counselling
and Addiction Settings. Toronto: Centre for Addiction and Mental Health.
Canadian Centre on Substance Abuse (CCSA). (2010). Competencies for Canada’s
Substance Abuse Workforce. Ottawa: Author. Retrieved from www.ccsa.ca/eng/
priorities/workforce/competencies
Centre for Addiction and Mental Health (CAMH). (2006). Navigating Screening Options
for Concurrent Disorders. Toronto: Author.
Centre for Addiction and Mental Health (CAMH). (2008). Substance Use, Concurrent
Disorders and Gambling Problems in Ontario: A Guide for Helping Professionals.
Toronto: Author.
Centre for Addiction and Mental Health (CAMH). (2012). Substance use: Issues to con-
sider for the lesbian, gay, bisexual, transgendered, transsexual, two-spirit, intersex
and queer communities. Retrieved from www.camh.ca/en/hospital/about_camh/
health_equity/Pages/substance_use_lgbtttiq.aspx
Cross, S. & Sibley, L.B. (2010). Admission and Discharge Criteria and Assessment Tools
Clinical Manual: Helping Clients Navigate Addiction Treatment in Ontario Using
the Admission and Discharge Criteria and Standardized Tools. Toronto: Centre for
Addiction and Mental Health. Retrieved from https://knowledgex.camh.net/
amhspecialists/Screening_Assessment/assessment/adat/Documents/
adat_tools_criteria_manual.pdf
Dawe, S., Loxton, N.J., Hides, L., Kavanagh, D.J. & Mattick, R.P. (2002). Review of
Diagnostic Screening Instruments for Alcohol and Other Drug Use and Other Psychiatric
Disorders (2nd ed.). Canberra, Australia: Commonwealth Department of Health and
Ageing. Retrieved from www.health.gov.au
Dennis, M.L. (2010). Global Appraisal of Individual Needs (GAIN): A Standardized
Biopsychosocial Assessment Tool. Bloomington, IL: Chestnut Health Systems.
DiClemente, C.C. (2003). Addiction and Change: How Addictions Develop and Addicted
People Recover. New York: Guilford Press.
Chapter 8 Screening and Assessment Practices 191
Eric is 27 years old and operates a front-end loader for a road construction
company. He works long hours to capitalize on good weather and often goes
out with “the boys” after work to have a few beers and wind down. If he were
to count drinks, Eric would find that he drinks four to six beers each time
and, on weekends, he drinks about double this amount. Eric doesn’t focus
much on his alcohol consumption and sees his drinking as pretty typical of
men his age. Although he is not particularly concerned about his drinking,
his girlfriend is often upset that he comes home late and then falls asleep
in front of the television. She has often been embarrassed when he is loud
and obviously intoxicated at social events, the latest being her sister’s wed-
ding. Eric knows that he frequently drives home with blood alcohol above the
legal limit, but feels that he is a good driver nonetheless. He also has been
getting to work late on some mornings after he has had a few more drinks
than usual.
Eric’s situation is a common one. His alcohol use is starting to affect different areas
of his life, and he has an increased risk of developing health concerns down the road.
Yet Eric’s risky drinking is not that severe, and extended treatment (whether inpatient
or extended outpatient) may not be warranted. The reality is that many people with the
types of at-risk drinking Eric is experiencing may never even seek help (Cunningham &
Breslin, 2004). For some, their risky drinking will get worse; others may ”mature out” of
their at-risk drinking and either not drink at all in later life or drink moderately (Dawson
et al., 2005). Eric’s situation illustrates how the severity of alcohol concerns occurs on a
continuum. His drinking is well above low-risk guidelines for safe drinking, but still well
below the severity of drinking sometimes seen in treatment settings. The challenge is to
decide on the type of help that might best be suited for Eric.
But why is help warranted for people like Eric? First, the costs to society are sub-
stantially greater from people engaged in at-risk drinking than from people with severe
alcohol use disorder, simply because there are so many more of them (Stockwell et al.,
2004). Second, there is great value in secondary prevention—helping people before
their risky drinking gets too severe. Not everyone receiving an intervention will go on to
develop severe alcohol use disorder. However, if many people can be helped for less than
194 Fundamentals of Addiction: A Practical Guide for Counsellors
it would cost to provide treatment for a few people with more serious alcohol concerns,
then these secondary prevention efforts make good health services sense. Finally, and
most important, people like Eric would benefit from help. Many people who drink above
low-risk levels recognize this need and say they would be interested in help to deal with
their alcohol concerns, particularly if the services provided are in a format that matches
their lower severity of alcohol use problems.
This chapter describes brief interventions designed to help people who drink at
risky levels. These interventions come in various forms and have been applied in differ-
ent settings—from outpatient addiction services through primary care health settings,
and including various self-help approaches (e.g., books, Internet-based interventions).
We review these interventions and give concrete examples of how they might help some-
one like Eric. In the Resources section, we provide links to freely accessible tools for use
in brief interventions.
Definitions
Before reviewing brief interventions, it is worthwhile to define what is meant by “at-risk
drinking.” This is an intentionally vague term that covers the range of drinkers, from
those who drink beyond recommended levels to those who have recognizable conse-
quences associated with their drinking (and might even display mild forms of alcohol
use disorder). We use the term because it is often difficult to define the exact severity
of problems of participants in the research we have reviewed. An excellent quote by
Heather (1989) on brief interventions in community settings is as applicable today as it
was two decades ago:
Evidence shows that brief interventions are effective and should be used
for individuals who are not actively seeking help at specialist agencies.
This justification is, again, independent of level of seriousness, although
most recipients of community-based interventions will obviously have
problems of a less severe variety. Moreover, when potential clients are
not actively seeking help, then the cost-effectiveness kind of argument
does become relevant and it is ethically legitimate to ask what is the least
expensive way of reaching the greatest number of smokers or excessive
drinkers, etc. (p. 366)
primary care setting. The content of most brief interventions follows the model captured
in the acronym FRAMES, as outlined by Miller and Rollnick (1991):
• provide Feedback about the person’s drinking
• stress personal Responsibility for change
• provide clear Advice to cut down on drinking
• provide a Menu of options for reducing drinking
• use an Empathic approach in interacting with the client
• support Self-efficacy by enhancing beliefs about ability to change.
then advised in an empathic way about ways to cut down on their drinking. Follow-up
by the health care worker is sometimes offered or, when necessary, patients with more
severe concerns are referred to a specialized addiction treatment. Brief interventions in
primary health care settings generally take no more than 10 minutes. The intervention
can be delivered by a physician, nurse or other health care professional (or a combination
of both, e.g., a nurse conducts the assessment and the physician provides the interven-
tion). The next section describes initiatives that are using self-administered electronic
screeners in primary health care in an effort to promote brief interventions in this setting.
You reported consuming 34 drinks per week. This is more than 95 per cent
of Canadian men your age.
You reported drinking on about 100 per cent of days in the last year.
Based on your weekly drinking, you reported that you drank a total of 1,768
drinks in the last year.
If a drink usually costs you about $3.50, you spent approximately $6,188 in
the last year, depending on where you drank (at home, in a bar, etc.).
You consumed about 400 calories from alcohol on days that you drank (one
drink has about 100 calories).
You had enough alcohol in the last year to add roughly 51 pounds or 23 kilo-
grams to your weight.
You reported consuming five or more drinks on one occasion more than once
per week. This is more often than 96 per cent of Canadian men your age.
Your AUDIT score (a World Health Organization alcohol severity scale) is 14,
which places your drinking in the range of a harmful drinker.
Based on your weight, it takes you two hours for the alcohol from one drink
to leave your system and seven hours for four drinks.
Based on your weight, if you have 10 drinks, it will take about 18 hours until
there is no alcohol in your system.
Last year you spent about 3,203 hours under the influence of alcohol.
is looking for tools to help people who drink above low-risk levels, these resources are
brief because they can be recommended by the therapist and used quickly by the person
without having to contact the therapist again. (Or perhaps some sort of a hybrid arrange-
ment could be made, where the therapist periodically monitors or connects with the
person if he or she runs into difficulties.)
Alcohol is a contributing factor to many accidents and other physical health concerns.
Thus, it is not a surprise that many people who engage in risky drinking can be found in
emergency room settings, as well as in other general hospital clinics and wards. A lively
area of research is attempting to validate the use of brief interventions in these settings,
with the majority of work being conducted in emergency rooms (where wait times could
potentially be used for other purposes, such as providing a brief intervention). While the
research is not uniformly positive, there is promise that the provision of brief interven-
tions in these settings is helpful (Bernstein et al., 2009).
Chapter 9 Brief Interventions for At-Risk Drinking 199
The post-secondary years are often a time of experimentation and exploration, and risky
drinking is generally most common at this developmental age. Unfortunately, students
engaged in risky drinking can cause themselves and others a great deal of harm in both
the short term and long term. Considerable resources have been devoted to develop-
ing and evaluating brief interventions in university and college settings. Whether the
interventions are tailored specifically for this population or simply applied using the
tools developed in other general population settings, evidence suggests they are help-
ful for students who are at risk of experiencing alcohol-related problems (Moreira et
al., 2009).
The use of other drugs in conjunction with risky drinking is common, particularly
the combination of cigarette smoking and risky drinking. An extensive evidence
base demonstrates the efficacy of brief interventions to help with smoking cessa-
tion (2008 PHS Guideline Update Panel, Liaisons, and Staff, 2008). Unfortunately,
much less research has been done on the efficacy of brief interventions for other
drug concerns. However, some initiatives are under way to adapt the brief interven-
tion models for at-risk drinking and smoking to other drug concerns (Madras et al.,
2009). However, the caveat, at least at present, is that only limited evidence exists
that these interventions will work. (The flip side is that there is no real evidence
indicating they will not work.)
While there is little research in this area, brief interventions may have an important role
to play in treatment for at-risk drinking among people with concurrent mental health
concerns. The challenge is that addiction and mental health services are often provided
as separate clinical services. To prevent the client with both mental health and addiction
issues from falling between the cracks or being shuttled back and forth between specialty
settings, some form of intervention for alcohol concerns needs to be provided within
specialized mental health settings (just as mental health concerns should be addressed
in addiction settings). Arguably, brief interventions could serve this role because they can
be incorporated into other services without too much disruption or specialized training.
However we are considering the use of brief interventions for people who engage in at-
risk drinking and who have concurrent mental health concerns.
200 Fundamentals of Addiction: A Practical Guide for Counsellors
Conclusion
In some ways, brief interventions are the great equalizer because they can be adminis-
tered to most populations in many settings. This is one of the main strengths of brief
interventions. Most people with at-risk alcohol consumption do not show up in traditional
addiction treatment settings. Brief interventions are the distillation of the key elements of
addiction treatment, packaged in a way that makes them portable and usable in a variety
of settings. More extended treatment in a specialized addiction agency would likely be
more helpful for people who engage in risky drinking. However, if they will not come to
this type of treatment (or will not stay once they get there), we would argue that is it better
to provide them with something brief that we know can help rather than nothing at all.
The reality is that most people like Eric, whose story opened this chapter, are
unlikely to show up in a specialized addiction treatment setting. If Eric were to seek
treatment, it would likely be related to an impaired driving charge or pressure from his
girlfriend, and then a brief intervention might be the best intervention. Special atten-
tion would need to be given to the motivational aspects of the intervention, as Eric may
be ambivalent about change. Alcohol is probably still a “friend,” but one with negative
consequences.
More likely, Eric will not show up in addiction treatment, but he could be encour-
aged to reconsider his alcohol use in other settings. A primary health care setting is
probably the most likely place where Eric’s drinking could be addressed. Or, if Eric has
an injury, then perhaps some sort of intervention could be conducted in an emergency
room. Unfortunately, brief interventions are still rarely provided in primary care and
hospital health care settings in Canada. It is hoped that this lack of service provision can
be addressed soon, as there is much opportunity to help people with alcohol concerns
in these settings.
Finally, Eric or his girlfriend might notice a pamphlet on drinking while fill-
ing a prescription at the pharmacy, or they might do a quick web search on drinking.
Accessing an Internet-based intervention could serve as a step toward helping Eric deal
with his alcohol concerns.
Chapter 9 Brief Interventions for At-Risk Drinking 201
Practice Tips
Resources
Publications
Centre for Addiction and Mental Health & St. Joseph’s Health Centre, Toronto. (2010).
Primary Care Addiction Toolkit. Toronto: Author. Retrieved from http://knowledgex.
camh.net/primary_care/toolkits/addiction_toolkit/Pages/default.aspx
National Institute on Alcohol Abuse and Alcoholism. (2005). Helping Patients Who Drink
Too Much: A Clinician’s Guide. Bethesda, MD: Author. Retrieved from http://pubs.
niaaa.nih.gov/publications/Practitioner/CliniciansGuide2005/guide.pdf
Internet
Alcohol Help Center
www.alcoholhelpcenter.net
Check Your Drinking
www.CheckYourDrinking.net
202 Fundamentals of Addiction: A Practical Guide for Counsellors
References
2008 PHS Guideline Update Panel, Liaisons, and Staff. (2008). Treating tobacco
use and dependence: 2008 update. U.S. Public Health Service Clinical Practice
Guideline executive summary. Respiratory Care, 53, 1217–1222.
Apodaca, T.R. & Miller, W.R. (2003). A meta-analysis of the effectiveness of bibliother-
apy for alcohol problems. Journal of Clinical Psychology, 59, 289–304.
Bernstein, E., Bernstein, J.A., Stein, J.B. & Saitz, R. (2009). SBIRT in emergency
care settings: Are we ready to take it to scale? Academic Emergency Medicine, 16,
1072–1077.
Cunningham, J.A. & Breslin, F.C. (2004). Only one in three people with alcohol abuse
or dependence ever seek treatment. Addictive Behaviors, 29, 221–223.
Cunningham, J.A., Kypri, K. & McCambridge, J. (2011). The use of emerging technolo-
gies in alcohol treatment. Alcohol Research & Health, 33, 320–326.
Cunningham, J.A., Neighbors, C., Wild, C. & Humphreys, K. (2008). Ultra-brief inter-
vention for problem drinkers: Research protocol. BMC Public Health, 8, 298.
Cunningham, J.A., Selby, P.L., Kypri, K. & Humphreys, K.N. (2006). Access to the
Internet among drinkers, smokers and illicit drug users: Is it a barrier to the provi-
sion of interventions on the World Wide Web? Medical Informatics and the Internet
in Medicine, 31, 53–58.
Dawson, D.A., Grant, B.F., Stinson, F.S., Chou, P.S., Huang, B. & Ruan, W.J. (2005).
Recovery from DSM–IV alcohol dependence: United States, 2001–2002. Addiction,
100, 281–292.
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357–370.
Kaner, E.F., Beyer, F., Dickinson, H.O., Pienaar, E., Campbell, F., Schlesinger, C. et al.
(2007). Effectiveness of brief alcohol interventions in primary care populations.
Cochrane Database of Systematic Reviews, (2), CD004148. doi: 10.1002/14651858.
CD004148.pub3
Madras, B.K., Compton, W.M., Avula, D., Stegbauer, T., Stein, J.B. & Clark, H.W.
(2009). Screening, brief interventions, referral to treatment (SBIRT) for illicit drug
and alcohol use at multiple healthcare sites: Comparison at intake and 6 months
later. Drug and Alcohol Dependence, 99, 280–295.
Miller, W.R. (2000). Rediscovering fire: Small interventions, large effects. Psychology of
Addictive Behaviors, 14, 6–18.
Miller, W.R. & Rollnick, S. (1991). Motivational Interviewing: Preparing People to Change
Addictive Behavior. New York: Guilford Press.
Miller, W.R., Sovereign, R.G. & Krege, B. (1988). Motivational interviewing with prob-
lem drinkers: II. The Drinker’s Check-up as a preventive intervention. Behavioural
Psychotherapy, 16, 251–268.
Miller, W.R., Wilbourne, P.L. & Hettema, J.E. (2003). What works? A summary of alco-
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Alcoholism Treatment Approaches: Effective Alternatives (3rd ed., pp. 13–63). Boston:
Allyn & Bacon.
Moreira, M.T., Smith, L.A. & Foxcroft, D. (2009). Social norms interventions to reduce
alcohol misuse in university or college students. Cochrane Database of Systematic
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Chapter 10
Relapse Prevention
Marilyn Herie and Lyn Watkin-Merek
George reported using marijuana regularly and drinking six beers on the
day of his arrest. He stated that he typically drinks five or six beers “to get a
buzz,” and that while under the influence he “feels good.” He also admitted
that he uses marijuana to “calm down,” but that it sometimes makes him
feel paranoid. George attended outpatient treatment as a condition of proba-
tion, but began drinking and using cannabis again after a few weeks.
George’s family believes drugs are the source of all of his problems and wants
to make sure he stops using alcohol and cannabis. His probation officer has
also warned him that he needs to maintain abstinence or he will be in breach
of his probation. George, on the other hand, does not regard his alcohol or
cannabis use as problematic in the least—he thinks his family and probation
officer are putting unreasonable pressure on him about his substance use.
The other day George met up with some friends after working a shift in the
restaurant. He was feeling stressed and angry at his mother’s “nagging”
and set out to get as drunk as possible. He remembers having an argument
with another customer in a bar, which turned physical. He doesn’t recall who
threw the first punch, but when the police were called, he knew he was in
serious trouble because of his probation.
The pattern of substance use described in this case scenario is common. Although it
has contributed to George’s interpersonal, work and legal problems, he is ambivalent
about the benefits—or need—for long-term abstinence. George was able to stop using
alcohol and cannabis while he was in treatment and for a few weeks afterwards, but his
commitment to abstinence wavered as time passed. His family and his probation officer
206 Fundamentals of Addiction: A Practical Guide for Counsellors
thought that once he completed treatment he would be “cured.” Instead, about a month
and a half after he completed an outpatient program, he went back to regular alcohol
and cannabis use. It was not until George was forced to enter treatment a second time
and began seriously working toward recovery that he was able to learn how to maintain
abstinence in the longer term.
The chronic, relapsing nature of alcohol and other drug problems has been rec-
ognized since the early 1970s (Hunt et al., 1971). In the late 1970s and early 1980s,
researchers began to focus on factors that affect the process of relapse (Litman et al.,
1979, 1984; Wilson, 1980) and on the development of “relapse prevention” treatment
strategies (Annis, 1986; Marlatt & Gordon, 1985). Despite advances in substance use
treatment, relapse prevention continues to be a major issue (Hendershot et al., 2008).
Research on the effectiveness of well-established treatment approaches (e.g., cognitive-
behavioural therapy, dialectical behaviour therapy, interpersonal psychotherapy, 12-step
facilitation therapy, motivational enhancement therapy) points to their effectiveness in
reducing or eliminating substance use during the months following treatment, but also
shows that most people will return to pre-treatment behaviour patterns within the first
year (Project MATCH Research Group, 1997; Witkiewitz & Marlatt, 2007).
Relapse prevention treatments and strategies cannot reasonably be expected to
prevent all recurring substance use episodes; instead, these strategies help people make
small steps toward change. This fits with the current conceptualization of addiction as a
chronic relapsing disorder or as a chronic disease, with many similar features as other
chronic diseases, such as type 2 diabetes, cardiovascular disease and cancer (McLellan et
al., 2000; White et al., 2003).
Relapse essentially means failure to maintain behavioural change, rather than
failure to initiate it. Treatment approaches based on social learning theory (later termed
social cognitive theory), specifically Bandura’s theory of self-efficacy, hold that the strate-
gies that are effective in initiating a change in health behaviour (including substance
use) may be ineffective at maintaining that change over time and avoiding relapse
(Bandura, 1986, 2004). Definitions of relapse have evolved over time from a binary “all
or nothing” approach (where relapse is said to occur at the time of first drink or drug
use) to consider the nuances of quantity and frequency measures, lifestyle changes and
iterative progress in the direction of change (Maisto & Connors, 2006). From this stand-
point, relapse and relapse prevention are better understood as continuous processes as
opposed to discrete events.
This chapter examines the nature of relapse, along with some key questions: What
is relapse? How do we define it? Are there problems with the term “relapse” itself? We
then briefly outline a theoretical framework that attempts to explain relapse processes
(Witkiewitz & Marlatt, 2007), as well as key biological, psychological, social, structural
and spiritual factors that may affect relapse. In addition, highlights from the structured
relapse prevention manual-based approach (Herie & Watkin-Merek, 2006) provide some
key clinical tools for helping prevent relapse. Finally, we explore some of the research
and practice implications for relapse prevention with diverse client populations.
Chapter 10 Relapse Prevention 207
Backsliding is an old synonym for sin, and few would fail to grasp which
side of the relapse dichotomy is judged the more desirable. “Relapsed” has a
connotation of failure, weakness and shame, of having fallen from a state of
grace. Such overtones are likely to compromise self-regard and add needless
affective meaning to what is a rather common behavioral event. (p. 25)
Roozen and Van de Wetering (2007) argue that the term “relapse prevention”
should be changed to “relapse management” to better capture the neurobiological reality
of addiction as a chronic condition. More recently, Marjot (2010) suggested changing the
focus altogether, away from relapse and toward attachment (in this case, to substances
of abuse and addiction). Defining relapse—once thought to be straightforward—has
proven to be more complex.
Categorizing substance use treatment outcomes as either abstinent or non-
abstinent ignores the behavioural changes that may occur post-treatment. For example,
people may change the number of drinks they consume, the number of drinking days
and the frequency of binge use. They may also change their use of other drugs, includ-
ing prescription and over-the-counter drugs and tobacco, or they make improvements in
social functioning or relationships.
Ideally, a definition of relapse should consider multiple factors. Miller (1996)
identified the following factors:
• threshold (the amount of substance use)
• window (the period of time judged)
• reset (the period of abstinence required before a person can be considered to have relapsed)
• polydrugs (the types of substance use that constitute a relapse)
• consequences (behaviours and consequences associated with substance use required
before a person can be considered to have relapsed)
• verification (self-report or collateral reports).
208 Fundamentals of Addiction: A Practical Guide for Counsellors
Asking a client whether he or she had a relapse can be interpreted in many ways:
Did you drink (at all)? Did you drink above a certain threshold? Or, did you drink more
than the limit you had set for yourself? Did you use drugs other than alcohol that were
not identified as treatment targets? Was your alcohol use accompanied by any negative
or harmful consequences? It is also important to consider whether self-reported alcohol
use is corroborated by collateral information or biological measures.
That there is no single empirically or theoretically ideal combination of these
factors highlights the inherent ambiguity in the term “relapse,” and presents a
major challenge in understanding and applying relapse prevention research findings
(Bradizza et al., 2006). To confuse the issue even further, some studies distinguish
between a “lapse” (an initial setback), a “relapse” (a return to pre-treatment substance
use) and a “prolapse” (recovering from a relapse by making positive behaviour changes)
(Witkiewitz & Marlatt, 2007). Other studies apply quantitative measures to differentiate
lapses from relapses; for example, drinking at a level of 50 per cent or more consti-
tutes relapse and less than 50 per cent constitutes a lapse. On the other hand, in harm
reduction models, a lapse might be defined as any harmful consequences related to
alcohol or other drug use, such as conflict with a partner or missing work (Witkiewitz
& Marlatt, 2007).
Even if researchers and clinicians could develop and widely agree on a standard
definition, the criteria for determining whether relapse occurs might vary across differ-
ent substances. For example, any use of crack cocaine or injection drugs might constitute
relapse, whereas having a single beer or a single cigarette might be considered a lapse
(McKay et al., 2006). In the absence of a standard definition, McKay and colleagues
(2006) proposed the following definition as a way to include the diversity of research
findings on relapse and relapse prevention:
We have labeled any alcohol or drug use in a given period after an intake or
baseline assessment as a “relapse.” With this definition, relapse is indicated
by frequency measures of use that are greater than 0 for a given period
(e.g., % days of heavy drinking > 0) or biological markers of use . . . as well
as by assessments of specific episodes of use (e.g., a first smoking “lapse”
after a quit date). (p. 110)
of relapse should pay attention to three factors: (1) the person’s progress toward treat-
ment goals, including substance use, psychosocial or other goals; (2) the personal and
social consequences related to alcohol or other drug use; and (3) the person’s return to
the problematic behaviour (i.e., substance use).
For example, in the case of George that opens this chapter, the risk situation—
being in a bar—was exacerbated by unpleasant emotions (feeling stressed), conflict with
others (George’s mother) and social pressure to use (partying with friends who were also
drinking). Helping George to recognize the situations and triggers that put him at risk
is the first step in preventing relapse.
Instruments to assess risk across these domains were developed by Annis and
Martin (Inventory of Drug-Taking Situations [IDTS], 1985a; Drug-Taking Confidence
Questionnaire [DTCQ], 1985b), as well as by the Project MATCH Research Group
(1997). The relevance of these relapse precipitants is such that they are still commonly
used as questionnaire items in research trials (ElGeili & Bashir, 2005; Levy, 2008; Ramo
& Brown, 2008; Zywiak et al., 2006).
However, Marlatt’s original model (Marlatt, 1996; Marlatt & Gordon, 1980) has
some shortcomings. Relapse precipitants can be multidimensional and interact in
complex ways. Structural factors, such as substandard housing, limited occupational
opportunities, poor access to health care and poverty can also affect behavioural change,
as can motivation and ambivalence. Failure to cope may be evidence of a deficit in coping
skills, but not necessarily. Furthermore, the negative experience of a relapse can solidify
a person’s intention to change. Finally, neurobiological factors in addiction and craving
can have a considerable impact on craving and relapse risk. Marlatt’s taxonomy may not
sufficiently capture the “magic” of the substance, and (more importantly) a landmark
study designed to test this taxonomy—the Relapse Replication and Extension Project
(Lowman et al., 1996)—failed to support the predictive validity of these categories of
risk situations. There was a call for a reconceptualization of the theory to include both
interpersonal and intrapersonal relapse determinants, as well as a greater emphasis on
cravings (Marlatt & Witkiewitz, 2005).
These critiques have been addressed in recent years as the model has been
extended to encompass the temporal relationships among cognitive, behavioural, affec-
tive and biological processes affecting relapse (Witkiewitz & Marlatt, 2004, 2007).
Hunter-Reel and colleagues (2009) proposed a further extension to the model to
incorporate the mediating effects of social and structural factors on cognition, affect,
behaviour and biology.
In this extended version of Marlatt’s original model, relapse is viewed as a
dynamic process, where slight or seemingly insignificant changes or events may trigger
a downward spiral of craving, negative affect and decreased self-efficacy:
The sheer disaster of a relapse crisis after an individual has been maintain-
ing abstinence has bewildered patients, researchers and clinicians for years.
The symbolism of “falling from the wagon” provides an illustration of the
sudden, devastating experience of the chronic return to previous levels of
abuse. This experience is often followed by the harsh realization that getting
back on the wagon will not be as effortless as the fall from it. (Witkiewitz &
Marlatt, 2007, pp. 728–729)
Chapter 10 Relapse Prevention 211
Biological Factors
The effects of substance use on the brain have been well known for decades (Leshner,
1997). Recent research on the neurobiology of addiction suggests that long-term or
permanent changes in brain structures, particularly in the brain’s executive functioning
and reward systems, are a result of repeated drug administration (National Institute on
Drug Abuse, 2010). For example, people with cocaine use disorder experience neuroad-
aptations that affect learning and memory function, which in turn influences treatment
outcomes (i.e., leading to a greater likelihood of relapse) (Fox et al., 2009).
212 Fundamentals of Addiction: A Practical Guide for Counsellors
Research also supports the possibility that sex-related hormones affect relapse
risk: in one study, high progesterone levels in women, characteristic of the midluteal
phase (the days following ovulation), were associated with lower stress-induced and
cocaine cue–induced cravings, compared to women with low or moderate progesterone
levels (Sinha et al., 2007). In other words, fluctuating hormone levels in women who are
menstruating may contribute to the intensity of cravings or cue sensitivity.
Some of the most recent work on biological factors in relapse has focused on
genetic risks. Emerging evidence points to the likelihood that distal relapse risks are
largely influenced by genetic factors, and genetic variations may even influence sub-
jective experiences of drug cravings (Hendershot et al., 2008). For example, a recent
study found that a particular genotype predicted post-treatment alcohol relapse and
time to relapse (Wojnar et al., 2009). However, the literature on possible linkages
between specific genetic markers and treatment outcomes is still very new and more
research is needed.
Advances in technology, such as the ecological momentary assessment (EMA),
have made it possible to gather “real-time” subjective data on relapse occurrences, and
to compare these data to biological or genetic characteristics of study participants. EMA
technology provides individuals with an electronic device they can always carry with
them to record cravings and substance use episodes. Although still in an early stage,
these methodological advances in relapse research hold some promise in comparing
distal with proximal factors to increase our understanding of relapse processes and
interactions (McKay et al., 2006).
Psychological Factors
A number of personality variables may be associated with relapse risk. These include
negative cognitive style, feelings of inadequacy, ineffective coping, rigid personality style
and external locus of control (Chatterjee & Chattopadhyay, 2005; Gordon et al., 2006).
Assessing for these factors at intake can help with treatment planning and identifying
supports during and after treatment.
Another potential risk factor for relapse is anxiety sensitivity. This term refers to a
person’s fear of anxiety symptoms, and can be measured through a standardized scale.
Early smoking relapse has been shown to be strongly associated with anxiety sensitivity
in adult smokers (Zvolensky et al., 2007), where people with higher anxiety sensitivity
scores relapsed significantly sooner than those with lower scores.
Social learning theory posits that self-efficacy, a person’s expectancy or belief in
his or her ability to act in a certain way, is predictive of future behaviour. Research sup-
ports linkages between the ability to maintain abstinence and perceived self-efficacy as
a predictor of lapse and relapse (Gordon et al., 2006; Gwaltney et al., 2005), although
measures of self-efficacy may be compromised by self-report biases, such as impression
management or deception (Demmel et al., 2006). Motivation likely also plays a role,
with a strong association between high levels of motivation and short- and long-term
Chapter 10 Relapse Prevention 213
Social Factors
Social factors can both increase risk of relapse and protect against it (Hunter-Reel et al.,
2009). For example, the number of people in a person’s social network and the person’s
attachment to a circle of social supports are protective factors. Similarly, higher levels
of general and alcohol-specific support within the network and specific behaviours of
network members predict drinking outcomes (Hunter-Reel et al., 2009; VanDeMark,
2007). Even attending a self-help group is related to positive outcomes in the short term
(Mueller et al., 2007). Living alone and being single are risk factors that may be as—or
more—important as coping skills in relation to relapse (Walter et al., 2006). Experience
of chronic life stressors (e.g., in military settings) predicts post-treatment substance use,
as does drug availability (Tate et al., 2006).
Less well known are the mechanisms by which these factors influence alcohol or
other drug use behaviour, but it is likely that they interact with intrapersonal (psychologi-
cal and biological) factors in complex ways (Hunter-Reel et al., 2009). These findings
reinforce the importance of helping clients build robust social supports and networks
that are supportive of client goals during and after treatment.
finding a deeper meaning to one’s life can be important complements to more main-
stream treatment approaches (Davis & O’Neill, 2005; Harris et al., 2005).
In addition to traditional 12-step approaches to treatment that have an overarch-
ing spiritual component (Wilson, 1962), research and treatment that apply Buddhist
practices to relapse prevention, such as mindfulness meditation and mindfulness-based
cognitive therapy, have been gaining in popularity over the past decade (Breslin et al.,
2002; Marlatt, 2002; Vallejo & Hortensia, 2009; Witkiewitz et al., 2005; Zgierska et al.,
2008). For example, people can use mindfulness to monitor their urges and cravings,
and apply the Buddhist value of “non-attachment” to let go of cravings to use substances.
The first randomized-controlled trial comparing mindfulness-based relapse prevention
(MBRP) to treatment as usual found that people in the MBRP group had significantly
lower rates of substance use, greater decreases in cravings and increases in acceptance
and “acting with awareness” in the four-month post-intervention period (Bowen at al.,
2009). However, these results are preliminary and more research is needed (Zgierska
et al., 2009). As research support for the efficacy of mindfulness-based approaches to
relapse prevention grows, this promising practice is likely to continue to find its way into
mainstream addiction treatment programs.
Component 1: Assessment
Carrying out an initial assessment is not unique to SRP—any addiction treatment
program should begin this way. While various evidence-based brief screening and
assessment tools exist (e.g., see Health Canada, 2007; Herie & Watkin-Merek, 2006),
one assessment instrument in particular is important in preparing clients for SRP coun-
selling: the Inventory of Drug-Taking Situations ([IDTS], Annis & Martin, 1985a; Turner
et al., 1997). This tool helps to reveal the specific risk areas unique to each client, provid-
ing counsellors with a “road map” for areas to target in relapse prevention planning and
coping skills training.
The IDTS-8 is an eight-item assessment and treatment planning tool adapted
from the longer (50-item) version that gives a situational analysis of a client’s substance
use. The frequency of the client’s past drinking or other drug use is assessed, follow-
ing the classification system developed by Marlatt and Gordon (1985), across the eight
risk areas discussed earlier in this chapter (unpleasant emotions, physical discomfort,
pleasant emotions, tests of personal control, urges and temptations, conflict with others,
social pressure to use and pleasant times with others). Figure 10-1 shows the question-
naire, which is relatively quick and easy for clients to complete on their own.
216 Fundamentals of Addiction: A Practical Guide for Counsellors
Name: Date:
identifying causes
The first step in trying to change your substance use habits and patterns is to identify the reasons
that led to your use of alcohol or other drugs. Below are eight typical causes (“trigger situations”).
Think of your drinking or other drug use over the past year, and circle any
that apply to you.
1. unpleasant emotions (e.g., when I was angry, frustrated, bored, sad or
anxious)
2. physical discomfort (e.g., when I was feeling ill or in pain)
3. pleasant emotions (e.g., when I was enjoying myself or just feeling happy)
4. testing personal control (e.g., when I started to believe I could handle
alcohol or drugs)
5. urges and temptations (e.g., when I walked by a pub or saw something that
reminded me of drinking or drug use)
6. conflict with others (e.g., when I had an argument or was not getting along
with someone)
7. social pressures (e.g., when someone offered alcohol or drugs)
8. pleasant times with others (e.g., when I was out with friends or at a party).
In terms of how often I drink or use drugs in each of the above situations,
I would rank the “trigger situations” that I have circled above as follows:
1st (most frequent):
2nd (in frequency):
3rd (in frequency):
(Depending on time available at this session, the next exercise might be a take-home
assignment.)
Chapter 10 Relapse Prevention 217
areas of risk
Think about your drinking or other substance use in the last 12 months in each of the following
situations. If you NEVER drank heavily or used other drugs in that situation, you would circle “0.” If
you ALMOST ALWAYS drank heavily or used other drugs in that situation, you would circle “100%.”
If your answer falls somewhere in between, place an X along the line so that it shows about how
close to 0% or 100% you think is appropriate. In the example below, the X shows that the person
drank heavily or used other drugs a little less than half the time in a particular risk situation.
EXAMPLE
In the last 12 months I drank heavily or used other substances:
0% 25% X 50% 75% 100% = 48%
Never Almost always
In the last 12 months I drank heavily or used other substances
when I was e xperiencing:
1. Unpleasant emotions
0% 25% 50% 75% 100% = %
Never Almost always
2. Physical discomfort
0% 25% 50% 75% 100% = %
Never Almost always
3. Pleasant emotions
0% 25% 50% 75% 100% = %
Never Almost always
4. Testing personal control
0% 25% 50% 75% 100% = %
Never Almost always
5. Urges and temptations
0% 25% 50% 75% 100% = %
Never Almost always
6. Conflict with others
0% 25% 50% 75% 100% = %
Never Almost always
7. Social pressures
0% 25% 50% 75% 100% = %
Never Almost always
8. Pleasant times with others
0% 25% 50% 75% 100% = %
Never Almost always
Adapted from H.M. Annis & G. Martin (1985). Inventory of Drug-Taking Situations (4th ed.). Toronto: Addiction Research
Foundation.
218 Fundamentals of Addiction: A Practical Guide for Counsellors
and learn to use them effectively. Coping responses that the client may have used suc-
cessfully in other areas may be quite effective, with only minor alterations, in addressing
problematic drinking or other drug use situations. At this point in treatment planning,
the clinician’s task is to establish the client’s existing repertoire of general coping behav-
iours, personal strengths and environmental resources. The process of reviewing the
client’s repertoire should provide a better appreciation of the possibilities open to the
client, and should allow the client to focus on his or her strengths and successes rather
than failures.
Coping skills training is of key importance in SRP counselling, with a compre-
hensive array of exercises and homework assignments spread across treatment sessions.
The client selects priority areas for coping skills development from a list of topics, and
these are addressed during group or individual sessions or provided as homework
assignments. For example, during the early weeks of treatment, clients often choose to
work on coping with cravings, managing stress or increasing social support. Later treat-
ment sessions might address money issues, anger management or sexual relationships
and dating.
Finally, the client is informed of the program’s orientation and attendance require-
ments, the limits of client confidentiality and expectations for participation in planning
and doing homework. Other possible treatment options are also presented. The client
is then asked to decide whether he or she wishes to work toward change in substance
use by entering SRP counselling. Clinicians may choose to use a treatment contract to
formalize the client’s commitment to enter treatment.
The early weeks of changing your alcohol or other drug use can be a challenging time. We call
this early period of behaviour change the “Initiation Phase,” which can last for anywhere from
one month to much longer. Research has shown that “initiating” a change in your behaviour
is easier and more effective when you use some of the following powerful strategies.
• Think about what you have to lose if you don’t change. What are the factors “pushing” you
to change your drinking or drug use at this time?
• Think about situations that could arise and present a risk for you. Plan ahead of time what
you will do so that you aren’t caught off guard.
• Avoid risky places and friends who use alcohol or other drugs.
• Involve your spouse, another family member, or a trusted friend or sponsor.
• During the first couple of weeks of changing your drinking or other drug use, living in a
supportive environment can be especially helpful.
• If you want to stop drinking, consider discussing the use of alcohol-sensitizing or anti-
craving medication (e.g., Antabuse®, Temposil® or naltrexone) with your doctor. These
drugs can be a big help in getting you over those difficult first few weeks.
• Set a goal for your drinking or other drug use—make a commitment to yourself.
Below is some space for you to think about what you would like to accomplish in the coming
week and how you will do so.
GOAL:
Describe two substance use triggers that are For each of the two triggers, describe
likely to arise over the coming week: several coping strategies that you will be
Indicate the following: Where will you be? What prepared to use:
time of day? Who, if anyone, will be present? You may want to use some of the strategies listed
What will you be doing, thinking, feeling? above, or plan other ways of coping that will work
for you.
Chapter 10 Relapse Prevention 221
Congratulations! You’ve successfully made some changes in your drinking or other drug use.
The next step is to maintain those changes and prevent relapse. Research has shown that two
of the most powerful strategies for maintaining behaviour change are to:
1. take stock of all of the high-risk situations that you are likely to encounter as a natural part
of your lifestyle, and
2. gradually enter these situations, starting with a lower risk and working your way up.
The idea behind planning to enter situations in which you might be tempted to drink or
use other drugs is that, if these situations are likely to arise at some point, it’s better for
you to be in control of where and when they do. The following are more tips for maintaining
behaviour change.
• Experience each risk situation a few times before moving on to the next one.
• Make sure that you take the credit for success! For example, in the initiation phase of
change, we encouraged you to seek the support of others. Now that you are learning to
maintain change, it’s important for you to know that you can “do it on your own” if you
have to.
• Make sure that the situation you plan to enter is challenging, but not too c hallenging.
• If you are having difficulty with entering high-risk situations, you may be moving too
quickly. Take your time! You can always go back to using some of the initiation strategies
(like avoiding people, places and things, or relying on the support of others) until you feel
more confident.
Two powerful strategies to help maintain changes in your drinking or other drug use are
setting a goal and planning to enter risk situations. Below is space for you to plan what you
would like to accomplish in the coming week.
GOAL:
Planned experience:
When?
Where? Did you use? No Yes If Yes, how much?
Who present?
Coping plan (be specific, describe exactly what you What, if anything, might you try doing differently
will say and do, what you will be thinking, etc.): next time?
Chapter 10 Relapse Prevention 223
simple avoidance (Moos & Moos, 2007; Moser, 1993; Shiffman, 1985), clients in the
maintenance stage are encouraged to develop a broad repertoire of coping alternatives
that includes active as well as avoidant cognitive and behavioural coping responses.
and practice considerations to all clients. The points outlined in this section can act as
signposts for issues to be aware of; however, clinical practice should always be informed
by the unique needs and issues of each individual client.
Gender
In a review of research findings on relapse and gender, Walitzer and Dearing (2006)
found that studies of alcohol relapse have revealed various factors, including negative
mood, childhood trauma (especially sexual abuse), alcohol-related self-efficacy and
poorer coping, to be associated with greater likelihood of relapse; however, these factors
are not moderated by gender. Among men and women who are addicted to substances
other than alcohol, women have been shown to be less prone to relapse than men.
Marriage also affects relapse risk differently for men and women, possibly because of
partner differences. For example, women with alcohol use disorder are more likely to
have partners who are heavy drinkers, thus increasing their relapse risk. On the other
hand, marriage is a protective factor for men with alcohol problems.
Research has also shown that men tend to report more negative social influences,
greater exposure to substances and poorer coping skills than women (Walton et al.,
2001). Women may be at higher risk for relapse following negative emotions or personal
conflict, while men report positive experiences (pleasant times with others or pleasant
emotions) as particular relapse risks (Walitzer & Dearing, 2006).
In general, women tend to report better coping mechanisms than men (Walton
et al., 2001). Women also tend to see their substance use as secondary to more general
problems, such as anxiety and depression. As a result, women use medical and psychi-
atric services more frequently than men and perceive these services as more effective
(Osorio et al., 2002).
Youth
Few relapse prevention models focus on youth, although rates of post-treatment relapse
(the overall percentage of youth who are not able to maintain their substance use goals)
and time to relapse (the average time after treatment ends before a relapse occurs)
appear similar for both adults and youth (Chung & Maisto, 2006). Youth-specific treat-
ment approaches are important, given that young people face different developmental
processes and challenges. Some research has explored ways of adapting treatment mod-
els to better fit the needs of younger clients.
Relapse prevention for young people needs to focus on issues of youth-parent rela-
tionships and peer group membership, as these are central to the lives and experiences
of younger clients. Illicit substance use by youth is strongly related to parental support,
as well as parental awareness and monitoring of the whereabouts and activities of their
child (Miller & Plant, 2003). Peer influences, delinquency and re-offending behaviour
Chapter 10 Relapse Prevention 225
are also strongly associated with youth substance use (Roget et al., 1998). In some cases,
relapse prevention may need to include liaison with the juvenile justice system, or a
contract with a specific substance use treatment provider.
Clinicians need to make feedback personally relevant to young clients, and avoid
confrontation. Confrontation, with its authoritarian overtones, is especially likely to trigger
a rebellious response and is unlikely to promote a therapeutic alliance. In addition, cli-
nicians need to encourage young clients to actively prepare for relapse and to practise
coping strategies. First Contact is a brief, four-session intervention adapted especially for
youth (Breslin et al., 1999). This manual-based approach combines elements of cognitive-
behavioural and motivational interviewing approaches, and includes brief screening
tools, personalized feedback and exercises to identify and plan for high-risk situations.
Given that many young people with addiction issues also experience other co-occurring
problems, a treatment approach like First Contact can be a good way to engage them in
a process for changing their substance use and enhance their motivation before address-
ing other specialized or long-term needs. Groups are the most widespread modality used
with youth, due to the influence that pro-social peers have on one another and the greater
opportunity for social skills training and development (Mason & Hawkins, 2009).
An important component of relapse prevention strategies with youth is the
development of a behavioural contract, in this case a “relapse contract.” This contract
is created by all parties involved and might include family rules, school or job require-
ments, probation requirements, treatment attendance, urinalysis, social supports and
relapse consequences. Any relapse episodes need to focus on what can be learned, as
“learning by doing” is important in this stage of life.
Older Adults
Most research exploring relapse has focused across the adult age range rather than
specifically on older adults. However, a few differences in treatment outcomes for older
adults have been noted (Barrick & Connors, 2002). For example, high-risk situations
among older adults tend to involve intrapersonal issues more frequently than among
younger adults (Barrick & Connors, 2002). In addition, several age-specific issues have
been found to be relevant to relapse prevention in older adults. Negative emotional states
related to anxiety, interpersonal conflict, depression, loneliness, loss and social isolation
constitute the highest-risk situations. Retirement, the death of a partner or child and the
stressors of aging represent a risky time for alcohol or other drug use. Cognitive impair-
ments associated with aging, no matter what the etiology, need to be assessed and taken
into consideration in relapse planning for older adults (Barrick & Connors, 2002).
Schonfeld and colleagues (2000) evaluated a 16-week relapse prevention program
called Get Smart and found that cognitive-behavioural programs that focus on identify-
ing high-risk situations, coping skills and relapse plans worked well with older clients
who have significant medical, social and substance use problems.
226 Fundamentals of Addiction: A Practical Guide for Counsellors
Ethnocultural Factors
Many treatment programs have difficulty attracting and retaining clients from diverse
ethnocultural communities. Language, treatment philosophies and methods, clinician
demographics and lack of agency knowledge or awareness of cross-cultural counselling
implications create systemic barriers for many clients. Other factors, such as settlement
experience, norms and values around substance use, or experiences of marginalization and
discrimination, can also present significant barriers to treatment access and engagement.
Increasingly, the literature indicates that clinicians need to develop competence
in working with clients from diverse racial, cultural, ethnic and religious backgrounds
(Srivastava, 2007; Straussner, 2002). Ethnocultural competence, defined as “the ability of
a clinician to function effectively in the context of ethnocultural differences” (Straussner,
2002, p. 35) is a critical skill in applying relapse prevention strategies and techniques.
It is important to recognize that “talk therapy” may not be normative in many
cultures; some clients may find it difficult to share personal issues with a clinician from
a culture they do not know well. Group treatment may make it difficult for members of
some ethnocultural groups to disclose personal information, necessitating individual
counselling in some cases. However, relapse prevention treatment targeted at individual
clients may not be a good fit for people whose culture values family and community
over “rugged individualism.” Mainstream western culture has a more individualistic and
personal growth world view than many other cultures that have collective and different
experiences of history, values and social and family structures (Blume & de la Cruz,
2005). In some cases, family counselling might be a more appropriate way to address
substance use and relapse.
Although some research has been carried out on substance use patterns and
issues in different cultural groups, caution needs to be exercised in drawing particular
clinical implications from this work, given the heterogeneity of ethnocultural groups. In
addition, more research is needed to help develop relapse prevention approaches specific
to different populations.
Indigenous Populations
Little research exists regarding relapse prevention applications for indigenous popula-
tions. One study exploring predictors of relapse among a sample of American Indian
women found that negative messages about alcohol or other drug use in childhood and
high self-efficacy were significant protective factors, and alcohol craving, conflict with
others and social networks where alcohol was used were risk factors (Chong & Lopez,
2008). These relapse precipitants and protective factors are not dissimilar to those
identified among general treatment populations (e.g., Gordon et al., 2006; Witkiewitz &
Marlatt, 2007). Again, however, these research findings should be interpreted with cau-
tion, and may not be applicable to specific clients in specific First Nations communities.
Chapter 10 Relapse Prevention 227
Sexual Diversity
There is very limited research about relapse prevention specific to lesbian, gay, bisexual,
transsexual or transgendered people. However, as with all counsellor-client interactions,
mutual respect, unconditional positive regard and attentiveness to the client’s issues and
goals should be paramount. Clients from sexually diverse groups often have issues relat-
ing to discrimination (homophobia, biphobia, transphobia), coming out, openness about
sexual orientation or gender identity, family issues, involvement in the community and
body image (Barbara et al., 2002). See Chapter 25 for specific suggestions on how to be
intentionally inclusive with these client populations.
Increasing recognition of the high co-prevalence rates of substance use and mental
illness means that clinicians need to routinely screen for the presence of a concurrent
disorder. (This is discussed in more detail in Chapter 16.) Ignoring or not properly rec-
ognizing concurrent disorders can affect clients’ ability to recover successfully. Herie and
colleagues (2006) identify various negative effects, including:
• premature dropout from treatment
• higher risk of relapse
• risk of harmful interactions between drugs of abuse and psychiatric medications
• misinterpretation of symptoms (e.g., are they signs of a mental health problem, the
effects of substance use or signs of withdrawal from substances?)
• likelihood of needing more expensive services in future.
Various factors have made it difficult for agencies and health care settings to
respond adequately to the needs of people with concurrent disorders: lack of specialist
knowledge and skills in addiction, mental health or both; limited access to special-
ist diagnostic and other treatment services and providers; agency exclusion criteria;
problem complexity; and fragmented treatment systems. Nevertheless, people with con-
228 Fundamentals of Addiction: A Practical Guide for Counsellors
current disorders are often best served where they present and, at the very least, within
the context of an integrated treatment program or system (Health Canada, 2002).
To better empower clients in fostering a more helpful mindset about managing
relapses, it is useful to normalize the idea that relapses occur in both substance use
and mental health domains, and then attempt to help clients identify personalized
“early warning signs” that their mental health is deteriorating. For example, indica-
tions of depression might include wanting to withdraw socially, beginning to lose
interest in activities previously enjoyed and experiencing an increase in negative or
pessimistic thinking.
Once the client becomes aware of these early warning signs, or red flags, encour-
age the client to develop strategies for coping and intervening early on in the cycle.
Such interventions might include relaying symptoms to a caregiver and implementing
personal coping strategies, such as using good self-care strategies and seeking social
support, with the overall goal of circumventing a full relapse. Relapse prevention goals
might include:
• working on a substance use goal of abstinence or reduction
• having slips less often, and having shorter-lasting slips should they occur within an
abstinence-based goal
• using less of the problem substance (if used at all), and having fewer negative conse-
quences associated with substance use
• recognizing the impact of substance use on mental health
• learning and recognizing early warning signs for mental health relapse
• developing and using an action recovery plan that can be implemented and practised
in the real world, in between SRP sessions, which aims to support the maintenance
of change.
People with severe mental illness may be more sensitive to the effects of alcohol
and other drugs due to increased biological vulnerability, and therefore may experience
more negative consequences from relatively small amounts of substance use. Thus,
moderate use (e.g., two beers three times per week, or $20 worth of crack cocaine used
once every few weeks) in someone with schizophrenia may result in negative conse-
quences (such as increased psychotic symptoms) or dramatically increase the risk of
more severe substance use. A key message when working with clients with serious and
persistent mental illness is that the quantity of the substance use may be less important
than the consequences. This is especially true in light of possible interactions between
non-prescribed or illicit substances or alcohol and psychiatric medications.
A number of modifications may be helpful in running relapse prevention groups
with clients who have concurrent disorders. These include implementing shorter group
duration; using fewer clinical tools per treatment session; modifying clinical tools to
incorporate concurrent disorder–specific treatment goals (e.g., taking prescribed medi-
cations, coping with the symptoms of mental illness or the side-effects of prescribed
medications); taking more time in the group to process discussion around access to
Chapter 10 Relapse Prevention 229
services and navigating the mental health and addiction treatment system; and making
homework tools easier and simpler to complete (Herie et al., 2006).
Conclusion
This chapter has highlighted a number of clinical issues and considerations in address-
ing relapse to substance use. Treatment approaches must be considered against a
backdrop of evolving research findings and theory, including recent research on the
neurobiological factors, and extensions to theoretical models. These advances will likely
affect—and perhaps challenge—mainstream approaches in the years to come. At this
time, cognitive-behavioural treatments informed by social learning theory, such as the
SRP model, demonstrate robust empirical support and can be used effectively with
a variety of clinical populations. It is critical to ensure that relapse prevention strate-
gies are tailored to the unique needs of clients and that the particular issues of diverse
populations are considered. Relapse prevention is just one part of a more complex set
of clinical considerations, but it can constitute an entry point and beginning of positive
change and recovery.
230 Fundamentals of Addiction: A Practical Guide for Counsellors
Practice Tips
Resources
Publications
Herie, M. & Watkin-Merek, L. (1997). Structured Relapse Prevention: An Outpatient
Approach to Group Treatment (Video). Toronto: Addiction Research Foundation.
Herie, M. & Watkin-Merek, L. (2006). Structured Relapse Prevention: An Outpatient
Counselling Approach (2nd ed.). Toronto: Centre for Addiction and Mental Health.
Substance Abuse and Mental Health Services Administration. (2010, October 14). The
N-SSATS Report: Clinical or Therapeutic Approaches Used by Substance Abuse Treatment
Facilities. Rockville, MD: Author. Retrieved from www.oas.samhsa.gov/2k10/238/238
ClinicalAp2k10Web.pdf
Chapter 10 Relapse Prevention 231
Internet
Addictive Behaviors Research Center, University of Washington
http://depts.washington.edu/abrc/
Alan Marlatt lecture on mindfulness-based relapse prevention
www.youtube.com/watch?v=3ri2YBoApIg
Alcohol Help Center
www.alcoholhelpcenter.net/Default.aspx
Centre for Addiction and Mental Health. (2006). Overview of structured relapse
prevention. Retrieved from http://knowledgex.camh.net/amhspecialists/
specialized_treatment/relapse_prevention/srp/Pages/default.aspx
Mindfulness-Based Relapse Prevention
www.mindfulrp.com
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Chapter 11
Raisa began using substances at a very early age. She grew up in a small
town in northern Ontario with her mother, who has bipolar disorder, and
her stepfather, who drank heavily and was often unemployed. Her stepfather
began sexually abusing Raisa when she was 11 years old. Around the same
time she began smoking. To cope with the ongoing abuse, Raisa started
drinking at age 12 and started experimenting with other drugs by age 15. She
eventually dropped out of school and ran away from home to Toronto in
order to escape her abusive stepfather.
Raisa is now 35 years old, homeless and addicted to alcohol, opioids and
crack cocaine. She often smokes up to 70 cigarettes a day. She is being
treated as an inpatient at a local mental health and addiction centre as a
consequence of a recent suicide attempt. The centre is a smoke-free environ-
ment, and Raisa is finding it very difficult to get through the day without
smoking many cigarettes because she can only go outside for a cigarette
three times a day. Even with these breaks incorporated into her schedule,
Raisa has been caught smoking in her room and seems frustrated, angry,
anxious and restless.
Raisa is one of many people for whom tobacco was the first drug of addiction. More
importantly, tobacco use is often the last to be addressed, yet has the highest risk of mor-
bidity and mortality. It is clear that being given limited designated times to smoke does
not work for Raisa. She is likely experiencing nicotine withdrawal, leading her to smoke
in her room despite the rules on the unit. This is also jeopardizing her treatment—she
has been warned that if she continues to smoke on the unit she will be discharged.
The issue of tobacco use among people with mental health and substance use
problems is not new or unique; yet comprehensive, evidence-based, integrated cessa-
tion or withdrawal management interventions are not uniformly available for clients
who smoke. Raisa’s tobacco addiction is as much of a concern as the other substance
use and mental health issues that led her into treatment. Tobacco is the primary cause
240 Fundamentals of Addiction: A Practical Guide for Counsellors
of p
reventable death in the developed world. It continues to remain Ontario’s number
one drug problem, accounting for 42 per cent of drug-related costs to the economy, 59
per cent of drug-related hospital days and 86 per cent of all drug-related deaths (Rehm
et al., 2006). Among people entering addiction treatment, smoking prevalence remains
disproportionately high, ranging between 49 and 98 per cent (Schroeder, 2009). In a
review of the addiction treatment literature, Guydish and colleagues (2011) found that
people who smoke and who also have other addictions smoke more heavily, are less suc-
cessful in their attempts to quit smoking and are more likely to die from tobacco-related
causes than from all other substance-related causes combined. In addition, tobacco is
the leading cause of death among people with addiction and/or mental health prob-
lems (Hurt et al., 1996). These findings suggest that although clinicians in addiction
treatment settings may be helping clients reduce the risks associated with using other
substances, failing to address clients’ tobacco use means overlooking their area of poten-
tially highest risk. Tobacco cessation warrants a significant systematized response from
addiction treatment programs.
Although the benefits of smoking cessation are well known, substance use treat-
ment programs often overlook the opportunity to motivate and counsel clients to quit.
Treatment providers frequently believe that it is unrealistic to counsel clients to address
tobacco use at the same time as dealing with another substance use problem. They
know that quitting smoking can, for most clients, be even more difficult than giving up
the substance for which they are seeking treatment (Kozlowski et al., 1989; Ziedonis
et al., 2007). However, a significant number of clients in substance use treatment are
willing to accept treatment for tobacco use (Joseph et al., 2004; Prochaska et al., 2007;
Schroeder & Morris, 2010), and substance use counsellors may be ideally situated to
offer this treatment. Furthermore, addressing smoking may help to improve the success
of substance use treatment (Kohn et al., 2003; Prochaska, 2010).
In this chapter, we examine the rationale and importance of integrating tobacco
cessation interventions with other substance use treatment. We discuss the evidence for
intervening with this population and describe a humanistic framework for addressing
tobacco use. Our goal is to help counsellors motivate and counsel their clients to quit
smoking and engage in relapse prevention. We encourage behaviour change among
counsellors themselves so they will increasingly see smoking cessation treatment in
addiction settings as a standard of care and a duty of practice, akin to that for any other
substance use problem (Torrijos & Glantz, 2006).
Chapter 11 Tobacco Interventions 241
table 11-1
Health Effects of Smoking and Environmental Tobacco Smoke Exposure
CANCER
• lung (85 per cent of lung cancers occur in smokers; one in 20 smokers will
develop lung cancer)
• mouth, tongue, larynx and pharynx, stomach and bladder
CARDIOVASCULAR DISEASE
• heart attacks (smoking accounts for 40 to 45 per cent of heart attacks in people
under age 65)
• strokes
• peripheral vascular disease
LUNG DISEASE
• gingivitis
• tooth loss
• bad breath
EFFECTS IN WOMEN
• osteoporosis
• breast cancer (controversial)
• adverse health effects in pregnancy for mother and fetus
EFFECTS ON SKIN
• burns
• poor wound and fracture healing
• gastro-esophageal reflux disease or acid reflux
• deafness
• age-related blindness (number one cause of blindness in Canada)
• dementia
Sources: Bartecchi et al., 1994, 1995; MacKenzie et al., 1994; West & Shiffman, 2007.
Chapter 11 Tobacco Interventions 243
Cigarette design
Cigarettes consist of a tobacco column made from shredded tobacco leaf,
reconstituted tobacco (other parts of the tobacco plant that have been
crushed, made into sheets and shredded) and puff tobacco (loose-leaf
tobacco that has been freeze-dried with ammonia and Freon to double its
volume). Although Canadian cigarettes do not contain additives, or reconsti-
tuted or puff tobacco, they are not safer than American cigarettes.
Although the tobacco plant is sacred among some First Nations, it is not
revered by all groups or by the Inuit (Von Gernet, 2000). However, more than
70 per cent of Inuit people smoke and Inuit women have the highest rates
of lung cancer compared with other populations on a global scale (Herie &
Skinner, 2010)
The Métis population also has a higher smoking rate than the general
Canadian population. In 2006, 31 per cent of Métis adults smoked daily,
down from 37 per cent in 2001 (Janz et al., 2009). Additionally, 61 per cent of
Métis adults were non-smokers in 2006, compared with 54 per cent in 2001
(Janz et al., 2009).
revalence of smoking may be as high as 85 to 90 per cent (Sullivan & Covey, 2002) and
p
is often also high among treatment providers.
In terms of alcohol use and smoking, a large U.S. general population study found
that the incidence of smoking increases with the amount of alcohol consumed (Dawson,
2000). Smoking was found in 22.5 per cent of lifetime alcohol abstainers, 27.6 per cent
of non-abstainers, 53 per cent of heavy drinkers and 55.5 per cent of people with a diag-
nosis of either alcohol abuse or addiction in the past year.
Another U.S. population-based study found that 71 per cent of people who used
illicit drugs also smoked (Richter et al., 2002). The study showed that the likelihood of
smoking increased with the number of drugs used. Those who reported using more than
one drug were 2.4 times more likely to smoke than those who used only one drug. Also
in the United States, a study of 452 injection drug users found that 91 per cent smoked
(Clarke et al., 2001). This association between substance use and smoking has been
observed in an Australian study (Degenhardt & Hall, 2001).
The reasons for the association between substance use and smoking are complex.
Research tells us that substance use corresponds with increased smoking. In labora-
tory studies, the administration of opioids, alcohol, cocaine, caffeine or amphetamine
increased the amount of tobacco participants smoked (Spiga et al., 1998). Conversely,
smoking can also increase cravings for other substances. In cocaine users, exposure
to tobacco in the presence of cocaine cues leads to more intense cravings for cocaine
(Epstein et al., 2010; Reid et al., 1998). Schoedel and Tyndale (2003) demonstrated that
when people drink they may be able to smoke many more cigarettes, and when they
smoke, they may be able to drink more. This is because alcohol and nicotine reciprocally
enhance drug metabolism and elimination.
This complex association suggests that quitting smoking may be difficult for
people who are actively drinking. However, the current literature on alcohol treatment
and concurrent smoking indicates that “concurrent tobacco dependence treatment does
not jeopardize alcohol and non-nicotine drug outcomes” (Kalman et al., 2010, p. 6). As
a general guideline, people can and should attempt to quit both substances together,
assuming they are ready to do so.
In a study of 1,007 young adults who smoke, those with an active alcohol prob-
lem in the preceding year were 60 per cent less likely to quit smoking than those who
did not have an alcohol problem. However, if the alcohol problem was inactive, the
person was as likely to quit smoking as someone without an alcohol problem (Breslau
et al., 1996). Moreover, a study of 100 smokers attending a tobacco dependence clinic
showed that those entering tobacco treatment who had a history of recent illicit drug
use were less likely to be successful in tobacco cessation treatment (Stapleton et al.,
2009). Investigators noted that initially illicit drug users appeared to be as motivated to
quit smoking as non–illicit drug users. However, continued use of illicit drugs under-
mined their quit process. These findings strengthen the notion that active illicit drug
use appears to have a significant effect on the success of attempting to stop smoking.
Protocols that focus on concurrent treatment may be the most effective approach in
cases of active illicit drug use.
Although only 25 per cent of clients may be willing to quit smoking while they
undergo treatment for other substance use, many are willing to explore the issue
(Bernstein & Stoduto, 1999; Campbell et al., 1998; Schroeder & Morris, 2010).
Furthermore, if tobacco use is not addressed during treatment for other substance
use problems, there is a possibility that clients who currently do not smoke may initiate
or relapse to smoking. In Kohn and colleagues’ (2003) study of a substance use treat-
ment program where smoking was not addressed, about 12 per cent of clients either
started to smoke or relapsed to smoking.
Several studies have shown that quitting smoking during substance use treatment can
increase rates of abstinence from alcohol and other drugs (Bobo et al., 1987; Joseph et al.,
2004; Kohn et al., 2003; Lemon et al., 2003). Kohn and colleagues (2003) measured the
effect of smoking on substance use treatment prognosis in terms of the number of days
clients were abstinent. The longest period of abstinence occurred with clients who quit
smoking after they began treatment (311 days) and with those who did not smoke when
they began treatment (295 days). The shortest period of abstinence was found among cli-
ents who continued to smoke (258 days) or who started or resumed smoking (247 days)
(Kohn et al., 2003). Quitting smoking during treatment for drugs other than alcohol has
also been shown to reduce drug cravings (Campbell et al., 1995; Lemon et al., 2003).
Clients in substance use treatment may be more motivated and confident about
changing their use of substances other than tobacco, and seeking to address smoking
may affect treatment retention. Stotts and colleagues (2003) found that clients who
248 Fundamentals of Addiction: A Practical Guide for Counsellors
chose to change only their alcohol use were more likely to stay in treatment than clients
who chose to change their smoking and drinking concurrently. However, the study did
not determine why clients who chose to quit both alcohol and tobacco were more likely
to leave treatment prematurely. These results should be interpreted with caution because
the study examined only a small sample of clients, who may not be representative of
general addiction treatment populations. In addition, clients with polysubstance use and
more complex problems may be more likely to drop out of treatment, regardless of their
smoking status or tobacco use goals (Dutra et al., 2008).
Other studies show that counselling clients to quit smoking during substance
use treatment does not interfere with treatment success. Prochaska and colleagues
(2004) conducted a meta-analysis of randomized controlled trials to evaluate tobacco
dependence treatment for people with concurrent substance use. They found that cli-
ents who received tobacco dependence treatment were 25 per cent more likely to achieve
long-term abstinence from alcohol and illicit drugs. These findings suggest that clinical
treatment of tobacco dependence does not interfere with other addiction treatment and
may actually enhance treatment outcomes (Prochaska, 2010).
Clients in substance use treatment may also have underlying comorbid condi-
tions that could affect treatment delivery. For example, depression can interfere with
a person’s ability to quit smoking (Kenford et al., 2002; Lerman et al., 2002; Patten
et al., 2001). The risk of major depression can be seven times higher in those with a
history of major depression who attempt to quit smoking (Glassman et al., 2001). In a
Canadian study of 161 men and women in early recovery from alcohol problems, Currie
and colleagues (2001) found that clients were more likely to use cigarettes to manage
depression. Identifying and treating concurrent disorders is an essential component of
developing effective treatment plans for clients with substance use and other issues.
(Treatment approaches for concurrent disorders are discussed in Chapter 16.)
In general, addressing smoking in clients with alcohol and other drug problems is
safe and beneficial. A prospective study led by Kohn and colleagues (2003) evaluated the
impact of smoking status on treatment outcomes for clients seeking treatment for alcohol
and illicit drugs. At 12-month follow-up, clients who had quit smoking during treatment
were more likely to have remained abstinent from alcohol and illicit drugs. The evidence
suggests that clients in substance use treatment who are ready to quit smoking should
receive intensive smoking cessation treatment. However, if a client is having difficulty cop-
ing with the physical and emotional impact of quitting smoking, it may be prudent for the
counsellor to discuss delaying the quit attempt until the client feels more stable.
Drinking affects the ability to quit smoking and is also a risk factor for relapse to smok-
ing. This may be due to the association of drinking with smoking, the loss of inhibition
caused by alcohol, the environment in which both may be consumed or some other
unknown factor.
Chapter 11 Tobacco Interventions 249
In studies assessing the effects of substance use on smoking cessation, past sub-
stance use history did not affect the ability to quit or remain abstinent from smoking
(Abrams et al., 2003; Humfleet et al., 1999). However, even low to moderate alcohol use at
any time predicted relapse to smoking. Marijuana use did not predict relapse to smoking.
Kalman and colleagues (2002) found that the ability to quit smoking appears to be
related to the length of time the person has abstained from alcohol. People who had been
abstinent for a long time did not differ from the general population in their ability to quit
smoking, which was between 20 to 30 per cent of those who quit in the action stage.
Such findings suggest that abstinence from substances increases the chances of
quitting smoking. Conversely, it also appears that quitting smoking can increase the
chances of abstinence from other substances.
treatment for people receiving methadone maintenance therapy, Okoli and colleagues
(2010) found that tobacco dependence treatment did not increase or worsen substance
use, and that most interventions resulted in reduced smoking. These findings suggest
that even people with more severe and complex substance use problems can quit
smoking when cessation interventions are offered as part of an integrated, holistic sub-
stance use treatment approach.
of funding, agency mandates that exclude tobacco cessation, and lack of knowledge
and skills. The three most common myths are that people in substance use treat-
ment are not motivated to quit smoking, that they will relapse to other drug use if
they attempt to quit, and that they are unable to quit (Campbell et al., 1995; Teater &
Hammond, 2009; Ziedonis et al., 2007). Many counsellors feel that clients should not
try to take on too much at once or that requiring clients to quit smoking will prevent
them from attending treatment for their other substance use problems (Ziedonis et
al., 2006). The smoking status of the counsellor is another barrier (practitioners who
smoke are less likely to offer tobacco dependence treatment), although many clients
do not think it affects the counsellor’s ability to be an effective clinician (Bernstein &
Stoduto, 1999; Ziedonis et al., 2007). In addition, clinicians may not address tobacco
use because it does not visibly impair the user and its effects become evident only in
the long term (Bartecchi et al., 1995).
However, long-term health is not the only reason to focus on tobacco dependence
concurrently with other substance use treatment: people in nicotine withdrawal may
smoke other smokers’ cigarette butts, putting themselves at risk for communicable
diseases such as tuberculosis (Aloot et al., 1993), or they may commit crimes to obtain
cigarettes (DiFranza & Coleman, 2001).
Addiction counsellors are uniquely situated to intervene because they are knowl-
edgeable about principles of recovery, are seen as credible sources for treating addiction
and often have long-term therapeutic relationships with their clients (Currie et al., 2003;
McFall et al., 2005). Moreover, while addiction counsellors may hesitate to ask clients
about their smoking or to advise them to quit (Friend & Levy, 2004), they are in fact
experts in behavioural change strategies that could be used to help clients quit smoking
(Schroeder & Morris, 2010). By simply applying the knowledge and skills they already
use on a daily basis to the context of smoking cessation, counsellors can have a profound
effect on the health and well-being of their clients.
Strategies to help overcome some of the barriers to smoking cessation treatment
include policy changes at the treatment system and agency levels, staff training with
ongoing coaching and support, and access to counselling and medical services to help
both staff and clients stop smoking (Bernstein & Stoduto, 1999; Campbell et al., 1998;
Knudsen et al., 2010; Teater & Hammond, 2009).
Staff should not be allowed to smoke with clients; ideally, they would be offered
help to overcome their own addiction to tobacco. Management can also help arrange
treatment for staff members interested in quitting smoking through on-site programs
or employee assistance programs (Moher et al., 2003). Currently, many jurisdictions
have free telephone quit lines and web-based resources to help people stop smoking.
Management can also ensure they budget for smoking cessation medications, since
many staff may not be able to afford them on their income, or their employee benefits
program may be inadequate. Integrating smoking cessation into the values and mission
of the treatment agency is also important.
Smoke-Free Policies
Smoke-free policies and indoor spaces help people quit smoking (Stephens et al., 2001).
Fortunately, policies and bylaws that protect people from environmental tobacco smoke
are now more commonplace, and many buildings are smoke free. Many addiction treat-
ment facilities do not permit smoking indoors, but clients are free to smoke outside.
More progressive facilities do not permit smoking anywhere on the property and require
clients who smoke to participate in a cessation program. At a minimum, tobacco-use
policies should address where smoking is permitted on the property, whether tobacco
products are allowed on inpatient units and ways of responding to clients who do not
follow the policy. These policies should also include interventions to address smoking by
clients and staff, and should establish appropriate boundaries about staff smoking with
clients and clients’ tobacco use during breaks in treatment sessions.
Implementing smoke-free policies in addiction treatment settings can be a chal-
lenge, as counsellors do not always feel equipped to provide tobacco cessation treatment
and support. Moreover, some clients regard smoke-free policies as unnecessarily puni-
tive, or view tobacco use as a coping strategy they use while they try to reduce or quit
other substances. A multi-pronged approach to organizational change—including sup-
port from management and administration, staff training, clear communication and a
menu of treatment options for clients and staff—is key to successfully implementing
and rolling out smoke-free policies in addiction treatment settings.
The Addressing Tobacco through Organizational Change (ATTOC) model is one
example of a comprehensive approach to smoke-free policy implementation (Ziedonis et
al., 2007). The model’s primary goal was to address tobacco in addiction treatment settings
by providing staff training, offering treatment for staff and clients, and supporting the
organization in preparing for change. Willamette Family Treatment Services (WFTS), the
largest treatment centre in Oregon, decided to implement smoke-free grounds for staff and
created designated smoking areas for client use. Initially, staff and clients were resistant to
the policy, and were concerned that the “right to smoke” would be truncated (Ziedonis et
al., 2007). To address this issue, WFTS formed a leadership committee focused on tobacco
that included staff from every clinical program. This inclusive committee facilitated staff
Chapter 11 Tobacco Interventions 253
training, provided resources and smoking cessation medication to staff and clients, and
kept the organization informed of the policy’s implementation by maintaining open com-
munication. WFTS reported that the ATTOC model not only facilitated a gradual shift in
the centre’s tobacco culture; it also made the transition to being smoke free as seamless
as possible (Ziedonis et al., 2007). Using a model such as ATTOC that supports organiza-
tional change makes the implementation of smoke-free policies less of a challenge.
In Canada, the Centre for Addiction and Mental Health (CAMH) became a
smoke-free facility in 2005, prohibiting smoking inside all buildings and within nine
metres of all entrances. The policy also introduced a nicotine replacement therapy order
sheet, order sets and medical directives, and prohibited client smoking rooms. In 2011,
CAMH extended the smoke-free policy to include no smoking of any kind by clients,
family members, staff, volunteers or any visitors to CAMH’s main facilities, except in
designated areas.
The policy’s implementation strategy has focused on three dimensions: clients,
staff and the community (CAMH, 2011, internal corporate communication). Clients
are offered cessation counselling and medications, recreational programming and
other supports, as well as education about the policy. Staff members are offered train-
ing and resources on the policy, and support is offered for those interested in quitting.
The community has provided extra receptacles for cigarette butts and has implemented
provisions for cleaning up extra litter on surrounding public property. Consultation and
open communication are another important part of the policy and allow staff to voice
their concerns, suggestions and support of the policy at any time. Despite anticipated
challenges with implementation and enforcement, the transition to a smoke-free CAMH
has been steady (CAMH, 2011, internal corporate communication).
Staff Training
There is evidence that counsellor training about smoking cessation coupled with client
education significantly changes clients’ attitudes and readiness to quit smoking as part
of their treatment plan (Knudsen & Studts, 2010; Perine & Schare, 1999). Staff attitudes
are likely to change with a comprehensive approach that includes policy change and staff
education (Campbell et al., 1998; Teater & Hammond, 2009).
Clinicians are often hesitant to engage clients in smoking cessation interven-
tions because they feel they lack the skills and training (Sarna et al., 2000; Twardella
& Brenner, 2005; Vogt et al., 2005). Evidence-based training programs designed to
enhance clinician knowledge and skills in delivering tobacco cessation interventions can
help instil confidence.
In Canada, an initiative that has become the benchmark for intensive cessa-
tion counselling is the TEACH project (Training Enhancement in Applied Cessation
Counselling and Health). Funded by the Ontario Ministry of Health and Long-Term Care
as part of the Smoke-Free Ontario Strategy, TEACH is a knowledge translation project
254 Fundamentals of Addiction: A Practical Guide for Counsellors
1. Ask
All substance use treatment clients should be screened for tobacco use and their interest
in quitting (2008 PHS Guideline, 2008). Counsellors should record the types of tobacco
products used, along with the quantity and frequency of use. The level of nicotine depen-
dence can be measured using the Fagerström Test for Nicotine Dependence (Heatherton
et al., 1991) or the Cigarette Dependence Scale (Etter et al., 2003). These tests guide
the use of nicotine replacement therapy. For people who smoke less than 10 cigarettes
per day or who smoke occasionally, behavioural treatment and advice may suffice. For
people who are heavily dependent, intensive counselling and medications may be neces-
sary. Those who have quit should be congratulated and supported in maintaining their
cessation while in treatment and during aftercare. They should also be advised to avoid
environmental tobacco smoke.
smoking abruptly without first consulting a doctor or pharmacist to make sure the
medication dose does not need to be adjusted. Exploring past quit attempts helps coun-
sellors understand the person’s level of dependence, psychological and social strengths,
successful behaviours and strategies used in past quit attempts and relapse triggers.
Since it often takes four to 11 attempts to stop smoking completely, educating clients
about smoking cessation as a process rather than an event helps build hope in those who
have tried but not yet succeeded in quitting, and who may experience a sense of failure.
Clients with a history of major depression should be evaluated with a depression
rating scale such as the Patient Health Questionnaire (PHQ-9) (Spitzer et al., 1999) or
the Beck Depression Inventory (Beck & Steer, 1987). If a client is currently depressed, it
is important to treat the depression while or before the client attempts to quit smoking.
For a client who is not currently depressed, it is important to monitor depressive symp-
toms while the person is attempting to quit smoking.
Ask also about medical symptoms. People who smoke are more likely to report
respiratory, cardiovascular, gastrointestinal, and nose and throat problems.
2. Advise
All clients should be advised to quit smoking due to its detrimental health effects (2008
PHS Guideline, 2008). Some clients may resent being advised to quit when they are
seeking treatment for other substance use problems. Therefore, sensitivity to the client’s
readiness is important. In some areas, practitioners prefer to give the advice only after
they have assessed the client’s readiness to hear the information.
3. Assess
Clients who resume smoking should be reassessed for their willingness to try
again, since many are still interested in addressing their tobacco use. Remember that
change typically follows a non-linear pattern. People are susceptible to both intra-
therapeutic and extra-therapeutic factors that can move them in either direction along
the continuum of change.
4. Assist
There is a strong relationship between the intensity of counselling and smoking ces-
sation. Treatment may be delivered in groups or individually. Each session should
be longer than 10 minutes (ideally 30 to 60 minutes). At least four sessions with an
aftercare component are recommended. Treatment should involve problem solving and
intra-treatment and extra-treatment social support.
The addition of cognitive-behavioural therapy to address depression in clients
with a history of alcohol addiction has been shown to increase treatment attendance and
short-term success in quitting smoking (Patten et al., 2001).
All clients should be encouraged to use pharmacotherapy unless there is a medi-
cal contraindication. Counsellors can encourage clients to discuss the issue with their
family doctor or pharmacist.
Motivational techniques, such as exploring the pros and cons of changing, should
be used with all clients. In the preparation phase (i.e., if the client is ready to quit in the
next 30 days), clients should be encouraged to set a target quit date. It is also important
in this phase to discuss strategies clients can use to cope with withdrawal, cravings and
cues; extra-therapeutic social support is recommended. To increase the odds of quitting,
living space and vehicles should be smoke free (2008 PHS Guideline, 2008; Stephens
et al., 2001). Harm reduction strategies include smoking outdoors and gradually reduc-
ing the number of cigarettes smoked per day but not switching to light or ultra-light
cigarettes, since people tend to compensate for the lower level of nicotine by taking more
puffs or inhaling more deeply (Kozlowski et al., 1998).
For people who are unwilling to quit, motivational interviewing techniques to
explore and resolve their ambivalence and resistance are recommended. (For more about
motivational interviewing, see Chapter 5.)
Another effective strategy to help clients initiate behaviour change is the Behavior
Change Roadmap: The 4 Point Plan. It guides clients through four crucial steps that
can end destructive behaviours, such as smoking, and leads them to adopt healthier
lifestyles. The four steps are: Strategize, Take Action, Optimize and Prevent Relapse.
The My Change Plan workbook (Nicotine Dependence Service, 2011) outlines the steps
of the 4 Point Plan and is an excellent tool for clinicians to use when developing a quit
plan with clients.1
1 The My Change Plan workbook is available for free download on the TEACH website at www.nicotinedependenceclinic.com/
English/teach/resources/Assessment%20Tools/My%20Change%20Plan%20Booklet.pdf.
Chapter 11 Tobacco Interventions 257
Use of pharmacotherapy
In all the clinical trials conducted to date, pharmacotherapy approximately doubles the
chances of quitting and sustaining the quit (2008 PHS Guideline, 2008; Hughes, Keely
et al., 2003; Nides, 2008; Silagy et al., 2002; Stead et al., 2008). Nicotine replacement
therapy (nicotine patch, gum, inhaler, lozenge or mouth spray) and bupropion SR (Zyban)
all produce similar long-term abstinence rates. Varenicline (Champix) has been shown in
some studies to be significantly more efficacious than NRT or bupropion monotherapy
(Keating et al., 2006; Oncken et al., 2006; Tonstad et al., 2006). For more details about
how to prescribe first-line smoking cessation medications and their potential side-effects,
refer to the Pharmacotherapy for Smoking Cessation web link in the “Resources” section
of this chapter.
Bupropion
Prescription medications can also be recommended for clients interested in quitting.
Bupropion SR, also referred to as Zyban, is classified as an antidepressant, but is also
prescribed in smoking cessation. Bupropion SR may be the best choice for clients with
a history of depression due to its antidepressant effects and its ability to be combined
safely with other common antidepressants (DeBattista et al., 2003; Kennedy et al., 2002).
It is also the least expensive oral medication officially indicated for smoking cessation
(Selby, 2007). Bupropion is contraindicated for clients with predispositions to seizures,
eating disorders, uncontrolled bipolar disorder and pregnant women. Bupropion may
be safely combined with NRT and is associated with higher six-month abstinence rates
than either medication alone.
258 Fundamentals of Addiction: A Practical Guide for Counsellors
Varenicline
Varenicline, also referred to as Champix, has the highest quit rate of existing therapies
available to clients (Keating et al., 2006; Oncken et al., 2006; Tonstad et al., 2006).
This partial agonist acts by binding to nicotinic acetylcholine receptors in the brain, and
stimulates dopamine levels to a lesser degree than would be elicited by a cigarette (Nides,
2008). This reduces the withdrawal and cravings a person would normally experience
when trying to quit. The most recent Cochrane review found that “varenicline increased
the chances of successful long-term smoking cessation between two- and threefold
compared with pharmacologically unassisted quit attempts” (Cahill et al., 2008, p. 2).
Although varenicline has not been approved for use in combination with other pharma-
cotherapies for smoking cessation, these combinations are being investigated (Ebbert,
Burke et al., 2009; Ebbert, Croghan et al., 2009).
The varenicline package insert contains a black box warning label about post-
marketing reports of neuropsychiatric side-effects, including suicidal and homicidal
ideation, in people taking varenicline (Coe, 2012). Williams and colleagues (2011) exam-
ined these reports and concluded that “despite case reports of serious neuropsychiatric
symptoms in patients taking varenicline, including changes in behaviour and mood,
causality has not been established” (p. 1). Similarly, Cerimele and Durango (2012) exam-
ined published reports describing the use of varenicline in clients with schizophrenia.
They found that of the 260 clients with schizophrenia who received varenicline, five
per cent experienced the onset or worsening of psychiatric symptoms, and no clients
experienced suicidal ideation or behaviours (Cerimele & Durango, 2012). These analyses
provide encouraging support for varenicline as an effective smoking cessation medica-
tion that can be used safely with neuropsychiatric populations.
A meta-analysis by Singh and colleagues (2011) suggested that varenicline may be
associated with a small increased risk of adverse cardiovascular events. Prochaska and
Hilton (2012) conducted a similar meta-analysis that included more trials (22 versus 14)
and did not include events reported after 30 days of medication discontinuation. They
found no relationship between varenicline use and increased cardiovascular serious
adverse events. The summary estimate for the risk difference was 0.27 per cent, which
was not found to be clinically or statistically significant. Therefore, current data does not
support a causal link between varenicline and cardiovascular events.
that it is best practice to tailor smoking cessation pharmacotherapy to each person’s clinical
needs and preferences (CAN-ADAPTT, 2011). Thus, the choice of medication, dosage and
duration of use is highly dependent on individual differences and contraindications. It is also
recommended that pharmacological interventions be combined with psychosocial interven-
tions for optimal effectiveness in helping clients quit smoking (CAN-ADAPTT, 2011).
although earlier phases revealed a correlation between the vaccine and higher abstinence
rates in participants with higher immunity to nicotine (Fahim et al., 2011). Despite these
results, research continues to advance and will focus on improving vaccine effectiveness
and combining the vaccine with other pharmacological interventions.
5. Arrange
Periodic follow-up is recommended for clients who are not ready to quit. For those who
have quit, follow-up sessions are advised during the first week of quitting to explore
slips, negative mood and other predictors of relapse. Thereafter, the frequency and dura-
tion of follow-ups can be decided based on individual preferences and staff availability.
Measures of Success
Success can be measured in several ways. First, standard measures look at biochemically
verified reports, such as exhaled carbon monoxide levels of less than 10 ppm or urinary
or salivary cotinine (a metabolite or byproduct of nicotine, thus a biomarker for exposure
to tobacco). Another way to measure success is to use self-reports of continuous absti-
nence (not even a single puff of a cigarette) six months after the quit date, while other
studies also look at quit rates at one year as a measure of success. Since clients enter
substance use treatment at different stages of change with respect to quitting smoking,
it is more realistic to monitor changes in readiness rather than only smoking cessation
rates. Thus, an effective tobacco intervention program moves clients in the precontem-
plation stage into contemplation and so on. This is not dissimilar to measuring success
in addressing other substance use: small incremental changes in a positive direction,
treatment engagement and retention, enhanced commitment and motivation to change,
and reducing harms represent tangible and important treatment gains.
Conclusion
Clients like Raisa want and need to be offered evidence-based clinical approaches to
smoking cessation in addiction treatment settings. First, health care practitioners should
ask clients about their smoking and determine their level of interest in quitting. This
conversation should be followed up with an assessment of the client’s psychiatric history.
In the case of Raisa, the sexual abuse she experienced as a child coincided with the ini-
tiation of her tobacco use. This would be an issue worth exploring with Raisa because it
could play a role in triggering relapse and might be a barrier to particular quit strategies.
Second, health care practitioners should advise clients about the harms associ-
ated with smoking, bearing in mind clients’ sensitivity to their readiness to quit. If the
client is ready to proceed through treatment, it is important to assist him or her in the
process. A client like Raisa, regardless of readiness to quit, should be encouraged to use
pharmacotherapy to deal with nicotine withdrawal while in a smoke-free environment.
Counselling, cognitive-behavioural therapy, motivational interviewing and pharmaco-
therapy are all evidence-based approaches that counsellors can use to help their clients
with tobacco cessation. Finally, it is vital to arrange follow-up with clients to track their
progress, determine predictors of relapse and help them sustain their quit.
Tobacco is a potential gateway drug that prematurely kills about 50 per cent of
regular users. Ten thousand people worldwide are killed daily from an addiction that, until
recently, has been underrecognized in the addiction field. Given the serious health conse-
quences of tobacco use, every counsellor needs to intervene. Although many clients have
difficulty quitting smoking, with appropriate interventions, they can be helped to address
their tobacco use. The “Five A” model for smoking cessation provides an approach that
focuses on the client, matching treatment to his or her individual stage of change.
Clients who wish to address their smoking can do so without jeopardizing their
recovery from substance use problems. Smoking cessation may even help them in their
recovery from other substance use problems, and protect against relapse (Sullivan &
Covey, 2002).
262 Fundamentals of Addiction: A Practical Guide for Counsellors
Practice Tips
• Identify every client who uses tobacco and offer at least a brief interven-
tion at each clinical visit. This should be the standard of care and duty of
practice of all health care professionals.
• Treat tobacco dependence concurrently with other substance use treatment.
• Make quitting smoking a recommended treatment goal in addiction treat-
ment settings because abstinence from substances increases the chances
of quitting smoking. Moreover, quitting smoking can also increase the
chances of abstinence from other substances.
• Emphasize client autonomy and goal setting as a general approach to
treatment by evoking the client’s own reasons for change.
• Combine psychosocial techniques with pharmacotherapy for optimal
tobacco dependence treatment.
• Consider applying the “Five A” model (Ask, Advise, Assess, Assist and
Arrange) as an evidence-based brief clinical intervention with any population.
• Encourage all clients to use pharmacotherapy unless there is a medical
contraindication. Pharmacotherapy approximately doubles the chances of
quitting and sustaining the quit.
Resources
Publications
2008 PHS Guideline Update Panel, Liaisons, and Staff. (2008). Clinical Practice
Guideline: Treating Tobacco Use and Dependence: 2008 Update. Rockville, MD:
Department of Health and Human Services. Retrieved from www.ahrq.gov/clinic/
tobacco/treating_tobacco_use08.pdf
Els, C., Kunyk, D. & Selby, P. (2012). Disease Interrupted: Tobacco Reduction and Cessation.
Charleston, SC: CreateSpace.
Ontario Medical Association. (2008). Rethinking stop smoking medications: Treatment
myths and realities. Ontario Medical Review, 75 (1), 22–34.
TEACH Project. (n.d.). Pharmacotherapy for smoking cessation. Retrieved from https://
www.nicotinedependenceclinic.com/English/teach/resources/Visual%20Aids/
Pharmacotherapy%20for%20smoking%20cessation.pdf
Ziedonis, D.M., Guydish, J., Williams, J., Steinberg, M. & Foulds, J. (2006). Barriers and
solutions to addressing tobacco dependence in addiction treatment programs. Alcohol
Research and Health, 29, 228–235.
Chapter 11 Tobacco Interventions 263
Internet
CAN-ADAPTT (Canadian Action Network for the Advancement, Dissemination and
Adoption of Practice-Informed Tobacco Treatment)
www.can-adaptt.net
Canadian Council for Tobacco Control
www.cctc.ca
Nicotine Dependence Service (Centre for Addiction and Mental Health)
www.nicotinedependenceclinic.com
Ontario Tobacco Research Unit
www.otru.org
Smokers’ Helpline
www.smokershelpline.ca
You Can Make It Happen
http://youcanmakeithappen.ca
References
2008 PHS Guideline Update Panel, Liaisons, and Staff. (2008). Clinical Practice
Guideline: Treating Tobacco Use and Dependence: 2008 Update. Rockville, MD:
Department of Health and Human Services. Retrieved from www.ahrq.gov/clinic/
tobacco/treating_tobacco_use08.pdf
Abrams, D.B., Niaura, R., Brown, R.A., Emmons, K.M., Goldstein, M.G. & Monti, P.M.
(2003). The Tobacco Dependence Treatment Handbook: A Guide to Best Practices. New
York: Guilford Press.
Aloot, C.B., Vredevoe, D.L. & Brecht, M.L. (1993). Evaluation of high-risk smoking
practices used by the homeless. Cancer Nursing, 16, 123–130.
American Psychiatric Association (APA). (2000). Diagnostic and Statistical Manual of
Mental Disorders (text rev.). Washington, DC: Author.
American Psychiatric Association (APA). (2010). DSM-5 development. R 31: Tobacco
use disorder. Retrieved from www.dsm5.org/ProposedRevisions/Pages/
proposedrevision.aspx?rid=459
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Stapleton, J. (2011). Placebo-controlled trial of cytisine for smoking cessation. New
England Journal of Medicine, 365, 1193–1200.
Williams, J.M., Steinberg, M.B., Steinberg, M.L., Gandhi, K.K., Ulpe, R. & Foulds,
J. (2011). Varenicline for tobacco dependence: Panacea or plight? Expert Opinion
Pharmacotherapy, 12, 1799–1812.
World Health Organization. (2011). World No Tobacco Day: The WHO Framework
Convention on Tobacco Control. Retrieved from http://whqlibdoc.who.int/hq/2011/
WHO_NMH_TFI_11.1_eng.pdf
Ziedonis, D.M., Guydish, J., Williams, J., Steinberg, M. & Foulds, J. (2006). Barriers
and solutions to addressing tobacco dependence in addiction treatment programs.
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study of an addiction treatment organization. Journal of Psychoactive Drugs, 39,
451–459.
Chapter 12
Opioid Addiction
Rosanra Yoon
Mingyu is a 38-year-old woman who has been attending structured relapse pre-
vention sessions for an alcohol use disorder. She is on a sick leave from her job
as a paralegal assistant. She has a history of depression and anxiety, as well as
a history of heroin use in her 20s. Last year, Mingyu was hit by a car while cross-
ing the street, which resulted in a fractured collar bone and chronic back pain.
During one of her sessions, Mingyu is extremely agitated and anxious. She
tells the counsellor that her doctor refuses to continue to prescribe the opioid
pain medications she has been taking daily. She has run out of her pills and
is extremely upset by the withdrawal symptoms and increased pain. Feeling
desperate, she went to a walk-in clinic yesterday to get her pain addressed.
She is craving a drink but knows she shouldn’t drink and feels she cannot
cope with having no pain medication. Her plan is to borrow some oxycodone
and morphine from her friend; Mingyu feels guilty about doing this but feels
there is no other way. She also tells the counsellor that another friend is on
methadone and that she might take a sip or two of her friend’s methadone if
things become really bad.
Engaging and supporting people who have opioid dependence in a collaborative part-
nership is essential to reducing the personal, social and health-related harms associated
with opioid addiction. Of key importance for clinicians is developing a foundational
understanding of the nature of opioids, conducting routine assessment and screening
and knowing about treatment options. This chapter provides an overview of opioid addic-
tion, pharmacological and psychosocial support interventions and considerations for
special populations, such as women and people with high-risk opioid use.
It is estimated that more than 15 million people worldwide use illicit opioids—
about 11 million of whom use heroin (World Health Organization [WHO], 2009).
Because of the high prevalence of heroin use, its illicit status and its addictive potential,
much of the clinical literature has addressed this drug specifically.
However, in recent years, Canada, the United States and other developed coun-
tries have experienced a rise in illicit use of prescription opioids (Compton & Volkow,
2006; Hayden et al., 2005). In Canada, between 321,000 and 914,000 people used
276 Fundamentals of Addiction: A Practical Guide for Counsellors
prescription opioids for non-medical reasons in 2003. Among people engaged in illicit
opioid use, about 72,000 were using either heroin, prescription opioids, or both. The
majority engaged in illicit use of prescription opioid medications (Popova et al., 2009).
The harms associated with opioid addiction are significant: it can lead to reduced
quality of life, the loss of meaningful relationships and activities and adverse physi-
cal and mental health sequelae. Of concern are the risks associated with intravenous
administration, such as hepatitis C and HIV, and mortality from accidental overdoses,
violence and suicide. People with opioid addiction do not fit one homogenous profile
with one clear-cut presenting issue. Many may misuse other substances and medications
in addition to having concurrent mental health and physical health problems that need
to be addressed in a comprehensive manner (Noel et al., 2006). They may also require
assistance with housing, and with legal, child welfare and vocational issues. Assessing
the urgency of these issues and taking appropriate action are required. The most effec-
tive approaches address these issues in an integrated manner, co-ordinating services and
collaborating with members of the client’s circle of care.
Medication-assisted therapy, using methadone and buprenorphine, for example,
in conjunction with psychosocial interventions is recommended as a best practice for
people with opioid addiction (National Institute for Health and Clinical Excellence,
2007; WHO, 2009). However, despite this recommendation, only an estimated 26 per
cent of people with opioid addiction in Canada were receiving methadone maintenance
therapy in 2003 (Popova et al., 2006). Most are not in any type of treatment, putting
them at the highest risk of poor health outcomes and accidental overdose. Stigma and
misconceptions around opioid addiction, and around medications such as methadone
and buprenorphine used to treat it, are often barriers to seeking help and engaging in
treatment. The lack of availability of medication-assisted therapy is also an issue, espe-
cially in smaller communities.
Opioids: An Overview
The term opioid refers collectively to substances derived from the poppy plant, such as
opium, morphine and codeine, as well as semi-synthetic (e.g., heroin) and synthetic
forms (e.g., methadone). Opioids are psychoactive in that they bind to receptors in the
brain and central and peripheral nervous system. They relieve pain and cause sedation,
as well as reducing gastrointestinal motility (movement of the large and small intestines)
(Kahan et al, 2006; National Institute for Health and Clinical Excellence [NICE], 2007).
Due to their pain-relieving qualities, opioids have been used for many years for analge-
sia, while poppy derivatives such as opium have been used for many centuries.
Opioid addiction is a chronic and relapsing condition frequently marked by peri-
ods of stability and relapse. As such, a long-term approach to recovery and engagement
at different points along the recovery journey is essential for best outcomes and treat-
ment retention.
Chapter 12 Opioid Addiction 277
Types of Opioids
Heroin
Derived from the opium poppy, heroin is a semi-synthetic opiate and is the most com-
monly misused opioid worldwide (WHO, 2009). Although it can be snorted or smoked,
the greatest risks associated with heroin use are often related to intravenous use that
carries high risks associated with HIV and hepatitis C transmission through sharing
injection equipment (e.g., needles, spoons, cottons). Other adverse consequences of
intravenous use are skin infections, collapsed veins, potentially fatal bacterial infections
of the heart valves and the high risk of overdose. Asking clients how they administer
heroin, providing information about harm reduction strategies and connecting clients
to primary health care services to address their physical health needs are essential ways
to reduce the harms related to intravenous drug use.
278 Fundamentals of Addiction: A Practical Guide for Counsellors
Prescription Opioids
Modes of administration
Many types of oral prescription opioids exist, ranging from short-acting to sustained-release
formulations in varying doses. These drugs can be taken in different ways, that is, by vary-
ing routes of administration. Ingesting opioids orally tends to be the least risky mode of
administration, as oral intake slows down the rate of absorption. Crushing or chewing
tablets is a frequent practice because it causes more euphoria by increasing the rate of oral
absorption. Tablets may also be crushed and snorted intra-nasally for faster absorption.
Intravenous administration of opioids has the fastest absorption rate: people may crush
tablets to dilute in liquid or extract the opioid from transdermal patch preparations.
Misuse of the fentanyl contained in long-acting transdermal patches, which are
intended to be applied to the skin for slow release of the opioid medication over time
and replaced every two or three days, carries significant risks. Transdermal patches pose
potentially fatal risks when people inject the medication into a vein, replacing a slow,
sustained-release method with a fast-acting route, as intravenous fentanyl use is very
dangerous. Sometimes people take the opioid by other risky routes, such as through
the rectum. Obtaining prescription opioids by purchasing them from illicit sources, or
from friends or family members, can also be dangerous because users may be unaware
of safe doses.
The therapist should ask not only about how much of a drug a client is taking, but
also about the route of administration. Knowing whether a client is crushing and snort-
ing, chewing tablets or crushing and dissolving tablets for intravenous administration is
important to assess for high-risk routes of use. Using a harm reduction approach, clini-
cians should support clients in using safer routes (e.g., oral versus intravenous) and safe
techniques and supplies, providing them with information to help make less risky choices.
• tolerance—needing to take more and more of the substance to achieve the same effect
• withdrawal symptoms when opioid use stops
• loss of control over use
• cravings.
Note that physiological dependence alone is not a sign of opioid misuse or addic-
tion. Key aspects in addition to physiological dependence are increasing loss of control
over use and compulsive use despite harms directly caused by use. People can become
physically dependent on opioids with long-term use, even when taking the drugs as
prescribed, but dependence does not necessarily imply addiction (Kahan et al., 2006).
Behavioural signs and patterns of both opioid misuse and addiction include:
• running out of prescriptions early, escalating the dose, “losing” prescriptions, forging
prescriptions, breaking the law to obtain opioids
• drawing on multiple sources of opioids (family, friends, diverted sources from the
street market; prescriptions from multiple providers—ER, family MD, pain specialist,
walk-in clinics)
• showing a decline in personal functioning (e.g., school or work performance suffers,
social isolation, relationship problems, physical illnesses)
• experiencing withdrawal symptoms
• showing increasing tolerance
• altering the mechanism of delivery (crushing pills, altering patches, taking oral or
transdermal preparations intravenously).
Assessment
A detailed and comprehensive biopsychosocial assessment of illicit substance use is
extremely important and should cover the following areas:
• substance use history—current and past, looking at patterns of use, duration of use,
routes and periods of abstinence or stability from all substances, including opioids
• history of past drug treatment experiences
• medical and mental health history, including history of chronic pain
• current medications and treatments
• family history of addiction
• legal problems, drinking while under the influence charges
• a partner or roommate who uses drugs
• children and their care
• pregnancy
• current family doctors, specialists, services
280 Fundamentals of Addiction: A Practical Guide for Counsellors
• housing
• finances
• family and social supports
• self-concept and coping patterns
• resilience and strengths.
People who are addicted to opioids have a high prevalence of co-occurring depres-
sion and anxiety, which are usually untreated. Women in particular may have high rates
of concurrent mental health problems, histories of physical or sexual abuse and related
unresolved trauma, lower social and economic status and unhealthy relationship dynam-
ics that may include domestic violence (Jones & Fiellin, 2007).
Historically, women have been under-represented in treatment. Moreover, few
treatment programs have addressed the specific needs of women who often take on care-
giving roles in child rearing or who may experience gender-related social stigma related
to substance use.
Using a trauma-informed lens in the assessment and being sensitive to the
woman’s current experience is important to develop rapport and establish a collaborative
therapeutic relationship that supports the woman’s goals for recovery.
A comprehensive assessment and screening of mental health and coping can
provide an opportunity to connect the person to mental health treatment while he or
she is in opioid addiction treatment (Wild et al., 2005). Ideally, clients with complex
problems receive integrated and co-ordinated care from practitioners who work col-
laboratively, using a comprehensive biopsychosocial approach to treatment and change
management.
Engagement
The clinician’s own values, beliefs, attitudes and level of evidence-based knowledge of
opioid addiction and treatment options play a significant role in engaging the person in
treatment options. A respectful, open and non-judgmental approach that is collaborative
and that honours the client’s autonomy and choice is the most important foundation
in engaging and working with people who have opioid addiction. It is also essential to
provide accurate information about treatment options, holistically assess the person’s
needs and work together with the person’s circle of care. Motivational strategies have
been demonstrated to be effective with this population (Miller & Rollnick, 2002).
Illicit opioid use and treatment such as methadone maintenance therapy are
highly stigmatized. Clinicians must be sensitive to stigma and engage clients in a dia-
logue of their experience of opioid addiction in terms of their conceptualization and
understanding of why they use opioids, their goals for recovery and how they perceive
treatment.
Many people with problematic opioid use may not see themselves as “addicts.” A
collaborative discussion about how their use has become problematic, their lived expe-
rience of opioids over time and what they identify as their needs and goals to achieve
Chapter 12 Opioid Addiction 281
wellness is more beneficial than a polarizing discussion about whether or not the person
has an addiction. Dispelling myths and providing information on the risks and harms of
opioid use help to normalize the person’s experience and self-perception.
Clinicians should explain the various treatment options and evidence for their
effectiveness. Treatment options must be discussed in a non-coercive manner that
allows the client to make a decision based on the best available evidence and his or her
own preference for treatment. By participating in their own treatment planning, clients
can feel a greater sense of personal choice and control over the process, and be more
engaged and committed to treatment (Zeldman et al., 2004).
In addition to connecting the person to treatment and services, it is equally impor-
tant, if not more so, to work collaboratively as a team with the person’s existing circle of
care providers and supports, such as family, family doctor, specialists and other services.
This team approach should be discussed together with the client; the client is the central
member of this team and needs to understand why involvement with all members of the
circle of care and support is important. For many people with problematic prescription
opioid use, the worry that their current prescriber may suddenly discontinue prescribing
is a common and legitimate fear that needs to be discussed collaboratively with them,
allowing them to make a choice. This dialogue may afford the opportunity for the clini-
cian to support the person engaging in treatment, as well as being a liaison and advocate
for the person’s recovery.
Assessment
It is very important to conduct a comprehensive assessment for people who report
chronic pain and opioid use. The assessment should cover all the elements of a thorough
addiction assessment described earlier, as well as a history of the person’s chronic pain
issues (Kahan et al., 2006).
Engagement
Clinicians play an important role in engaging the person with chronic pain and illicit
opioid use by discussing the role of opioids in the client’s overall coping, balancing the
pros and cons of the opioid use and finding out how the client relates the opioid use to
pain issues. The client should know that the risk of opioid addiction is highest among
people with a history of substance use problems and appreciate that adequate pain
treatment should not come at the expense of developing opioid addiction as a sequelae.
Clinicians can provide further information about chronic pain management.
The client should be encouraged to have a candid and transparent dialogue with
his or her physician or pain specialist to evaluate current pain management in light of
the adverse risk of developing problematic opioid use.
282 Fundamentals of Addiction: A Practical Guide for Counsellors
Opioid Intoxication
People with opioid intoxication usually present as sedated, with slurred speech, decreased
breathing rate and slowing physical and mental abilities (Kahan & Marsh, 2000).
Assessment
Clinicians need to be keenly aware of the signs and symptoms of opioid intoxication and
intervene quickly by assessing the level of sedation and connecting the person for imme-
diate medical assessment. Many other factors could be contributing to the sedation, such
as having used other sedating substances or having an underlying medical condition.
Signs and symptoms of opioid intoxication include:
• drowsiness
• pinpoint pupils
• slurred speech
• slowed mental and physical abilities
• poor balance (Kahan & Marsh, 2000).
Engagement
Effective intervention starts with ensuring the safety of people who are intoxicated and
supporting their decision making. They may be anxious or agitated and may experi-
ence mood fluctuations; they need support and validation of their experience, and clear,
simple options for managing their intoxication. If the person is not easily roused and has
slowed breathing, clinicians should ensure the person is quickly assessed by a medical
practitioner or call for emergency services.
Opioid Withdrawal
People going through opioid withdrawal can experience serious distress and physical
discomfort. For the most commonly misused opioids, withdrawal symptoms start to
peak two or three days after the last use. Acute physical symptoms improve after five
to seven days from last use; however, the psychological symptoms of intense cravings,
anxiety and low mood, as well as subacute physical symptoms, may last for weeks, even
months. The persistence of these symptoms is a factor in relapse risk.
Assessment
Clinicians should routinely assess the person’s coping and mood following withdrawal,
as support and further counselling are needed after withdrawal from opioids. People at
this stage are at higher risk of impulsive self-harm behaviours such as suicide (Kahan
& Marsh, 2000). Clinicians must assess mental status and develop a safety plan. Most
people in opioid withdrawal can safely come off opioids in non-medical withdrawal
Chapter 12 Opioid Addiction 283
management settings or on their own. Those with complex medical problems or concur-
rent mental health problems that may worsen during withdrawal should seek medically
supervised medical withdrawal management.
Signs and symptoms of opioid withdrawal include:
• anxiety
• mood changes
• agitation
• watery eyes
• runny nose
• goosebumps or chills
• diarrhea
• stomach cramps
• nausea/vomiting
• insomnia
• irritability
• muscle aches
• sweating
• fever
• increased sensation of pain
• opioid cravings.
Engagement
Validating the client’s experience and demonstrating empathy and emotional sup-
port are particularly important, given the unpleasant and distressing process of
withdrawal. Comfort measures such as low lighting, adequate hydration and rest are
important considerations.
Clinicians need to know about available services for withdrawal management in the
client’s area in order to offer support and connect the person to services in a timely manner.
Treatment
Opioid Addiction
Medication-assisted therapy
Pharmacological treatment using methadone or buprenorphine in combination with psy-
chosocial intervention has been found to be very effective, with only 20 to 30 per cent of
people experiencing relapse or treatment failure (Maremmani & Gerra, 2010; NICE, 2007).
Methadone
Methadone has very good outcomes for people who are addicted to opioids, as evidenced
by rates of treatment retention and improvements in psychosocial well-being and quality
of life (Mattick et al., 2003). Methadone is a long-acting agonist opioid that, at the right
dose, allows the person to feel comfortable and remain free of withdrawal symptoms for
24 hours. This is in contrast to heroin and illicitly used prescription opioids, which have
a short period of action (four to six hours), leading to numerous episodes of withdrawal
throughout the day, which then leads to the development of tolerance and a pattern of
dependence (Kahan & Marsh, 2000).
People can access methadone maintenance therapy by connecting with a metha-
done provider or clinic. Methadone is dispensed as a liquid mixed with juice that is
taken daily. Until a period of stability is achieved, as evidence by improved psychosocial
functioning and abstinence from opioids, the person is given his or her dose daily at
a pharmacy, and is observed taking it. With increasing stability, take-home doses of
methadone are provided. Methadone is a potent long-acting medication that requires
the person to take on responsibilities to ensure safe storage and handling of take-home
doses. Clinicians should discuss the importance of not giving away or selling doses,
not missing doses and communicating with the prescriber any changes to the person’s
health or response to methadone.
It is important to advise clients on methadone maintenance therapy to avoid
sedating substances such as alcohol and benzodiazepines to minimize the chance of
interactions that can lead to overdose.
Buprenorphine
Buprenorphine is a partial opioid agonist at lower doses and an opioid antagonist at
higher doses. It is available as a sublingual oral tablet for medication-assisted therapy.
Buprenorphine is taken once daily and, like methadone, eliminates withdrawal symp-
toms for 24 hours when taken at the right dose. Taking buprenorphine is safer than
taking methadone because the risk of overdose is much lower due to buprenorphine’s
high affinity to receptors; in other words, if additional opioids are taken, buprenorphine
acts like an agonist by displacing other opioids (Handford et al., 2011).
Chapter 12 Opioid Addiction 285
Withdrawal management
Withdrawal management should not be a stand-alone intervention because it has poor
outcomes when it is not paired with other psychosocial or ongoing treatment options
such as substitution therapy. Most people in withdrawal management only relapse
within six months. As such, withdrawal management alone is not the best approach for
treatment success (WHO, 2009).
Opioid withdrawal management can be done on an outpatient basis, using
buprenorphine or methadone with medical supervision and psychosocial supports, or
without medical supervision in a non-medical withdrawal management facility with psy-
chosocial support and intervention. As mentioned earlier, inpatient medical withdrawal
management is recommended for people with concurrent mental health or medical
issues that may become exacerbated in the context of withdrawal.
Physical symptoms of opioid withdrawal such as upset stomach, nausea and diar-
rhea can be alleviated with over-the-counter preparations and comfort measures, such as
applying warmth (e.g., a hot water bottle) to relieve muscle aches.
Relapse prevention
Gaining the skills and support needed for relapse prevention is very important to sustain
improvements and abstinence from opioids in recovery. Clinicians should discuss and
collaboratively work with the client on the following areas throughout all phases of the
recovery journey:
• coping with cravings
• avoiding triggers
• adaptive coping skills
• self-care
• physical and mental well-being
• healthy self-image
• meaningful roles
• healthy relationships
• appropriate management of pain
• handling stress in healthy ways.
Naltrexone
Naltrexone is a medication that people who have withdrawn from opioids can take for
relapse prevention. It works by blocking the effects of opioids. For people who do not
want medication-assisted therapy, naltrexone can support their recovery and relapse pre-
vention (Krupitsky et al., 2010; Lobmaier et al., 2010). However, it may increase the risk
of overdose if a person relapses to opioids after discontinuing naltrexone.
286 Fundamentals of Addiction: A Practical Guide for Counsellors
When prescribed appropriately and monitored carefully, opioid medications are very
effective in managing pain, especially acute pain (Walwyn et al., 2010). Chronic pain is
a complex condition in which the pain persists far beyond the time it takes for tissue
to heal (Fishman, 2009). Chronic pain often requires a comprehensive approach to
management that includes not only medications but also other interventions, such as
improving conditioning through physiotherapy and supports. In addition to their pain-
relieving effects, opioid medications can also cause euphoria and a sense of well-being
and reduced stress, which is problematic for people at higher risk of developing opioid
addiction. People with a current or past history of substance use problems are at high-
est risk for developing opioid addiction (National Opioid Use Guideline Group, 2010).
Women who are pregnant and addicted to opioids should be advised not to stop opioids
abruptly. Abrupt cessation poses harmful risks to the woman and the fetus, as with-
drawal can result in miscarriage (Kahan & Wilson, 2002). Pregnant women who are
addicted to opioids and who have decided to continue with the pregnancy should be
connected to their family physician for prenatal care or referred to specialized prena-
tal services for women with substance use problems as soon as possible. Substitution
therapy with methadone is the recommended best treatment for women with opioid
addiction who are pregnant. The clinician should work closely with the woman and her
other care providers to support treatment (Winklbaur et al., 2008).
Due to women’s role commitments, especially those related to caregiving and child rear-
ing, clinicians may need to modify how services and treatments are delivered for women
with opioid addiction. For many women, services like inpatient medical withdrawal
management or residential programs may not be feasible, unless practical issues like
taking care of children while in treatment are actively addressed.
Regular, routine health care is important to address general health concerns and
concerns around sexually transmitted illnesses with women with problematic opioid
use. Women with opioid addiction often have irregular menstrual cycles and missed
periods that become regular after withdrawal and a stretch of abstinence. Women should
be informed of this change, as the risk for unplanned pregnancy is high after withdraw-
ing from opioids (Kahan & Wilson, 2002).
Chapter 12 Opioid Addiction 287
Clinicians need to engage people who are not connected to any services or treatment
and who have high-risk opioid use. People who take large amounts of opioids daily
using unsafe intravenous practices, such as sharing injection equipment (e.g., needles,
cottons, spoons), or who use in unsafe environments and who do not want formal
treatment require a supportive, non-coercive engagement approach. A harm reduction
approach is best, aimed at reducing the harms associated with use without necessitating
quitting or abstinence. A genuine and transparent approach, demonstrating respect for
the person’s choices and support for his or her recovery is essential in treatment engage-
ment and rapport. Informing the person of the real risks associated with the current
pattern of use is important. Clients should be advised not to use opioids alone, and to
test new batches of opioids by using very small amounts at first. They should be advised
to seek medical attention in the event of overdose or withdrawal. Clinicians should also
provide practical information about treatment options without being coercive. But most
important in treatment engagement is developing a therapeutic relationship grounded
in trust and rapport.
liaise with Mingyu’s family doctor and other professionals involved in her
care, and asks Mingyu to identify people who might give her social sup-
port to enhance her recovery prospects. Regardless of what Mingyu’s goals
and choices are around her problematic opioid use, the counsellor will
continue to work with her and engage her in treatment through ongoing
contact and support.
Conclusion
A person-centred or holistic approach based on a biopsychosocial model is important
in guiding a comprehensive screening and assessment of people with opioid addiction.
Assessment and screening should be done routinely, as opioid addiction is a chronic,
relapsing condition that may be triggered by life events, as well as painful medical
conditions. Assessment and treatment should address mental health diagnoses, such
as depression and anxiety, and the specific risks associated with high-risk use, such as
intravenous drug use and comorbid health conditions.
Practice Tips
Resources
Publications
Center for Substance Abuse Treatment. (2008). Medication-Assisted Treatment for
Opioid Addiction in Opioid Treatment Programs Inservice Training. Rockville, MD:
Substance Abuse and Mental Health Services Administration. Retrieved from http://
kap.samhsa.gov/products/trainingcurriculums/pdfs/tip43_curriculum.pdf
Handford, C., Kahan, M., Srivastava, A., Cirrone, S., Sanghera, S., Palda, V., . . . Selby,
P. (2011). Buprenorphine/Naloxone for Opioid Dependence: Clinical Practice Guidelines.
Toronto: Centre for Addiction and Mental Health. Retrieved from http://knowledgex.
camh.net/primary_care/guidelines_materials/Documents/buprenorphine_naloxone_
gdlns2012.pdf
National Opioid Use Guideline Group. (2010). Canadian Guideline for Safe and Effective
Use of Opioids for Chronic Non-Cancer Pain. Hamilton, ON: Author. Retrieved from
http://nationalpaincentre.mcmaster.ca/documents/opioid_guideline_part_b_v5_6.
pdf
Ontario College of Physicians and Surgeons. (2011). Methadone Maintenance Treatment
Program Standards and Clinical Guidelines. Toronto: Author. Retrieved from www.
cpso.on.ca/policies/guidelines/default.aspx?id=1984
Registered Nurses’ Association of Ontario. (2009). Supporting Clients on Methadone
Maintenance Treatment. Toronto: Author. Retrieved from http://rnao.ca/bpg/
guidelines/supporting-clients-methadone-maintenance-treatment
World Health Organization. (2009). Guidelines for the Psychosocially Assisted
Pharmacological Treatment of Opioid Dependence. Geneva: Author. Retrieved from
www.who.int/substance_abuse/publications/opioid_dependence_guidelines.pdf
290 Fundamentals of Addiction: A Practical Guide for Counsellors
Internet
Canadian Centre on Substance Abuse—prescription drug misuse
www.ccsa.ca/Eng/Priorities/Prescription-Drug-Misuse/Pages/default.aspx
World Health Organization—management of substance abuse
www.who.int/substance_abuse.en
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Lobmaier, P.P., Kunoe, N., Gossop, M., Katevoll, T. & Waal, H. (2010). Naltrexone
implants compared to methadone: Outcomes six months after prison release.
European Addiction Research, 16, 139–145.
Chapter 12 Opioid Addiction 291
people with concurrent disorders. Wilma and Cathy have felt welcomed and
accepted by the staff, but now feel they need more information and a higher
level of family support from professionals and other family members experi-
encing similar situations. They have expressed interest in joining a family
psychoeducation support group.
Tony is a 40-year-old who has had a gambling problem for more than 20
years, but his wife, Natalia, only discovered this when she received a call
from the bank informing her that they were losing their home. The couple
then sought services at a problem gambling program. Tony did individual
and group treatment and, with the exception of one slip, had not gambled for
three months. Natalia sat in on a couple of Tony’s sessions with his therapist
and learned about his treatment plan. She was also referred to a different
therapist who helped her develop a self-care plan and more effective coping
strategies. Natalia attended a family psychoeducation support group and
was relieved to see that other families had been through similar experiences.
Despite all of these services, the relationship between Tony and Natalia was
still highly conflictual. Natalia did not trust Tony, and in turn, Tony felt that
Natalia was often unjustly accusing him of things. The couple was having
difficulty with household responsibilities and finances but had no problems
with parenting issues (they have two children) or intimacy. Both individual
therapists recommended couple therapy. The family therapist worked with
Tony and Natalia for a few months and created a safe space for them to dis-
cuss difficult subjects they had been avoiding. The couple felt welcomed and
involved throughout the entire treatment process, and benefited from many
different types of services—problem gambling treatment, psychoeducation
and support, individual counselling and couple therapy.
By the time someone with an addiction receives formal help, many other lives have
already been greatly affected. The vignettes of Olga, Donald and Tony bear witness to
this. For these people, the journey toward help and recovery has required travelling
into the personal experience of addiction as a health issue affecting their own lives
and the lives of those around them. For family and friends, seeing someone they
care about seek help for an addiction problem may be another manifestation of how
difficult and unmanageable things have become. At the same time, the act of getting
help can also be a beginning, the start of a new journey toward health recovery and
improved well-being. It also represents an admission, perhaps grudging, perhaps
painful, that the person’s own strengths, as well as the caring efforts of concerned
others, have not been adequate to successfully deal with the problem so that profes-
sional help has become necessary.
Chapter 13 Family Pathways to Care, Treatment and Recovery 295
However welcoming the helping environment may be, people seeking profes-
sional help may feel they have failed to solve a problem that has become bigger than
they have been able to handle. Of course, they may also see this as the opportunity to
finally get help, and feel relief that experts can help them to understand and address a
problem that has become progressively worse or has erupted into a crisis demanding
immediate attention. All too often, families don’t have positive experiences with the
health care and social services world. Professional intervention can bring with it a new
set of challenges and problems during this phase of the family’s journey. Indeed, evi-
dence indicates that clients and family members may experience stigma from the very
helping professionals to whom they turn for assistance with substance use problems
(Rasinski et al., 2005).
A History of Exclusion
There is a long history of excluding family members from the process of assessing and
treating addiction problems. While the negative impact of addictions on the family is
well documented, treatment providers tend to focus their assistance on the person with
the substance use problem, giving little attention to family members (Orford, Velleman
et al., 2010).
Even today, to listen to concerned family members talk about their experiences in
trying to seek help for a family member is to hear all too often about how they have been
ignored, avoided and excluded. They frequently report that they have been allowed no
real role in the process of addiction treatment. And yet, social support—often from fam-
ily members—has been shown to be a leading factor in successful treatment outcomes
(O’Grady & Skinner, 2012).
All too often, addiction treatment interventions are offered in specialized settings
as an episode of care—with defined beginnings and endings. Once “treated,” clients
return to their communities, with meagre support and weak connections to ongoing
care and support, they face the formidable challenge of maintaining their treatment
goals and improved, healthier functioning. Family members often have learned nothing
or very little about the treatment process the person has been through, have not been
engaged to determine what needs the person may have, and have not been mobilized to
help support change and recovery.
As long as social support is lacking, relapse rates will continue to be higher than
they should be. Yet community programs that offer continuing support usually are not
inclined and do not have the resources to see addiction treatment and recovery through
the inclusive lens of families and social support. Involving concerned others to build
social support, particularly those who are closest to the client and most able to provide
assistance, is an absent or underdeveloped element in many treatment programs—
both those specialized in addictions and more broadly based community health or
social services.
296 Fundamentals of Addiction: A Practical Guide for Counsellors
community-based care for people with serious addictions and mental illnesses means
that family members will be called on even more to assist with ongoing care. Although
the negative impact of addiction on the family has been well documented, the predomi-
nantly individualistic approach to treatment and policy has led to a lack of understanding
of the negative effects of addictions on the lives of family members. This individualistic
orientation fails to tap into the constructive engagement of family members that corre-
lates with more successful outcomes (Copello et al., 2010).
Imagine a health and social services system that was set up to include and work with
families and concerned others, whether or not the person with an addiction has pre-
sented for help. Clients would have to consent to the involvement of others in their
298 Fundamentals of Addiction: A Practical Guide for Counsellors
care, and would be encouraged, as a matter of routine practice, to identify the people
they would want to include. Even when the client did not want others involved, fam-
ily members and concerned others could access care and support separate from the
client’s treatment pathways. To move beyond the compromised and comprising world
of addictive behaviours, people need to achieve psychosocial integration that allows
them to reach their full potential and their deeper sense of selves as members of caring
communities (Alexander, 2008). To intentionally involve family members in treatment
planning would shift the old care paradigm of personal recovery to a model of enhanced
social connection and engagement.
O’Grady and Skinner (2012) outline the family journey from illness to recovery from
addiction and co-occurring mental health problems. Figure 13-1 depicts that journey.
Source: O’Grady, C. & Skinner, W.J.W. (2012). Journey as destination: A recovery model for families affected by concurrent
disorders. Qualitative Health Research, 22, p. 1058. © SAGE Publications. Reprinted by permission.
Family members usually need to be allowed to talk about the experiences they
have had on the journey into and through addiction and related problems before they
can attend to the journey toward recovery. They often talk about the roadblocks they
experience when they try to engage with the formal helping system. They also identify
what they need from the system but often cannot get. Family members usually want to
take on active roles in making their families healthier.
Chapter 13 Family Pathways to Care, Treatment and Recovery 299
Invite
Inform
Include
Involve
Educate
Counsel
Welcoming all. The family care pathways model (see Figure 13-2) lays out a set of action
terms that extends all the way from the most basic courtesies and considerations we
believe all visitors to a health care or social service facility should receive. We organize
these under the rubric “Welcome.” A proactive approach to every opportunity to con-
structively engage family members would be informed by the four “I’s”: invite, inform,
include and involve.
Treating some. The final cluster of services in this model of family care pathways is likely
to be accessed only by some family members at some point along the road to recovery.
These services are more formally therapeutic, where family members themselves would
receive counselling and therapy for addiction-related and recovery-oriented issues. At
this end of the continuum of family services and supports, the family itself may become
the unit of treatment, as is common when there are intergenerational dimensions to the
addiction issues. Therapy or counselling can also be used for more positive reasons, such
as when the family or some of its members are so committed to a person’s recovery that
they want to participate actively in a program of care that will optimize the chances of
a successful outcome. These other family members might recognize that the person’s
changing addictive behaviour creates opportunities for the family as a whole to achieve
a higher level of functioning and better relationships.
Although Olga was referred by her doctor, she was apprehensive about going
to a facility that offered addiction treatment, even if it had specialized pro-
gramming for older adults. When her daughters offered to go with her, she
was much more receptive. Having the active interest of her adult children
put Olga in an advantageous situation compared to other clients, many of
whom had lost social supports. Olga attended the program, and was quite
motivated to take constructive action that would ease her depression, even
if it meant stopping her drinking, at least initially. Olga’s doctor supported
the plan and the two agreed that for the first couple of weeks, frequent
but brief contact would be valuable, along with some education sessions
about behavioural alternatives to substance use. Olga’s daughters agreed to
accompany her as needed to and from the sessions. They were invited to sit
in on group-based sessions and, if Olga agreed, to join her and the therapist
when they discussed their mother’s progress.
Olga found that without alcohol in her system, the antidepressants were work-
ing better and giving her the boost to become more physically and socially
active, which meant she was spending less time alone. Olga’s daughters
increased their contact with her and felt rewarded to see her have better days.
They felt welcome and valued in the helping process, as well as informed, and
were invited to contribute suggestions as active participants. They acquired
a basic understanding of alcohol and its effects, especially on older people,
and an awareness of safer drinking limits. Their primary role was supportive;
they credited their mother for addressing her alcohol issue, and the therapist
and the treatment setting for knowing how to get organized and launch an
action plan by working collaboratively with all concerned family members. The
treatment process ended up being brief—about eight weeks—but Olga still
receives a phone call every three months to check how things are going.
Chapter 13 Family Pathways to Care, Treatment and Recovery 301
Supporting Families
Family members are important in their own right. They deserve access to group support
and educational interventions that will increase their sense of empowerment and social
support, and that address other factors affecting their quality of life: these interventions
can reduce the sense of burden and “stigma by association,” improve coping skills and
enhance overall life satisfaction.
Over the past few decades, evidence-based practices have emerged to meet fam-
ily members’ needs for education, guidance and support (Copello et al., 2006). Various
family psychoeducation programs are now offered as part of an overall clinical treat-
ment plan, with the main focus being to improve the well-being and functioning of the
client (although family members themselves experience significant benefits from such
programs). While evidence-based models of family psychoeducation sometimes vary in
their technical aspects, all share common features, as discussed in the next section.
People who are providing emotional support, case management, financial assis-
tance, advocacy and housing to family members with addiction problems benefit from
access to support, information and resources. Family psychoeducation groups are
increasingly being recognized as a valuable link in a comprehensive system of care, at
all stages: assessment, pre-treatment, treatment and continuing recovery.
Emerging best practice evidence suggests that families of people with addiction and
mental health problems benefit from a combination of peer support and psychoeduca-
tion tailored to their unique needs (Mueser, 2002; O’Grady & Skinner, 2012). Effective
group interventions improve overall family coping and increase the sense of hope
(Bloom, 1990). Client outcomes also improve when the needs of family members for
information, clinical guidance and support are met (Levine & Ligenza, 2002; Mueser,
2002; Solomon et al., 1997).
Social support and psychoeducation groups can be offered to family members
without the requirements of therapeutic expertise and investment of scarce resources.
302 Fundamentals of Addiction: A Practical Guide for Counsellors
These groups constitute an aspect of service and support that would allow many treat-
ment settings a “quick win” in providing family-centred care and a sustainable resource
for family members.
There are many ways clinicians can facilitate access to family psychoeducation and
peer support groups: they can support and contribute to them; provide them in their own
agency settings; learn where family supports resources are available in the community
(e.g., 12-step groups such as Al-Anon and Gam-Anon); be aware of online supports and
resources; and encourage and support families in exploring options.
Family support and psychoeducation groups share various features. They:
• combine information about substance use and related problems with training in prob-
lem solving, communication skills and developing social supports
• use the expertise of both families and professionals
• aim to reduce family stress, facilitate the development of coping skills and enhance
personal empowerment for caregivers.
Successful programs have been found to offer a range of support and education
benefits (Murray-Swank & Dixon, 2004). These programs:
• explore family members’ expectations of the treatment and expectations for them-
selves and the client
• assess the strengths and limitations of the family’s ability to support the client
• assist in co-ordinating elements of treatment and rehabilitation to ensure everyone
works toward the same goals in a collaborative, supportive partnership
• provide information about the family member’s optimum medication management
and other treatment issues
• provide opportunities for professional facilitators to listen to families’ concerns and
involve them as equal partners in planning and delivering treatment
• help resolve family conflict by responding sensitively to emotional distress
• address participants’ feelings of grief and loss
• provide an explicit crisis plan
• help improve communication among family members
• provide training for the family in structured problem-solving techniques
• encourage family members to expand their social support networks (e.g., to participate
in informal family support organizations, such as the Mood Disorders Association of
Canada, the Schizophrenia Society of Canada and Al-Anon).
The family plays a key part both in preventing and in intervening with substance
use problems by helping to reduce risk, encourage healthy change, build resilience and
support recovery.
Even brief interventions for family members, delivered in various formats, can have
significant impact, generating positive changes that are maintained and that increase
Chapter 13 Family Pathways to Care, Treatment and Recovery 303
over time without any further formal delivery of the intervention (Velleman et al., 2011).
Individualized consultation increases family members’ sense of self-efficacy around
supporting a loved one with serious mental illness (Velleman, 2006). Group psychoedu-
cation also helps increase this sense of self-efficacy, particularly for family members who
have never participated in a support or advocacy group.
Including education and peer support resources for family members enhances addiction
treatment, producing effects that are measurable in the family members who participate,
in the family system as a whole and in the person with addiction problems (Fals-Stewart
et al., 2005; Magill et al., 2010).
Family resilience can be described as family members’ ability to cope with adver-
sity, enabling them to flourish with warmth, support and cohesion. An increasingly
important focus in addiction prevention and treatment will be to identify, enhance and
promote family resilience. Prominent features of resilient families include positive
outlook, spirituality, family member accord, flexibility, family communication, finan-
cial management, family time, shared recreation, routines and rituals, and support
networks. A family resilience orientation based on the conviction that all families have
inherent strengths and the potential for growth inclines the professional to focus on
families’ protective and recovery factors and facilitate access to community resources.
The growing literature on resilience at the family level, with the identification of key
factors for resilience in healthy families, offers increased support, tools and resources
to health professionals working in addiction and mental health for taking a family-
centred approach to treatment and recovery (Black & Lobo, 2008). This emerging
evidence base is a reminder that the work of welcoming, supporting and counselling
families is less about families as the source of problems and more about families as
resources for change and recovery that can provide the social support that predicts
better treatment outcomes.
At the Centre for Addiction and Mental Health in Toronto, we have been working for
more than 10 years to learn how to provide, evaluate and promote peer support and
psychoeducation resources for family members (O’Grady, 2005; O’Grady & Skinner,
2012). Our pilot project comparing a psychoeducation manual to a support group for
family members led to the creation of the Family Guide to Concurrent Disorders (O’Grady
& Skinner, 2007a), as well as a facilitator’s guide for clinicians who want to implement
peer support and education for family members (O’Grady & Skinner, 2007b). Working
with colleagues around Ontario, we extended our work to 20 communities, where,
in most cases, local addiction and mental health agencies collaborated in delivering
304 Fundamentals of Addiction: A Practical Guide for Counsellors
e ducation and support groups for family members. Evaluation results reinforced the key
finding of the first study: when pre- and post-participation scores are compared, those
participants showed measurable improvements.
Our findings (O’Grady & Skinner, 2012) confirm that participating in peer sup-
port and education groups or using the psychoeducation manual on its own are both
promising tools to support family members who want to be better equipped to address
addiction and co-occurring mental health problems in their families. Participants in
each option:
• perceived greater social support
• felt more personal mastery and empowerment
• felt less caregiver burden
• felt more hopeful, and perceived less stigma.
Our family guide and parallel group sessions (O’Grady & Skinner, 2012) addressed
the following themes:
• introduction to concurrent disorders (including pharmacotherapy and other treat-
ment issues and approaches, stigma, other effects on the family)
• understanding substance use and mental health problems
• social support needs
• self-care for family members
• crisis management
• relapse and relapse prevention
• recovery.
Donald’s mother, Wilma, and sister, Cathy, felt welcomed and accepted by
the health professionals at their local addiction agency. When they discov-
ered that the agency offered a 12-week family psychoeducational group,
they jumped at the opportunity to get more information and a higher level
of family support from professionals and others in similar situations. They
used the opportunity to learn more about mental health and addiction prob-
lems and how these problems take a major toll not only on the person with
the addiction and/or mental health problem, but on the family as a whole.
Peer support and input led to them feeling less alone and more able to
cope emotionally with the ongoing issues that arise with mental health and
addiction problems. They learned how to effectively deal with the common
cycle of relapse and recovery. They developed ways to do better self-care as
individuals and as a family. And they applied the communication skills they
learned to their interactions not just with Donald but with others, including
health care providers.
with the addiction problem (Garrett et al., 1997; Lam et al., 2011; Landau et al., 2004).
Although there is positive research support for CRAFT and ARISE—both methods that
use less confrontation and more motivational and contingency management strate-
gies—these clinical services are not widely available, and have not been chosen as the
basis for a reality TV show.
Family Therapy
Family therapy approaches to addiction have a long lineage, going back to the 1930s,
when psychodynamic approaches were used. In the 1950s, models based on family
stress and coping emerged. And in the 1970s, the three major models that prevail today
came on the scene: family systems models, behavioural models and the family disease
model (McCrady et al., 2011). All of these represent attempts to theorize and conceptual-
ize addiction problems and addiction treatments from family, interpersonal and social
systems perspectives.
A biopsychosocial perspective on addiction applies to a family care pathways
approach to addictive behaviours. Growing evidence is helping to detail how genetic fac-
tors create vulnerability to and resilience against addiction, while the family (understood
in the expanded way we define it here) is the developmental environment in which a
person develops from infancy through childhood and adolescence to adulthood (making
it the primary site of personal development and personality formation), as well as being
the social unit where values, attitudes and behaviours are modelled and learned. This
means that a family-based approach can be decisive all the way along the process that
starts with risk and vulnerability to addiction, to prevention and identification and, most
importantly here, to treatment and recovery.
Being able to involve positive social support that is family based and understand-
ing family challenges and issues, enhance the therapeutic opportunity to help clients
move toward optimal change and recovery. Family intervention approaches not only
highlight these contextual and developmental aspects of addiction problems; they also
open up the question of the presence of other problems related to mental and physical
health and other areas of functioning that affect well-being.
From the disease, behavioural and social systems models, Lam and colleagues
(2011) identify five specific practical approaches:
• The family disease approach looks at addiction as a family disease, relying on 12-step
work through Alcoholics Anonymous and other similar groups for the person with
the addiction, and Al-Anon and its kindred groups for the family. Concepts such as
disease, denial, co-dependence and enabling are core to this perspective, which lacks
a research base.
• In family systems therapy, the therapist joins with the family to restructure alliances
and interactional patterns as a way of resolving addictive behaviour. Some research
supports this approach for adult drug users.
Chapter 13 Family Pathways to Care, Treatment and Recovery 307
• Behavioural couple therapy is based on goal setting, behavioural alternatives and com-
munication skills. Particularly for treating alcohol problems, there is strong evidence
for improved abstinence and relationship outcomes.
• Network therapy supports the person’s recovery by engaging his or her social network.
Research findings support this approach for adults with alcohol problems.
• Ecological approaches, particularly multisystemic family therapy, have developed
as a family-based approach for adolescents with drug problems. Multidimensional
family therapy extended the systems orbit further to include school and other envi-
ronments in the treatment of young people with substance use, mental health, social
and legal problems.
The evidence for working with couples and significant others is actually stronger
than for working with families as a whole (Miller et al., 2011), which argues for the
need for further research and evaluation in developing more family-centred treatment
options. Another area where family-involved treatment has proven to be particularly
effective is with ethnically diverse youth who have serious substance use problems (Lam
et al., 2011; Liddle et al., 2005).
Currently, less than 15 per cent of specialized addiction agencies in Canada provide
any form of family counselling or other service (Beasley et al., 2012). There is now posi-
tive advice recommending a range of proven or promising therapies that build family
care pathways in treatment and recovery. Whatever the approach, three areas have been
identified as key to therapeutic success: helping the person with the addiction problems
make healthy changes; changing the behaviour and coping patterns of family members;
and modifying dysfunctional interaction patterns (McCrady et al., 2011).
Another area the counsellor needs to be skillful in assessing is violence and
aggression in the family. Violence and aggression manifest in various ways, including
verbal, emotional, physical and sexual abuse. Where children are the victims, counsellors
are obligated to report to child welfare agencies that are charged to formally investigate
these issues. By far the most common reports of family violence involve women and
children as the victims. It is important in assessing toxic and abusive processes in
the family to take a comprehensive approach. The processes that lead to aggressive or
abusive events can be complex and involve different relationships, such as sibling to
sibling, child to parent and woman to man. It is important to decide on the safety and
risk issues involved in families where family violence is a factor. This is an area of work
that requires extra skills and supports for the therapist, including active supervision and
consultation. Rather than presuming that these factors preclude working with the family,
it is worth noting that the evidence shows that family-based treatments tend to reduce
family violence and increase child functioning (McCrady et al., 2011).
Addictions have a profound impact on couples and families. For family members,
these difficulties can create high levels of distress (Hodgins et al., 2007), communication
problems and conflict in relationships, physical and mental health problems, isolation
(Dickson-Swift et al., 2005), intimacy issues, increased risks of family violence (Korman
et al., 2008), parenting issues and higher rates of separation and divorce (Black et al.,
308 Fundamentals of Addiction: A Practical Guide for Counsellors
2012). Addictions often erode trust, create distance and breed conflict in relationships.
Families affected by addiction often experience intense emotions, including anger,
shame, guilt, fear and worry.
The relationship between family dynamics and addictive behaviour is bidirec-
tional. While addictive behaviours can challenge and compromise family functioning
and cohesion, compromised family functioning and weak cohesion may challenge
healthy behaviours and encourage addiction (McCrady et al., 2011).
Family therapy can offer families a safe therapeutic space to work through difficult
emotions, develop more effective communication skills, establish appropriate family
roles and boundaries and rebuild relationships. Research has shown that better family
functioning is linked with improved treatment outcomes (Fals-Stewart et al., 2005). Yet
despite the benefits, very few treatment centres offer family or couple therapy (Beasley
et al., 2012; Csiernik, 2002).
Balancing the divergent needs of family members and intense emotions and con-
flict can be challenging for therapists. At the same time, helping family members move
from feeling overwhelmed to regaining hope and belief in the possibility of change can
be incredibly rewarding. Even when reconciliation is impossible, family therapy can still
succeed in helping members identify irresolvable conflicts and work toward responsible,
respectful decision making and action.
The next sections provide a quick overview of some key ingredients in family
therapy—assessment, alliance building and contracting. We also identify ethical issues
that may arise and highlight effective therapeutic strategies.
Assessment
Couple and family therapy begin with a comprehensive initial assessment. This creates
an opportunity to understand the family’s current difficulties, as well as its strengths.
Safety issues should be assessed as early as possible, and regularly throughout therapy.
The therapist informs the family members before starting the assessment that one
purpose of assessment is to ascertain whether family therapy is the best option, or
whether other services or modalities may be more suitable. A well-conducted assessment
enhances the family’s sense of trust and safety, and helps to clarify the goals of therapy
and the roles of each participant. While validating the impact addiction has had on the
family, the therapist focuses more on how the addiction (rather than person) has affected
each family member, and how the family interacts, communicates and solves problems.
The therapist starts where clients are at for the assessment, since they may each
arrive with a different motivation level. It is important to find common ground, rather
than trying to pull someone in the direction of the majority. The presenting problem is
often a starting point and gradually the therapist broadens the focus. After the therapist
has listened to each person’s experience and perception of the problem, the subject can
be expanded by asking about other issues that may be affecting the presenting problem
or that may predate the addiction. Ideally, the therapist takes time to explore each family
Chapter 13 Family Pathways to Care, Treatment and Recovery 309
member’s individual history, including information about family of origin, trauma his-
tory and mental health and addiction history. Although assessments tend to take more
time when the family is involved, this involvement can yield useful information. Some
therapists see family members separately for the assessment, although this should be
done judiciously because it undermines the overall alliance with the family if members
think the therapist is partial to or secretly aligned with particular members.
The therapist gathers all of the information and makes a clinical formulation
highlighting the strengths and strategies the family has drawn on in the past that have
been successful in coping with the problem. Focusing on what works can instil hope,
which has been found to contribute to successful treatment outcomes (Sprenkle et al.,
2009). Separating the problem from the person, and shifting the focus from past disap-
pointments to present opportunities, can foster hope, increase motivation and help build
a good working relationship with the family.
While the therapeutic alliance is important in all forms of therapy, in couple and family
therapy, connecting and maintaining a working alliance with each person is especially
important, since a good alliance fosters a sense of safety in therapy (Friedlander et al.,
2006). Establishing a therapeutic alliance can be more challenging than in individual
therapy because the family therapist must establish and maintain multiple alliances with
family members who may have divergent motivations about seeking help, have different
perceptions of the problem and be at different stages of change. Each family member
needs to feel validated and understood. Ruptures, breaches or impasses in the therapeu-
tic alliance can be interpreted by therapists as “resistance.” Steve de Shazer (1984), the
pioneer of solution-focused therapy, proposed that when the therapist experiences the
client as being resistant, the therapist should reframe this as a signal that the client is
feeling misunderstood. An essential task in therapeutic engagement is for the counsellor
to ensure the client feels understood.
Creating a safe space in family therapy greatly enhances the quality of the thera-
peutic alliance. In family therapy, family members have less control over how and when
information is disclosed to the therapist or to other family members. Individuals and
families often feel shame, guilt, anger and frustration when facing problems related
to addiction. Uncertainty and fear about what might be said in a counselling session
can provoke great anxiety. For families that have experienced an addiction, the levels of
emotional intensity present can interfere with alliance building. Joining with each per-
son, including more ambivalent or reluctant members, is a fundamental task in family
therapy. The therapist helps family members cope with difficult or unexpected disclo-
sures, vulnerability and conflict. The ability to manage and effectively guide the family
through these incidents builds a sense of safety, and strengthens the working alliance.
The strength of the therapeutic alliance is influenced not only by the quality of
the bond between clients and therapist, but also by the therapist’s understanding of the
310 Fundamentals of Addiction: A Practical Guide for Counsellors
issues in the family and the goals and tasks that are contracted with the client. Creating
a “shared sense of purpose” will influence the family’s engagement in therapy and the
alliance with the therapist (Friedlander et al., 2006). The therapist’s skill at reframing
contentious statements made by family members, finding common purpose and helping
create unified family goals can engender hope and unity in a family that may be feeling
disconnected and conflicted.
A contract or treatment plan defines the common goals identified and agreed on by the
therapist and family members. Families dealing with addictions often have incongruent
goals when they come to therapy. Contracting operationalizes the action steps that the
therapist and family members agree on in order to reach the goals they have decided to
work on. Participants negotiate what tasks need to be accomplished, by whom and by
when. Doherty (2002) notes that lack of structure in family therapy is one of the most
common problems among therapists, especially inexperienced ones. Contracting ide-
ally starts during the assessment, and is reviewed and revised regularly. It outlines the
treatment goals and structure (number of sessions, frequency, place, participants), role
of the therapist and ethical considerations, such as confidentiality. It is common practice
in couple and family therapy to contract for a specified number of sessions. For example,
the therapist proposes six to eight sessions, to be renegotiated as needed. Frequency can
vary, although sessions are usually weekly at the beginning of treatment.
Many practice dilemmas, including ethical issues, can arise in family therapy. The most
common issue is confidentiality, although there are other ambiguous quandaries, such
as dual roles, documentation, role of the therapist and knowing clearly who the client
is. Family therapists must adhere to the policies of the agency or hospital in which they
work, and to the code of ethics and professional standards of their accreditation body.
While these policies and accreditation bodies offer overarching principles and guide-
lines, they often do not answer specific questions that therapists have when working with
families on addiction issues.
Having access to supervision and consultation is vital in any area of clinical
practice, but this level of expertise is not always readily available for couple and family
therapy. As the addiction field follows the evidence base, more family-based services will
be available. A broader base of supervisory expertise specializing in family treatment will
gradually emerge. In the meantime, therapists and agencies may need to look outside
the addiction field to get the ongoing supervision and support that staff needs to develop
and maintain competencies in this area. Internet-based technologies are improving
access to these supports and facilitating the growth of peer communities of practice for
counsellors doing couple and family therapy. In addition to clinical supervision, self-
Chapter 13 Family Pathways to Care, Treatment and Recovery 311
and may also resemble the types of interactions they have at home. If you want clients
to hear, see, feel and understand what is being said or not being said during a session,
slow things down by highlighting profound statements, staying focused when discuss-
ing sensitive subjects and helping each family member express and receive emotion.
Using enactments
Enactment simply means having family members talk to one another in a therapeutic
session rather than speaking only to or through the therapist. While enactments have
been shown to be a core mechanism of change in family therapy, they require structure
and support from the therapist; otherwise they can feel unsafe. Coach clients if they are
having difficulty trying to talk to family members. Create a safe space, since clients are
more emotional and vulnerable when they speak to one another. Guide couples experi-
encing distress during enactments.
Containing, slowing down, drawing out, focusing on process and using enact-
ments: these illustrate some ways the couple or family therapist works in a relational
context. Using these and other strategies, as well as many key skills, the therapist helps
the family change unhealthy family patterns and shift from a problem-centred focus
to a strengths-based one. Family members have a different interactional experience,
one that is more contained, safe and purposeful. This helps a family reorganize and
direct itself away from the destabilizing effects that overwhelming problems can pro-
duce. Evidence suggests that couple and family therapy can elicit significant positive
changes, including more effective communication, decreased conflict and better prob-
lem solving (O’Farrell & Fals-Stewart, 2002). Family therapy can also have secondary
effects on children or others who are not part of the therapy, but who are touched by
the problem (Fals-Stewart et al., 2005). When terminating therapy with families that
have been through a long recovery process, it is important to underline the changes
and gains they have made in therapy.
Tony’s wife, Natalia, was the first to call the problem gambling treatment
centre to inquire about services for her husband. Although the intake co-
ordinator explained that Tony needed to self-refer, she spent a considerable
amount of time explaining the services to Natalia and listening to her worries
and frustrations. Later when Tony called, he was referred to an individual
Chapter 13 Family Pathways to Care, Treatment and Recovery 313
Still, Natalia harboured a lot of anger because she felt Tony did not recognize
the problem and its toll on their family. Tony did not feel safe about being
vulnerable, since in the past when he tried to tell Natalia how sorry he was,
it would come out wrong and Natalia would become infuriated. When she
became angry, she would bring up a lot of the things Tony had done in the
past about which he carried a lot of shame. He thought that staying quiet
was a better option. The therapist helped Tony express himself and helped
Natalia let her guard down and listen to her husband talk about past difficul-
ties. Tony and Natalia learned to talk to each other and were able to work
through previous unresolved issues. Their children participated in a few ses-
sions, talking about their own fears and incidents they had witnessed. The
family became more united after 14 sessions and more supportive of one
another as it continued to deal with financial issues that had resulted from
the gambling.
Conclusion
Family pathways to care, treatment and recovery open up the space so that addiction
counsellors and their agencies can work more effectively. They allow addiction agencies
to open doorways to constructive inclusion of concerned others to address the challenges
of resolving addiction problems: as part of a person’s treatment, as a parallel to indi-
vidual treatment or as family interventions in their own right, with or without the person
with the addiction being involved in care. Family pathways need to be available before,
during and after addiction treatment. Although not a panacea, and not always indicated,
the supportive involvement of family members and concerned others is among the most
significant factors in completing treatment, adhering to goals and preventing relapse.
Rather than placing responsibility for change exclusively on the shoulders of one person,
family pathways to care see the client in an interpersonal context, actively mobilizing
314 Fundamentals of Addiction: A Practical Guide for Counsellors
people who can play a positive role in recovery. The family’s involvement does not
exempt the person with the addiction from taking responsibility; rather, the family’s
involvement helps the person succeed with change and recovery goals. By enlisting the
support of concerned others, by locating the addiction within the interpersonal context
of the client’s everyday life and by guiding family members through practical tasks and
actions, recovery becomes a collaborative rather than solitary project, as well as a journey
involving concrete and practical tasks and milestones that can be pursued together.
For many clinicians and in many treatment settings, an approach based on family
care pathways represents a shift away from an interventive paradigm almost exclusively
focused on the treatment of individuals toward a recovery-oriented approach that seeks
to engage, support and extend the immediate social support available to people with
addiction issues. Building on the family options for support and treatment that already
exist, we have a continuing opportunity to develop a more robust capacity to create fam-
ily care pathways that welcome and involve all families as partners in treatment and
recovery, offer education and support to as many as possible, and provide formal treat-
ment to the smaller set of families ready to take that step.
Practice Tips
Resources
Publications
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O’Grady, C. P. & Skinner, W.J.W. (2007). A Family Guide to Concurrent Disorders. Toronto:
Centre for Addiction and Mental Health. Retrieved from http://knowledgex.camh.
net/amhspecialists/resources_families/Documents/Family_Guide_CD.pdf
Meyers, R.J. & Wolfe, B.L. (2004). Get Your Loved One Sober: Alternatives to Nagging,
Pleading and Threatening. Center City, MN: Hazeldon.
Sloss. C., Buddra, S., Kelly, C., Shenfeld, J. & Tait, L. (2008). Families CARE: Helping
Families Cope and Relate Effectively. Facilitator’s Manual. Toronto: Centre for Addiction
and Mental Health.
316 Fundamentals of Addiction: A Practical Guide for Counsellors
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Chapter 13 Family Pathways to Care, Treatment and Recovery 319
Leisha attended the two meetings, reporting after that the personal connec-
tion helped her feel more comfortable and facilitated introductions to other
members. Despite her ambivalence about quitting alcohol completely, she
reported feeling “a boost” from meetings and liked many of the people she
met there. Over the ensuing weeks, further attendance and involvement was
322 Fundamentals of Addiction: A Practical Guide for Counsellors
Peer-led mutual help organizations for people with substance use disorders, such
as Alcoholics Anonymous (AA), Women for Sobriety (WFS) and SMART Recovery,
have grown in size and number over the past 75 years (Humphreys, 2004; Kelly &
Yeterian, 2008a; White & Kurtz, 2005). Mutual help groups (sometimes referred to as
self-help groups or mutual aid groups) are the most frequently sought source of help for
substance-related problems in the United States (Substance Abuse and Mental Health
Services Administration [SAMHSA], 2010). Clinical practice guidelines of the American
Psychiatric Association and the Department of Veterans Affairs recommend referral to
these groups. The widespread availability of mutual help groups in most communities,
as well as flexible access to group members by phone, e-mail and texting, makes these
resources well suited to addressing the chronic relapse risks associated with substance
use problems (Hser & Anglin, 2011; Humphreys & Tucker, 2002).
Literature reviews identify strong evidence for the effectiveness of AA and
encouraging evidence for the benefits of Al-Anon (for family members) and Narcotics
Anonymous (for any drug, including alcohol). There has been very little research on
12-step alternatives, but the evidence that does exist suggests a positive relationship
between participation in these groups and improved outcomes (Atkins & Hawdon,
2007). Many (though not all) of the mechanisms and types of change experienced
by mutual help group members parallel those mobilized by professional treatments
(Kelly et al., 2009). In addition, several recent studies testing professionally delivered
interventions designed to increase client engagement with mutual help groups (i.e.,
12-step facilitation [TSF]) indicate that clinicians who take an active role in facilitating
client involvement can increase clients’ chances for recovery (e.g., Kaskutas et al., 2009;
Project MATCH Research Group, 1997; Walitzer et al., 2009). This chapter provides
counsellors with background information, research evidence and clinical strategies
related to helping clients make use of these empirically supported community resources.
Mutual help groups are usually formed and led by people with a common experience
or problem who share their experiences and support with one another. Table 14-1 lists the
six types of mutual help groups discussed in this chapter: AA and related 12-step organiza-
tions, Moderation Management (MM), Self Management and Recovery Training (SMART
Recovery), Secular Organizations for Sobriety (SOS), LifeRing and WFS. We devote the most
attention to AA because it is the oldest, largest and most researched mutual help organization.
TARGET NUMBER OF GROUPS THEORETICAL THERAPEUTIC
NAME AND WEBSITE PROBLEM IN U.S. AND CANADA ORIENTATION GOAL(S) KEY INTERVENTIONS
Chapter 14
Alcoholics Anonymous Drinking 56,000 groups in U.S. 12-step Abstinence Belief in higher power
(AA) 5,800 groups in of individual’s own
www.aa.org Canada choosing
Online meetings Sponsorship
Working the steps
Narcotics Anonymous Any drug, 15,000 groups in U.S. Service to others and
(NA) including 1,000 groups in the group
www.na.org alcohol Canada
Online meetings
Self Management and All addictive 600 groups in U.S. Cognitive- Abstinence Enhancing and
Recovery Training behaviours 25 groups in Canada behavioural ommended, maintaining
(SMART Recovery) Online meetings moderate use motivation
www.smartrecovery.org acknowledged Learning to cope with
as a possibility urges
Managing thoughts,
feelings and actions
Balancing short- and
long-term needs
www.sossobriety.org individual
Women for Sobriety Alcohol 100 groups in U.S. Cognitive Abstinence 13 affirmations
(WFS) and Canada Positive thinking
womenforsobriety.org Online meetings Relaxation, diet,
exercise
Approval and
encouragement from
group
Chapter 14 Mutual Help Groups 325
Alcoholics Anonymous
AA is the most widespread and well-known mutual help organization for people with
substance use problems. It is estimated to have two to six million members worldwide,
about half of whom live in Canada and the United States (AA, 2008; Humphreys, 2004).
The 12 steps of the AA program (see Table 14-2) lead people through a series of cognitive
and behavioural exercises to promote a “spiritual awakening” or “psychic change,” which
is AA’s chief purported mechanism of recovery from alcohol addiction. These changes
occur within the rich social context of the AA fellowship. In fact, research suggests that
AA’s ability to facilitate and mobilize social network changes is one of its main mecha-
nisms of action (Kelly et al., 2012).
Meetings
Depending on the size of the community, the number of meetings ranges from one to
many hundreds. Locations include rented rooms in church basements, hospitals and
recreation centres. Phone numbers for local AA offices can be found with a quick web
search or in the telephone book and can direct people to the nearest and most appropri-
ate meeting. Like all the other mutual help organizations discussed in this chapter, AA
also has a significant Internet presence that includes online meetings.
Typical format
Meetings typically last between 60 and 90 minutes and are highly varied in format and
content. Some begin with a moment of silence followed by readings from AA literature,
such as from the fellowship’s main text, Alcoholics Anonymous, more commonly referred
to as the “Big Book” (AA, 2001). There may also be a short prayer at the beginning of the
meeting (e.g., the Serenity Prayer: “God grant me the serenity to accept the things I cannot
change, the courage to change the things I can, and the wisdom to know the difference”).
Meetings almost always involve some type of oral account of members’ life experiences.
Chips or tokens are sometimes awarded to people who have reached abstinence milestones
(e.g., 30 days, one year), which some members carry with them as a recovery reminder.
Because AA has a tradition of being fully self-supporting and declining outside financial
contributions, a voluntary collection is taken. The main portion of the meeting focuses on
a recovery topic, an AA reading or a speaker’s story, which may be followed by open discus-
sion. Meetings typically close with a prayer for those who wish to recite it.
Types of meetings
Larger communities often have AA meetings serving particular subgroups, such as women,
youth and gay men or lesbians. Some offer meetings in languages other than English or
French. AA meetings also vary in the level of desired anonymity (“open” vs. “closed” meet-
ings) and format (“speaker-discussion” or “speaker only” vs. “literature-focused” meetings).
326 Fundamentals of Addiction: A Practical Guide for Counsellors
Only members or potential members may attend AA’s closed meetings. Because
these meetings are not accessible to the general public, participants may feel more com-
fortable attending and disclosing information about themselves. In contrast, anyone is
welcome to attend open meetings. Family members, friends, health care professionals
and students may attend to provide support or to learn more about AA.
A common type of AA meeting format is the “speaker-discussion” meeting, in
which a member recounts his or her story of addiction and recovery, often including how
he or she works the 12 steps in daily life. The presentation is followed by open discus-
sion. In contrast, in a “speaker” meeting, one or several people speak at length about
their recovery experiences without any discussion by other members. Recordings of
speaker meetings from various 12-step organizations can be downloaded for free online.1
Counsellors may find these recordings useful for familiarizing themselves with 12-step
stories, as well as 12-step principles and practices.
Other meetings focus on AA literature such as Living Sober (AA, 1998), Twelve
Steps and Twelve Traditions (AA, 1952) or the “Big Book” (AA, 2001). In these meetings,
a step or chapter is read and discussed in relation to members’ life experiences. These
are most often closed meetings.
Guiding Principles
1 Recordings of speaker meetings from various 12-step organizations can be downloaded for free at http://xa-speakers.org.
Chapter 14 Mutual Help Groups 327
Sponsorship
Sponsors are mentors who, by virtue of well-established abstinence and adjustment to
sobriety, serve as models and provide help to those they sponsor. They share how they
use the tools of the program to help them cope effectively without drinking. The relation-
ship is one of trust and acceptance, which develops over time.
Newcomers are encouraged to seek out an established member with whom they
believe they could feel comfortable and whose sober lifestyle they admire. Newcomers
then ask the person to serve as a sponsor. AA recommends that the sponsor and the
sponsored person be of the same sex to avoid potential romantic complications (AA,
1994). For people who are gay or lesbian, this may mean someone of the opposite sex.
Sponsored people who have abstained from alcohol for at least several months and
have worked the 12 steps are often encouraged to become sponsors themselves. Research
has shown that both having a sponsor during early recovery (Subbaraman et al., 2011;
Tonigan & Rice, 2010) and serving as a sponsor (Crape et al., 2002; Cross et al., 1990)
are strongly associated with abstinence.
table 14-2
Interpretation and Potential Therapeutic Outcome of AA’s 12-step Process
THERAPEUTIC
STEP THEME MEANING OUTCOME
THERAPEUTIC
STEP THEME MEANING OUTCOME
THERAPEUTIC
STEP THEME MEANING OUTCOME
Source: Kelly, J.F. & McCrady, B.S. (2008). Twelve-step facilitation in non-specialty settings. Recent Developments in Alcoholism,
18, 321–346. Adapted with permission.
Service
Service work can take many forms—from helping to set up meetings, to making coffee,
being responsible for literature or looking after the group’s finances. It can also involve
serving as the secretary of a meeting or being the group representative at regional
events. These activities may increase self-esteem and confidence among members, and
enhance social integration, as well as decreasing self-centredness, which AA considers
a barrier to attaining sobriety. Service is seen as an essential part of recovery, in that it
helps members become more responsible for their personal success, as well as that of
the fellowship. Recent research has linked AA-related helping to improved substance use
outcomes (see Pagano et al., 2011, for a review).
Resistance to AA
Counsellors or clients may object to some aspects of the AA program. They may find the
spiritual approach unfamiliar, too religious or not religious enough. Some people may
find it objectionable to attend meetings with “alcoholics.” They may not want to be in
church basements or in groups. They may find meetings monotonous, boring or ritualis-
tic. They may express fears of becoming dependent on AA and their higher power. They
may still want to drink alcohol or use other drugs. They may fear being told they must
stop taking prescribed medication (e.g., antidepressants). Some people are unwilling to
believe they are “powerless over alcohol.” Some of these objections are specific to AA,
while others represent a client’s general reluctance to engage in any form of mutual help
or continuing care. Importantly, there are now evidence-based strategies that clinicians
can use to help clients consider and overcome many of these barriers. (For a review of
these strategies, see Kelly & Yeterian, 2011.)
unwelcome in traditional 12-step meetings that focus on total abstinence from all sub-
stances (Gilman et al., 2001).
Many members of these groups also attend AA, where they may find people who
have been abstinent longer, giving them the hope and example that newcomers seek,
while also receiving help for concurrent alcohol use. More often than not, CA and NA
members also have alcohol use problems. Although a person’s primary drug of choice
may not exactly match that of a specific 12-step fellowship, the person can still benefit
from attending (Weiss et al., 2000).
Moderation Management
Moderation Management (MM) is the only mutual help organization that targets people
whose drinking problems have never reached the point of dependence (Kishline, 1994).
MM is also the only mutual help group that does not advocate complete abstinence
from alcohol (Kelly & Yeterian, 2008a). Instead, its main aim is to help people who have
drinking problems but are not addicted to return to moderate levels of consumption.
MM’s current North American membership is not precisely known, but is estimated
to be between 3,000 and 4,000 people (J. Mergens, personal communication, April 19,
2012), with most of the mutual support being provided through online meetings (Kelly &
Yeterian, 2008a; Lembke & Humphreys, 2012). Survey research indicates that the typical
MM member is Caucasian, well educated and employed; most members show no signs of
physical dependence on alcohol and do not use illicit drugs (Humphreys & Klaw, 2001).
MM encourages people who are concerned about their drinking to take action to
change as soon as possible, before drinking problems become severe (MM, 1996). It advo-
cates a 30-day period of complete abstinence, followed by a carefully self-monitored return
to drinking. MM also encourages abstinence as a “fall-back if moderation doesn’t work”
(MM, n.d., p. 4). For guidance through the change process, MM provides a nine-step pro-
gram, which provides information about alcohol, moderate drinking guidelines and limits,
drink-monitoring exercises, goal-setting techniques and self-management strategies.
SMART Recovery
Self Management and Recovery Training (SMART Recovery) is an outgrowth of another
mutual help organization, Rational Recovery. SMART Recovery has more than 600
groups throughout the world, most of them in the United States (Allwood & White,
2011). Lately, it has expanded particularly dramatically in the United Kingdom, where
dozens of groups have formed in recent years. SMART Recovery is based on a cognitive-
behavioural model and is centred on four main themes:
1. enhancing and maintaining motivation to abstain
2. coping with urges
Chapter 14 Mutual Help Groups 333
When success is achieved, graduates may choose to leave or stay with their group to help
others (SMART Recovery, 1996).
Meetings
Ten to 12 people usually attend meetings, which are led by trained facilitators who are not
required to be in recovery themselves and who may be professionals (Horvath & Yeterian,
2012). Each group has a professional therapist advisor who may or may not attend every
meeting. This person is available to the facilitator for guidance in group functioning, to
teach a new strategy or to be available if a member is in trouble. With greater professional
involvement than most other mutual help groups, SMART Recovery might be considered
a somewhat different form of help than other purely non-professional groups.
Groups meet once or twice weekly with the aim of helping members gain more
control over their thinking, emotions and behaviour, and develop effective relapse-
prevention skills. Meetings last 90 minutes and begin with a brief introduction, a 10- to
20-minute check-in and a brief agenda-setting period. The next 40 to 50 minutes are
designated as “working time,” when members may talk about their experiences with
recovery and relapse, discuss strategies for avoiding relapse and analyze their thinking
(Bishop, 1995). Social skills training and role-playing may be part of the program. Cross-
talk is encouraged, with members confronting others when they want them to recognize
the irrationality of their thinking and behaviour. At the end of the meeting, a collection is
taken to defray costs, followed by a 15-minute check-out period. Members may exchange
phone numbers to keep in touch between meetings.
Bishop (1995) reports that, because of the emphasis on rationality and the absence of
a spiritual focus, many people find SMART Recovery helpful, whereas others find the
confrontation upsetting. Some people attend both AA and SMART Recovery. Others who
have tried SMART Recovery find it “as unsatisfactory as AA,” which may reflect a gener-
alized aversion to groups or to stopping alcohol consumption (Bishop, 1995).
approximately 120 meetings in the United States and Canada, along with several online
support forums and chat rooms. SOS is an alternative for people who are uncomfortable
with the spiritual content of 12-step programs. It credits the individual with achieving and
maintaining abstinence and encourages using the scientific method to understand alcohol
problems. Like AA, SOS expresses no opinion on external social or political matters.
Meetings
SOS groups have a maximum of 20 people and leadership is shared. The meeting
structure and format are established by the group. Members are expected to choose
non-destructive, rational and sober approaches to living the “good life” (SOS, 1996).
Abstinence anniversaries are acknowledged. New members are encouraged to attend
meetings at least once a week for the first six months, followed by “booster” meet-
ings as needed. Pamphlets and books are available at meetings, and the SOS National
Clearinghouse publishes a quarterly newsletter.
LifeRing
Formed in 1999, LifeRing is one of the newest mutual help groups, with about 140 groups in
four countries and 16 online forums and e-mail lists. More than half of the North American
LifeRing groups are in northern California. Like SOS, LifeRing takes a secular approach to
addiction recovery and encourages participants to figure out their own path to recovery from
alcohol and other drugs. LifeRing emphasizes positive reinforcement from the group and
personal responsibility for sobriety as key mechanisms of change. Its “3-S” philosophy is:
1. sobriety (i.e., “We do not drink or use, no matter what”)
2. secularity (i.e., members’ religious beliefs, or lack thereof, remain private and are not
related to program or meeting content)
3. self-help (i.e., recovery depends on the motivation and effort of the individual, rather
than a particular theoretical model or set of steps). (White & Nicolaus, 2005)
Meetings
LifeRing groups typically meet for one hour per week. Meetings are led by “convenors,”
or lay people in recovery. Format varies, but usually includes a discussion of each partici-
pant’s past week and that person’s planning for sobriety in the coming week. Discussing
distant substance use histories is discouraged. In contrast to AA and other 12-step fel-
lowships, non-confrontational “cross-talk” (talking directly to and receiving feedback
from other members during the meeting) is encouraged and members are encouraged
to be in touch with one another between meetings. Group members provide positive
reinforcement to one another during meetings.
Chapter 14 Mutual Help Groups 335
table 14-3
Women for Sobriety 13 Statements of Acceptance
5. I am what I think.
Meetings
Effectiveness
Cost-Effectiveness
Involvement in 12-step organizations can reduce the need for more costly profes-
sional treatments while simultaneously improving outcomes. Humphreys and Moos
(1996) found that people who attended only AA had overall treatment costs that were
substantially lower than those of people who attended outpatient treatment, at no detri-
ment to their substance use outcomes and despite experiencing more drinking-related
consequences at the beginning of the study. Similarly, a study of more than 1,700
substance-dependent males found that those who were treated in 12-step programs
participated in community-based 12-step meetings much more than those treated
under a cognitive-behavioural therapy (CBT) model, which translated into a two-year
savings of more than US$7,000 per person, again without compromising abstinence
rates (Humphreys & Moos, 2001; 2007). In fact, those from 12-step treatments had one
third higher rates of abstinence than those who had received CBT, despite the similar-
ity of groups at baseline. Empirical research supports the common sense notion that
participating in low-cost community resources can reduce the need for more expensive
professional treatments, thereby reducing treatment costs overall.
Efficacy
It would not be appropriate to study the efficacy of mutual help groups using random-
ized controlled trials (where participants would be randomly assigned to attend mutual
help groups or not), since real-world mutual help groups are attended voluntarily and do
not follow standardized procedures. However, efficacy trials have been conducted on pro-
fessional interventions, namely TSF, that are designed to increase clients’ involvement in
mutual help groups. Project MATCH (1993) has been the largest of these studies, with
1,726 male and female participants. In Project MATCH, TSF treatment was compared to
motivational enhancement therapy (MET) and CBT. Results revealed that TSF increased
12-step group attendance and was as effective as CBT and MET at reducing the quan-
tity and frequency of alcohol use post-treatment, and at one- and three-year follow-ups.
Moreover, TSF was superior to CBT and MET at increasing rates of continuous absti-
nence (Tonigan et al., 2003).
Similar findings have been demonstrated in other randomized controlled trials
that use various forms of TSF. These studies consistently show that TSF interventions
produce substance use outcomes that are superior to control conditions (Kaskutas et
al., 2009; Litt et al., 2009; Timko et al., 2006; Walitzer et al., 2009). As a result of this
growing empirical support, TSF was recently recognized as a “well supported treatment”
by Division 12 of the American Psychological Association and was added to SAMHSA’s
National Registry of Evidence-Based Practices and Programs in 2008.
338 Fundamentals of Addiction: A Practical Guide for Counsellors
Some counsellors express concern about whether substance-focused mutual aid groups
are appropriate for people with comorbid substance use and mental health problems.
The principal fear is that group members may persuade these clients to stop taking their
psychotropic medication. Research in this area is scarce, but suggests that a small minor-
ity of substance-focused mutual help group members oppose medication use (Rychtarik
et al., 2000; Tonigan & Kelly, 2004). Even so, many people with comorbid disorders may
benefit from attending mutual help groups, so counsellors may wish to prepare them
to cope with potential opposition to psychotropic or anti-dipsotropic medication (i.e.,
medication intended to help a person reduce or eliminate alcohol consumption), such as
naltrexone. Furthermore, there is no evidence that 12-step members are any more skepti-
cal of psychotropic medication than anyone else; they may even be less so.
How much people with comorbid problems attend and benefit from mutual help
groups may depend on the particular combination of problems. For example, people
with substance use problems and posttraumatic stress disorder appear to participate in
and benefit from 12-step groups as much as people with substance use problems alone
(Ouimette et al., 2001). In contrast, people with substance dependence and psychotic
disorders such as schizophrenia may have difficulty fitting in at meetings and may not
benefit as much as others (Bogenschutz & Akin, 2000). The same may be true with
severe major depressive disorder (Kelly et al., 2003). Thus, different subgroups will vary
in how well they fit into groups and how much benefit they receive. Newer mutual help
organizations such as Double Trouble in Recovery and Dual Recovery Anonymous may
be a better fit for clients with concurrent disorders (for a review, see Kelly & Yeterian,
2008b).2 These groups focus on both substance use and mental health problems, and
so may be a better fit for clients with concurrent disorders; for example, they explicitly
encourage members to take their medication.
Youth
Some counsellors who work with adolescents and young adults are concerned that
most mutual help groups are geared toward an older demographic (i.e., people in their
40s). Compared to adults, young people tend to have less severe addictions, which may
make abstinence-focused groups less appealing to them. Young people also face differ-
ent life-stage challenges and are less likely to have marital or employment concerns.
Nevertheless, adolescents and young adults have been shown to attend and benefit from
mutual help groups (Alford et al., 1991; Chi et al., 2009; Kelly et al., 2002; Kelly et al.,
2 For more information about Double Trouble in Recovery, visit www.doubletroubleinrecovery.org. For more information
about Dual Recovery Anonymous, visit http://draonline.org.
Chapter 14 Mutual Help Groups 339
2008; Kelly, Dow et al., 2010; Kennedy & Minami, 1993). Youth may benefit more if they
attend meetings at which others of their age are present (Kelly et al., 2005). Given the
potential benefit of mutual aid groups, counsellors should direct youth to 12-step young
people’s meetings whenever possible.
Conclusion
Various substance-focused mutual help organizations exist and are growing in both size
and variety (Kelly & White, 2012). Current evidence suggests that people who attend
12-step groups such as AA or NA have significantly better outcomes than people who
do not attend these groups. Other non-12-step mutual help groups may confer similar
benefits, but await more formal investigation. Discussing alternatives with clients and
facilitating their exposure to other options may increase the likelihood that clients will
engage in and benefit from mutual help groups (Kelly & White, 2012). This involvement,
in turn, significantly increases the chances that clients will initiate and sustain recovery,
especially after counselling ends.
Practice Tips
• Make contacts and actively facilitate attendance. Keep in touch with for-
mer clients who attend mutual help groups and develop a list of people
who volunteer to take a client to his or her first meeting. Be willing to put
clients in contact with mutual aid group members through counselling
sessions, as this can be very influential in a client’s decision to attend
(Sisson & Mallams, 1981; Timko et al., 2006).
• Ask clients to become involved in mutual help groups early in their
therapy and follow up with them. This strategy allows the client to get
used to the groups and discuss concerns before counselling ends. Some
counsellors ask clients to keep a journal of their experiences at meetings
for discussion in sessions. Counsellors should encourage clients to attend
at least two or three meetings per week, as this has been associated with
a decreased likelihood of relapse (Etheridge et al., 1999; Kelly et al., 2006;
Kelly et al., 2008).
• Direct clients to suitable meetings and prepare them for what to expect.
When recommending meetings to clients, it is best to have a sense of
which groups may be a good fit. For example, if you are working with
adolescents or young adults, suggest meetings where other young people
may be present (e.g., young people’s AA meetings). If you are working
with clients with concurrent substance use and mental health problems,
direct them to “dual recovery” meetings, meetings that are more “medica-
tion friendly” or meetings where other people with concurrent issues will
be present to provide support. It is wise to discuss the potential barrier
of “poor fit” at the outset of counselling, while emphasizing that clients
should be persistent in seeking a group that is a good fit for them.
• Emphasize the diversity of meetings. The character, philosophy and
membership of different organizations can vary, as can different group
meetings within the same organization. Thus, it is important to tell cli-
ents that if they don’t like the first meeting they attend, they should still
try other meetings and not use this single experience to justify rejecting
mutual group involvement altogether.
Chapter 14 Mutual Help Groups 341
Resources
Publications
Humphreys, K. (2004). Circles of Recovery: Self-Help Organizations for Addictions.
Cambridge, United Kingdom: Cambridge University Press.
Humphreys, K. & Moos, R.H. (2007). Encouraging post-treatment self-help group
involvement to reduce demand for continuing care services: Two-year clinical and
utilization outcomes. Alcoholism: Clinical and Experimental Research, 31, 64–68.
Kelly, J.F., Magill, M. & Stout, R.L. (2009). How do people recover from alcohol depen-
dence? A systematic review of the research on mechanisms of behavior change in
Alcoholics Anonymous. Addiction Research and Theory, 17, 236–259.
Kelly, J.F. & White, W. (2012). Broadening the base of addiction mutual-help organiza-
tions, Journal of Groups in Addiction and Recovery, 7, 82–101.
White, W. (2009). Peer-Based Addiction Recovery Support: History, Theory, Practice, and
Scientific Evaluation. Chicago: Great Lakes Addiction Technology Transfer Center,
and Philadelphia Department of Behavioral Health and Mental Retardation Services.
Internet
Faces & Voices Guide to Mutual Aid Resources
www.facesandvoicesofrecovery.org/resources/support/index.html
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Chapter 15
People are increasingly turning to the Internet as a medium through which to obtain
information and guidance in dealing with their health concerns. In response, health
care institutions are offering more applications and psychoeducational material through
the Internet and mobile devices. The terms e-disease management, e-health, telehealth
and e-therapy are commonly used to define this category of web and mobile health care
intervention. These interventions vary in technological sophistication, client anonymity
and degree of interaction. Some communication strategies are synchronous or in real
time (e.g., Internet, online chat, instant and text messaging, video or web-conferencing,
telephone), while others are asynchronous or posted and read at different times (e.g.,
e-mail, discussion boards, online forums, text messaging, comments on blogs). These
tools include everything from assessment and diagnostic modules, to sophisticated mon-
itoring tools and alert systems that integrate directly with a patient’s electronic health
record. These resources are often “bundled” with web content, interactive web tools (e.g.,
peer-support discussion boards, online forums), cognitive-behavioural learning modules
and mobile applications.
Applications (commonly known as “apps”) are computer software that helps end
users accomplish a certain task. In 2007, Apple Inc. launched the iPhone and allowed
external companies to develop apps that could be used with the iPhone interface. As
a result, the popularity of this smartphone exploded. Besides Apple, other operating
systems provided by BlackBerry and Android are flooding the market with their own
versions of mobile phones and tablet computers. Today there are more than 300,000
iPhone apps—and more than 13,000 health apps in Apple’s App Store, according to a
MobiHealthNews report (Dolan, 2011). Within e-health, mobile apps have been devel-
oped to help people keep addiction journals, schedule peer-support meetings, track their
substance use and identify substance use patterns and triggers.
Chapter 15 A Digital Future: How Technology Is Changing Addiction Recovery 351
Research into the effectiveness of computer and mobile technology in the treatment
of addiction and mental health issues has been limited. However, research across the
technological spectrum is expanding quickly as software costs become more competitive
and hardware costs become more affordable. Technological advancements are giving
clinical researchers the opportunity to develop, implement and test an array of web and
mobile applications.
According to Monaghan and Blaszczynski (2009):
Preliminary evidence shows that Internet therapy and other online inter-
ventions are more effective than no treatment, and may be as effective as
face-to-face therapy for a large range of mental health disorders, including
treatment of substance use addictions and problem gambling. (p. 5)
The best evidence for the efficacy of such online interventions tends to come from
randomized controlled trials, although there are relatively few. However, promising
research is emerging in the following areas:
• text messaging to discourage alcohol consumption (Suffoletto et al., 2012)
• web-based personalized feedback interventions for problem gambling (Cunningham
et al., 2011)
• psychoeducational web tools to educate people about mood disorders (Smith et al.,
2011)
• online peer support programs for smoking cessation (Graham et al., 2011)
• smartphones and image applications to treat social anxiety (Enock et al., n.d.)
• e-therapy and problem gambling (Monaghan & Blaszczynski, 2009).
352 Fundamentals of Addiction: A Practical Guide for Counsellors
Self-directed web and mobile interventions for addictions are not suitable for everyone.
People who are in crisis or at immediate risk of harming themselves or others shouldn’t
rely on this method of communication for seeking help. Since inputs or “posts” are often
made anonymously, using asynchronous tools, this delays and prevents therapists from
responding quickly and efficiently in an emergency. Access to online or mobile tools
and applications may also be a barrier, particularly for people who are under-housed or
homeless, people from remote communities with limited access to the Internet, people
with literacy or language barriers and people with certain disabilities. These tools are
meant to enhance a well-established program, not be a substitute for it, but the field is
still developing and more research is needed (LeGrow & Metzger, 2001).
Psychoeducational tools may assist therapists in their practice by allowing clients
to access web and mobile activities between clinical sessions. If a therapist decides that a
particular web- or mobile-based tool can be used with clients as an adjunct to treatment,
the therapist should first know the reputation of the organization responsible for devel-
oping the tool, and consider the following issues before recommending it:
• Is there a fee for use or service?
• Are the online resources credible and informed by research?
• Is the organization for profit or not for profit?
• Where will personal health information be stored?
• How is privacy protected?
• Who funds the development and ongoing hosting of these tools?
• Will there be regular reviews of content and improvements?
• What was the rationale for developing the tool?
With thousands of health care consumer applications available on the web and via
mobile devices, health professionals and clients should also consider the reliability of the
medical and health information within these applications.
The health care community is seeing immense potential and opportunities for
using technology to interact with and support clients. As opposed to purchasing or
Chapter 15 A Digital Future: How Technology Is Changing Addiction Recovery 353
licensing pre-built tools to integrate into their programs, institutions might consider
developing a suite of their own e-health tools. Benefits of developing these tools in house
include more control over data transmission, storage and privacy; better integration with
existing technological platforms; and the ability to self-support upgrades and improve-
ments. Also, all intellectual property rights would belong to the organization, allowing
it to more easily customize the tool based on treatment needs. Organizations that are
considering this venture should first think about various issues. Although not exhaus-
tive, this list highlights some important considerations:
Resources: Does the organization have the capacity to develop or host a program, includ-
ing all the safeguards required to provide a database and storage environment that are
safe from external threats, such as security breaches? Can the organization supply a
front-line helpdesk function that can assist with tasks as simple as password resets, to
more complicated therapeutic functional support roles?
Identification and verification of users: With face-to-face treatment, a client’s identity can
be easily verified. However, with remote systems using the Internet and chat or e-mail,
for example, how can the clinician verify that the person he or she is communicating
with is indeed the client? Because user names and passwords can easily be shared or
accidently exposed, this is an important privacy consideration for both the organization
and the clinician.
Privacy: Programs often allow end-users to save their session information locally onto
their computer hard drives, or convert their self-help work into printable formats for
saving and sharing. This may pose a challenge in adhering to rigorous standards for
protecting and sharing personal health information. It is very easy to forward an e-mail
to a third party or inadvertently forget to log out of a computer. Where do the responsi-
bilities of the organization for protecting privacy end and the due diligence of end-users
begin? The organization needs to conduct a thorough legal, privacy impact and threat
risk assessment for each technological service developed.
Language barriers: How will the organization provide services that accommodate non-
English–speaking clients? Have the resources been culturally adapted, and have they
been adequately tested with other cultural groups? Organizations are investing more and
more time and resources in providing culturally competent care. How will e-health solu-
tions adapt to deliver this care? Even English-speaking end-users will vary in language
354 Fundamentals of Addiction: A Practical Guide for Counsellors
Jurisdictional and licensing boards: Most helping professionals, such as doctors, social
workers and psychologists, operate under licensing bodies. Licensing boards provide
practitioners with a code of ethics, practice standards and regulation requirements.
These standards are often bound to a province or jurisdiction. Addiction professionals
should confirm with their licensing bodies that they are still protected if they choose to
use an e-health intervention with their clients. To address jurisdictional practice limits,
helping professionals will also need to know where their clients live. This can be a chal-
lenge, since client verification and identification may not be completely reliable and
clinicians may not be covered for liability, for example, if clients live outside their profes-
sional jurisdiction.
Significant upfront costs and resource allocation are needed to develop e-health
tools. The demand for these services will continue to put pressure on the system to
provide increasingly innovative options in the continuum of supports and services for
people with addiction and mental health problems. Growing research demonstrates that
the benefits of e-health tools for clients, families and helping professionals is definitely
worth this initial investment.
Ron Grover believes that blogging saved both his life and his marriage. He and his wife
had been struggling to deal with their son’s addiction for years, without getting the sup-
port they needed. “This is hard on a marriage, and hard on parents,” he says. “It got to
the point where there were no other options. I’d gone to AA [Alcoholics Anonymous],
Al-Anon [ for friends and family of problem drinkers], Nar-Anon [ for friends and family
of people with an addiction], and it wasn’t helping. I’d read books and I’m not a thera-
pist, counsellor-type guy.” Grover, who has a high-school education, hated English and
writing in school, but still turned to blogging as an outlet: “The blog was a way for me to
communicate what was going on inside of me, what I felt, what I thought.”
Journalling and writing have long been used in psychotherapy, based on the prin-
ciple that emotions and experiences can be better “understood, mastered and assimilated
when explored through language,” says Dr. John Suler. Suler, a psychology professor
at Rider University in Lawrenceville, New Jersey, is the author of the online book The
Psychology of Cyberspace, originally published in 1996, and expanded and revised since
then. But while many psychotherapies encourage people to talk about their issues, Suler
says that for some people, putting words to their experience is easier in writing. Journals
Chapter 15 A Digital Future: How Technology Is Changing Addiction Recovery 355
can be used as a coping tool, as well as a mechanism to reflect on life, gain insight and
reduce psychological stress by venting and processing emotional situations (Baker &
Moore, 2008a).
Journal writing is fundamentally different from blogging in that it can be kept pri-
vate. Most people blog to share their expertise and experience with others, according to
the State of the Blogosphere 2011 report (Technorati Media, 2011). But bloggers like Grover,
who expose their personal concerns to family, friends, neighbours and even employers,
may, as a result, face discrimination and even abuse. Still, research has shown that many
people use their blog as a personal diary and emotional outlet, as was found in a content
analysis of MySpace blogs published in the journal CyberPsychology & Behavior (Fullwood
et al., 2009). Almost 50 per cent of people posting entries on Internet blogs or weblogs
did so as a form of self-therapy, according to the 2005 AOL Blog Trends Survey (Tan,
2008). While people who blog about their addiction, or that of a family member, may
be particularly exposed to stigma, this does not deter the many people who are blogging
about addiction recovery on Blogger, WordPress and other blogging sites.
So, considering the risks, what motivates people to write publicly about their
struggles?
Anticipating an audience and writing for that audience stimulates a valuable pro-
cess of “trying to see oneself more objectively [through other people’s eyes],” says Suler.
“There’s also the added benefit of people supporting the blogger via e-mail or other mes-
saging, and of others with similar issues offering advice and empathy. Essentially, the
blogging community can become like a self-help/support group.” Some bloggers also
use the medium to educate the public and fight stigma. Some even take their sharing off-
line and speak to community groups and schools about their experiences with recovery.
Ashley McGowan is a community support manager with Evolution Health, a
Toronto-based company that develops evidence-based software to support behavioural
change. The software, including both free beta programs and licensed commercial
versions, incorporates blogs and discussion forums, which are moderated by a team
of health educators managed by McGowan. McGowan says that members of the com-
pany’s online communities generally use the blogs to “let loose” in a way they may feel
self-conscious doing in the discussion forums. Members also use their blogs as a daily
tracking tool, for example, to document their quitting efforts on the smoking cessation
site. The blogs can then be used as an encouraging self-reminder: if tempted to smoke,
bloggers can look back at their postings and see that they can get through the cravings
and withdrawal symptoms. Members also receive supportive comments and benefit
altruistically when they see how their blogs are giving support to other members who
read and see what they went through while quitting.
Grover says that he would review his own postings to reinforce the actions he
needed to take around his son’s addiction. “I had it written down and I would have to
hold myself to what I was saying,” he says. “There were people out there who commented
who had been where I was at. It’s kind of like an online Nar-Anon meeting. They would
talk with me and make a comment, and I would write back and interact with them.”
356 Fundamentals of Addiction: A Practical Guide for Counsellors
Support became particularly important for Grover and his wife when they began
repeatedly bailing their son out of jail, only to have him end up back in jail shortly after
being released. Grover’s blog readers advised that his son was better off in jail. “When
you are talking about your own son, your own blood, it’s hard to make that real life, but
when I wrote it down, I’d say, ‘Remember you already thought this through and it’s safer
for him to be in jail than it is searching out a drug dealer with a gun in his belt and her-
oin.’” When Grover and his wife wouldn’t pay a $50 bail bond, their son ended up in jail
for 11 days. People commented that Grover was right on target. “It’s always good to have
reassurance that you’re moving in the direction that you need to move to,” Grover says.
Emily Jones* blogs about her recovery in AA. She says that blogging has helped
her sobriety because it has forced her to reread the AA literature. “It has allowed me
the privilege of meeting other bloggers around the country,” she says. “We have formed
friendships that I would have never thought possible.” One person even picked up Jones
from the airport in a foreign city and drove her to her hotel. She felt she could judge the
person trustworthy by the fact that he “posted on his blog without fail, before 5 a.m., 365
days a year, for many years.”
Recent research has corroborated the benefits of blogging as a means of social
support. An online survey of about 300 bloggers published in Cyberpsychology, Behavior,
and Social Networking (Hollenbaugh, 2011) identified seven motives for maintaining a
blog, with the highest scores relating to helping others or forming social connection. A
study of 58 MySpace users found that bloggers’ social integration, trust in others and
friendship satisfaction increased significantly compared to that of non-bloggers (Baker
& Moore, 2008b). The researchers concluded that bloggers benefit from perceived
social support.
Researchers at the University of Haifa in Israel conducted one of the first studies
to proactively implement blogging as an intervention. Published in Psychological Services
(Boniel-Nissim & Barak, 2011), the study examined the therapeutic value of blogging for
adolescents with social and emotional difficulties. The researchers randomly assigned
students to six groups. Two groups blogged about thoughts and feelings about their
social circumstances and interpersonal relationships. Participants in one group left their
blogs open to online responses; the blogs of the other group were closed. Two groups
were free to blog on any subject they wanted; the fifth group kept a computer diary, and
the sixth, which served as a non-treatment control group, did not write at all.
The study results showed that the young people who experienced the greatest
positive change were those who blogged about their social and emotional difficulties.
Bloggers who accepted comments benefited the most. The authors say these findings
highlight the important roles of social visibility and feedback that characterize blogging.
(The researchers did supervise all blog posts and comments and deleted or asked blog-
gers to delete any potentially harmful text, but very few deletions were required.)
Being more open on a blog and in a community forum can help some people gain
confidence to be more open in their real lives, according to McGowan. One potential
pitfall, however, is if bloggers, who may be emotionally vulnerable, post in the belief that
* not her real name
Chapter 15 A Digital Future: How Technology Is Changing Addiction Recovery 357
they will acquire new friends and “likes,” and then become defeated if that does not hap-
pen. They may internalize any negative comments they receive, making the experience
counterproductive, she says. She adds that discussion forums may be a better option for
these people to get support.
Blogs can also be used to express thoughts that come up in therapy. Suler says that
although blogs are public, he first asks clients for permission to read their postings and
encourages them to discuss their blogs with him if the content is relevant to the therapy.
An additional motivation beyond self-observation and social support for some
bloggers can be the opportunity to educate the public. In her blog, Jones tries to counter
the negative misinformation about AA and the belief that people need to spend thou-
sands of dollars in treatment to get sober. She hopes her blog can “encourage people to
go to AA, ask God for help, jump in with both feet and get sober!”
She knows that her blog was a catalyst for one woman to go to AA. The woman
has now been sober for six years. “This is definitely the highlight of blogging for me!”
says Jones.
Addressing stigma is the main reason why Grover, who originally blogged
anonymously, began to use his real name and e-mail on his blog and post personal pho-
tographs. While he is not a “super private person,” and had supportive colleagues who
knew about his son’s addiction and difficulties with the law, his wife works in a large
company and did not want to go public.
But after being told that addiction is a disease like diabetes, Grover reconsidered
using his real name. He began to ask himself, “If this is a disease, why am I hiding?”
He saw that remaining secretive would not help improve the situation for people with
addiction, including his son: “I don’t like what he’s doing, but I’ve never been ashamed
of any of my kids. If this is a disease, let’s go public with it,” Grover declared. So he
talked it over with his wife. She agreed, and they posted their picture and e-mail address
on the blog.
Grover, whose son has now stopped all substance use, appreciates that his experi-
ences can benefit others. He considers his blogging to be a form of community service
and responds to everyone who e-mails him. “l know how dark of a place it is when you
think you’re going to lose your child or something is taking them over that you can’t do
anything about,” he says. “If somebody is so desperate that they would write a stranger
and tell them all these intimate things about what’s going on in their lives, they deserve
an answer [to their e-mail].”
But blogging still has its risks. Grover has often been criticized and called a “bad
parent.” If people are “writing from the heart,” he says, he does not mind negative com-
ments. But as Suler warns, not everyone online is supportive or benign. “People do all
sorts of acting out in cyberspace, and they are looking for targets,” he says. Transference
reactions, where people misperceive others based on their own needs and fears, are com-
mon, and Suler says bloggers can easily become the target of these hostilities.
Jones, who began blogging when she was 21 years sober, says, “Blogging is a
tough business. I would not recommend it to one who is newly sober unless they have a
358 Fundamentals of Addiction: A Practical Guide for Counsellors
very tough skin.” She stopped allowing anonymous comments after someone left some
particularly mean-spirited ones.
To help safeguard privacy, members of Evolution Health communities are advised
upon registration not to use an e-mail containing a company name or a name that is
otherwise recognizable, and not to post any identifying information. Trevor van Mierlo,
CEO of Evolution Health, warns that once people post on the Internet, they have no con-
trol over what happens to that information. He says that on some commercial blogging
sites, the way this lack of control manifests is through advertising relating to the person’s
content; for example, an electronic cigarette ad may pop up automatically if the person
blogs about his efforts to quit smoking. This makes it appear as though the blogger is
endorsing the product.
Grover says people need to consider how private they want to be. He knows that
some bloggers do not even tell their family members. He advises that if people want to
remain anonymous, they need to be very careful about not disclosing where they live and
any other personal details.
One thing Grover never even considered when he started blogging was all the
time it would take, which has included responding to invitations to speak at high schools
and parenting groups. Still, Grover recommends blogging. “To me this is just a journal
on steroids. I’m writing my thoughts, my beliefs, whether right or wrong, what I’ve
done, my experiences, just like a journal or a diary, except I have the benefit of thousands
of people reading this and writing their comments. I have the benefit of all that wisdom,
of people farther along in the process, and from people just beginning.”
Online programs are increasingly being accepted as viable options to support, provide
psychoeducation and offer treatment to people with mental health and addiction issues,
a finding that is being supported by much of the current research. Online treatment pro-
grams have the advantage over face-to-face programs of being easy to access; eliminating
issues of stigma; and providing clients with autonomy, empowerment and the ability to
participate in recovery at their own pace.
Cunningham and colleagues (2010) affirm that trials of computer-based interven-
tions for different health behaviours and interventions provide “significant evidence
for their efficacy” (p. 1). A meta-analysis also suggests that minimal contact computer-
delivered treatments that can be accessed via the Internet may represent a cost-effective
means of treating uncomplicated substance use problems and related issues (Rooke et
al., 2010).
The Life Recovery Program1 (LRP) is an award-winning program that uses online
modalities to support people who have addiction and mental health issues. The program
1 For more information about the Life Recovery Program, visit www.liferecoveryprogram.com.
Chapter 15 A Digital Future: How Technology Is Changing Addiction Recovery 359
is unique in that it also provides psychoeducation and support to friends and family,
and is based in a trauma-informed approach. (For more on trauma-informed care, see
Chapter 17.)
As a video-based addiction and mental health recovery program, the LRP inte-
grates materials and resources used by many inpatient addiction treatment centres. It
offers an evidence-informed holistic approach that recognizes the biological, spiritual
and psychosocial influences of addiction. It includes supportive homework downloads
that enable clients to practise and review new coping strategies; weekly e-mails that
encourage such things as seeking an accountability partner (e.g., AA, a friend, counsel-
lor, pastor); summaries and reiteration of key messages from the most recent lesson in
the program; and pre-recorded psychoeducational videos. The program also provides
clients with various grounding techniques to help them develop healthy and consistent
coping strategies. Several LRP e-books explain the role of trauma and stress in mental
health and addictive patterns of behaviour.
The interactive part of the program is a clinician-moderated peer-support
forum enabling participants to experience immediate support and resources through
anonymous interaction with other people dealing with mental health and addiction
issues—from substance use and behavioural or process addictions to self-cutting, disor-
dered eating, gambling, toxic relationships, anger, chronic stress, trauma and impulse
control issues. Resources are provided throughout the recovery program and are used
to reinforce the message of recovery and healing by addressing such issues as the role
of addictions and concurrent mental health issues among people with addictive patterns
of behaviour.
The need for programs like LRP was highlighted by findings from the U.S. 2005
National Comorbidity Survey Replication Study in the United States, which revealed
a six- to 23-year delay between the onset of a mental health issue and receiving treat-
ment (Wang et al., 2005). Many people do not seek treatment due to lack of resources,
difficulty in accessing services and stigma. Despite greater awareness of mental health
issues, people are more comfortable sharing about a health issue such as diabetes or
cancer than a diagnosis of depression or anxiety. Consequently, self-medication through
various addictive substances or behaviours can become the treatment modality, with
potentially destructive results. The study found that because 75 per cent of all lifelong
mental illnesses occur before age 24, many people adopt unhealthy coping strategies,
including using substances, to cope with mental health issues, which often result in
other problems.
The Internet eliminates accessibility issues by providing a 24/7 option that
enables people to get help when they need it, wherever they are. The LRP and other
computer-based options make sense in this current technological age, among a genera-
tion that searches the Internet for information about every aspect of life, including health
and wellness.
A major challenge faced by the LRP in providing a comprehensive computer-
based option of support has been to address people’s confusion or misconceptions about
360 Fundamentals of Addiction: A Practical Guide for Counsellors
the role and purpose of the program. Some people mistakenly assume that we provide
e-counselling and live interactive video exchange; others fear that this online program
is trying to replace traditional treatment options. Because the LRP does not include
e-counselling, it is not bound by the same legalities and liabilities, and has the advantage
of being accessible anywhere in the world, at any time. The ongoing journey of the LRP
has been to dispel these myths, and to educate, share and communicate the effectiveness
of this unique yet comprehensive online program.
Because LRP is an online modality, it can be used by a variety of people for many
different purposes, such as support for someone waiting for treatment (which can range
from months to years) or a stand-alone option for someone who wants anonymity and
who is unable or not ready to engage in face-to-face treatment. The program can also be
used as a relapse prevention resource and support for someone recently coming out of
treatment. It is designed to fill current service gaps—not to replace existing modalities
of support for mental health and addiction treatment.
A content analysis of the LRP revealed that more than 80 per cent of participants
were able to view their lives differently, manage their moods through self-regulation
and decrease or stop their addictive behaviours as they developed new ways of coping.
Twenty-seven per cent of active members chose to sign up and pay to go through the
entire six-month program (which remains available for one year) for a second time, thus
decreasing their likelihood of relapse. A positive shift in self-talk revealed an increase
in self-awareness and meta-cognitive abilities. Also noted were clients’ increased use of
alternative resources, such as support groups and therapists, where some had been fear-
ful of using them in the past.
The recent research findings for this emerging modality are promising. It
will be interesting to see if and how the Internet becomes a modality to
keep some of the most common mental health and addiction concerns in
a preclinical, preventative phase before more serious symptoms emerge. It
will also be interesting to see to what degree such a modality could be used
to reduce some of the most severe symptoms experienced by people with
mental health and addiction issues.
The LRP has been peer-reviewed and was recognized in 2008 for its com-
prehensiveness and innovation through the International Association of
Addictions and Offender Counselors’ Outstanding Addictions Professional
Award. The program was also awarded the Outstanding Mental Health Award
from the Ontario Association of Counsellors, Consultants, Psychometrists
and Psychologists in 2011.
Chapter 15 A Digital Future: How Technology Is Changing Addiction Recovery 361
Conclusion
There is no question that e-health tools will continue to gain popularity and be widely
adopted. The general public will look for more sophisticated apps that will help them
manage their health concerns from the convenience of their home computer and mobile
devices, and institutions will look for solutions that also integrate data seamlessly into
their electronic health records.
The trend will be to develop more tablet computer applications, such as highly
portable computers that can be used by a patient’s bedside, making them popular with
helping professionals. Addiction therapists can use these portable devices with clients
to complete assessments and access treatment planning tools. Busy helping profession-
als find the convenience of tablets very appealing because they can use them to quickly
and easily access patient records, screening instruments, drug information, anatomy
programs, medical encyclopedias and more.
More technology companies and system integrators are investing in the future of
e-health with dedicated teams and divisions focused on helping institutions fulfil their
objectives of providing better access to care. The demand for more e-health applications
will certainly increase as a new generation of digital citizens comes of age, which is
accustomed to—and expects—the conveniences of online and mobile delivery mecha-
nisms for retail and commerce, communication and health care. With telemedicine and
telepsychiatry’s fairly long tradition of delivering health (including mental health) services
to remote populations, e-health could be regarded as building on this tradition. As health
care system costs continue to rise and one-on-one clinician-patient relationships become
scarcer, innovative new tools will be a welcome addition to the continuum of care.
Resources
Publications
Barak, A., Klein, B. & Proudfoot, J.G. (2009). Defining Internet-supported therapeutic
interventions. Annals of Behavioral Medicine, 38, 4–17.
Center for Substance Abuse Treatment. (2009). Considerations for the Provision of
E-Therapy. Rockville, MD: Author. Retrieved from http://store.samhsa.gov/shin/
content//SMA09-4450/SMA09-4450.pdf
LeGrow, G. & Metzger, J. (2001). E-Disease Management. [Report prepared for the
California Healthcare Foundation]. Oakland, CA: First Consulting Group. Retrieved
from www.chcf.org/~/media/MEDIA%20LIBRARY%20Files/PDF/E/PDF%20
EDiseaseManagement.pdf
362 Fundamentals of Addiction: A Practical Guide for Counsellors
Internet
Human Services Information Technology Applications
www.husita.org
International Society for Mental Health Online
www.ismho.org
International Society for Research on Internet Interventions
www.isrii.org
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603–613.
SECTION 3
Concurrent Disorders
Andrea Tsanos
Marcello is a 35-year-old man who has been struggling with alcohol problems
and concurrent social anxiety and depression. He has a history of political
affiliations in his native Guatemala that resulted in his being tortured, and
then having to flee to Canada as a political refugee. Marcello is not able to
return to, call or write to his family back home for fear that he will be discov-
ered, so his move has represented considerable loss.
Co-occurring substance use and mental health issues frequently present themselves
in clinical practice. If you are working with clients with substance use or mental
health issues, then you are likely already working with clients who have both issues,
called concurrent disorders. Experiencing a single problem, such as addiction, is chal-
lenging in and of itself, but when a person has more than one problem (and in some
cases multiple problems, as with Marcello), naturally, the challenge is exacerbated.
368 Fundamentals of Addiction: A Practical Guide for Counsellors
Given our still fragmented systems of care, as well as the frequent crises and relapses
that often characterize addiction and mental health issues, people with concurrent
disorders remain a complex client population to serve. But it is important to recog-
nize that there is help, and equally important, there is hope; and working within an
evidenced-based or best practices “integrated treatment” approach offers the best
chance for recovery.
Other terms for concurrent disorders have been, and still are, used in other
settings and by different groups. Some professional groups still use pejorative
terms. The following list clarifies some of the confusion around terminology:
MICA (Mentally ill chemical abuser): people whose primary problem is men-
tal illness who have co-occurring substance use problems
SAMI (Substance abusing mentally ill): people with a substance use problem
concurrent with a serious and persistent mental illness
Subgroups
A wide variety of psychiatric disorders exists, each of which can play a role in the expe-
rience of concurrent disorders. Similarly, a wide range of psychoactive substances is
available, each of which can be used alone, or in combination. These substances include:
• stimulants (e.g., amphetamines, cocaine, caffeine, nicotine)
• sedatives (e.g., alcohol, barbiturates, benzodiazepines, inhalants)
• opioids (e.g., heroin, morphine)
• hallucinogens (e.g., cannabis, LSD, PCP).
The diversity of combinations underscores the fact that people with concurrent
disorders are far from being a homogeneous group.
A CCSA (2009) report on concurrent disorders designated five general concur-
rent disorder subgroups to help clarify and categorize the most common combinations
of concurrent disorders:
1. Mood disorders and substance use disorders. People with mood disorders are more
likely to use substances; conversely, people who use substances are more likely to
experience mood disorders (e.g., bipolar disorder, major depressive disorder, dysthy-
mia, cyclothymia).
2. Anxiety and substance use disorders. People with anxiety disorders have two to five
times the risk of having a problem with alcohol or other drugs.
3. Stress, trauma and substance use disorders. The experience of a traumatic event
significantly increases the risk of alcohol and other drug use. Substance use can lead
to new traumatic experiences, which can subsequently lead to further substance use,
thus perpetuating the “stress–substance use” cycle.
4. Psychosis and substance use disorders. The rate of substance use disorders among
people with psychotic disorders is roughly 50 per cent, which is much higher than in
the general Canadian population.
5. Impulsivity and substance use disorders. Difficulties with impulse control, such as
the tendency to act without planning, forethought or restraint, represent the single
foremost predictor of developing a substance use problem.
An earlier Health Canada (2002) report also described five general subgroups,
with some of the same classifications as the 2009 CCSA report, but added some slightly
different classifications. These included:
• eating disorders and substance use disorders
• personality disorders and substance use disorders.
CCSA (2009) organized its five classifications based on more recent conceptual-
izations of concurrent disorders. Examples of such advances in understanding are:
• recognition of the episodic nature of psychosis (versus the earlier Health Canada
[2002] category “Serious and persistent mental illness”)
• division of the “mood and anxiety disorders” category into two distinct categories (rather
than treating them as an amalgamated subgroup as did the Health Canada [2002] report).
recommended treatment plan (Brown et al., 1998; Evans & Sullivan, 1995; Najavits,
2002, 2003). Targeting the substance problem without attending to the PTSD symptoms
may cause the client’s psychological functioning to worsen; conversely, if the PTSD
symptoms are targeted without addressing the substance use, the client may feel at risk
of using substances to cope.
Beyond this understanding of concurrent disorders subgroups, however, it is
equally important that health care providers recognize each client’s unique character-
istics and experiences. For example, one person’s alcohol use disorder and concurrent
major depressive disorder might be characterized by:
• depressed mood
• thoughts of suicide
• loss of appetite
• insomnia.
While both scenarios involve depression, the lived experiences of these two people
will be qualitatively different. In addition, the particular depressive symptoms that may
trigger drinking might also be entirely different; for example, thoughts of suicide with a
plan and intent versus a sense of worthlessness without suicidal ideation. These symp-
toms naturally pose different levels of risk and thus warrant different interventions.
Complexity
To further add to the diversity and complexity of this client population, it is important to
recognize that people with concurrent disorders may have more than one mental health
concern and more than one substance use problem at a given time.
A common example of concurrent disorders is PTSD arising from the experience
of childhood sexual abuse, and co-occurring with alcohol and/or opiate addiction to
cope with distressing PTSD symptoms, such as flashbacks and persistent, frightening
intrusive thoughts related to the event. People who have experienced trauma often self-
medicate with substances to numb or escape from the emotional pain (Najavits, 2004).
372 Fundamentals of Addiction: A Practical Guide for Counsellors
Severity
People with concurrent disorders may experience differing levels of severity of their
substance use and mental health problems. The possible combinations are depicted in
Figure 16-1.
high
3. 4.
Less severe More severe
mental disorder/ mental disorder/
more severe more severe
Severity of Substance Use
1. 2.
Less severe More severe
mental disorder/ mental disorder/
less severe less severe
substance substance
abuse disorder abuse disorder
Source: Concurrent Disorders Ontario Network. (2005). Concurrent Disorders Policy Framework, p. 19. www.ofcmhap.on.ca/sites/
ofcmhap.on.ca/files/-CDpolicy%20final.pdf.
Figure 16-2 illustrates the locus of care that each quadrant of severity points to
(i.e., in which setting the client would best be managed). For example, an individual with
concurrent disorders characterized by high substance use severity but low mental illness
severity might best be treated in an addiction setting, whereas an individual with high
mental illness severity but low addiction severity might best be treated within a mental
health setting. An individual with concurrent disorders characterized by high substance
use severity as well as high mental illness severity might best be treated within a truly
integrated concurrent disorders treatment setting.
Chapter 16 Concurrent Disorders 373
high
3. 4.
CD-capable services Co-ordinated CD-capable
delivered to individuals and Enhanced services
with high severity of delivered to indivirduals
substance use issues and low with high severity of
Severity of Substance Use
1. 2.
CD-capable service CD-capable services
delivered to individuals delivered to individuals
with low severity of both with high severity of
substance use and
mental illness and low
mental illness
[Primary Care] severity of substance use
[Specialized mental health]
Source: Adapted from Substance Abuse and Mental Health Services Administration (2002).
The model presented in Figure 16-2 suggests that the notion of severity (of the cli-
ent’s substance use and mental health problems) determines where clinical service would
ideally be provided. The model is fluid, meaning that clients can move back and forth within
quadrants depending on the severity of their illness and the overall status of their recovery.
Prevalence
Providing treatment for clients with concurrent disorders can be challenging: they have
higher rates of relapse for both substance use and psychiatric problems than people with
a single disorder. When someone has a substance use problem, the risk of developing
a concurrent mental health problem is increased; conversely, a person with a mental
health problem is at increased risk of developing a concurrent substance use problem.
Earlier epidemiological data indicated that about half of people with either a
mental health or substance use disorder have had problems in the other domain at
some point in their lives (Health Canada, 2002; Kessler et al., 2005; Regier et al., 1990).
Interestingly, more recent Ontario-specific data has cited different rates, depending on
the treatment setting, gender and type of mental health population. Rush and Koegl
(2008) found that:
374 Fundamentals of Addiction: A Practical Guide for Counsellors
• about 20 per cent of Ontarians treated for mental health issues in Ontario hospitals and
mental health clinics were found to have had a co-occurring substance use problem
• within Ontario substance use service settings, prevalence rates were as high as 70 to
80 per cent
• within mental health settings, the prevalence of concurrent disorders was 15 to 20 per
cent (which appears low compared to earlier data and to rates within substance use
settings). These rates increase when looking at specific subsets of the mental health
treatment population:
-- 55 per cent among young males in treatment
-- 28 per cent in those receiving specific inpatient care
-- 34 per cent for people with personality disorders
-- as high as 75 per cent in forensic and correctional settings (Ogloff, et al., 2006).
Index of Suspicion
Given the prevalence rates of concurrent disorders within clinical treatment settings, and
within addiction treatment settings especially, concurrent disorders “should be expected,
rather than considered the exception” (Minkoff, 2001a). This means that when a client
seeks service for either a mental health or addiction problem, service providers should
have a high index of suspicion for the possibility that concurrent disorders exist (rather
than a single problem alone for which the client has sought treatment). The Toronto
Drug Strategy Advisory Committee (2005) identified more vulnerable populations with
higher-than-average levels of substance use and concurrent disorders for which a high
index of suspicion is recommended. These include:
Chapter 16 Concurrent Disorders 375
Making it common practice to screen for concurrent disorders could help practi-
tioners better identify and engage clients with concurrent disorders, and develop plans
for further assessment and treatment.
inform how individuals and their families understand these issues. Not having services
that offer specific ethnocultural approaches to care, or not having services offered in
various languages, can be barriers to care. (For more about diversity and equity compe-
tencies in addiction treatment, see Chapter 3.)
“I can’t work with someone who does not have abstinence as a goal.”
“The patient has to want to make a change but he doesn’t, so there’s nothing I
can do.”
“These people are hopeless.” (i.e., feeling pessimistic about the likelihood that
the client can get better)
How we feel about people with mental health and/or addiction issues influences
how we interact and work with them. Skinner (2005) describes how mental health pro-
fessionals and addiction professionals may have different attitudes toward the issues
each works with:
Although [mental health and addiction issues] both can be chronic and
relapsing health problems, people tend to make a distinction between the
two. Some mental health workers, for example, may see people’s psychiatric
problems as real illnesses, and their substance use problems as intentional
behaviour. Addiction workers, on the other hand, may firmly believe that
most people can recover from substance use problems, but think people
with serious mental health problems are not capable of significant change.
As more mental health and addiction workers learn to work with clients
with co-occurring problems, and their understanding of the relationship
between substance use and mental health problems increases, client care
will become more responsive and effective. (p. xviii)
Often [clients with concurrent disorders] are shuttled back and forth, or they
fall through the cracks of the system and are lost to treatment, or they are
treated in both [psychiatric and substance use] clinics with conflicting meth-
ods and confusing effects. (Gottheil et al., 1980, p. xii)
These clients, many of whom have multiple, complex problems, are often lost in a
system that is not well integrated, and fall through the cracks. One consumer describes
the experience:
I’ve gotten help for each individual thing but to get help for, like [both] at
the same time, you fall between the cracks and if one of your disorders is
worse than another, and then one doctor thinks you’re seeing somebody
else, basically nobody’s helping you, nobody follows up, you kind of disap-
pear in there. (Health Canada, 2002, p. 74)
378 Fundamentals of Addiction: A Practical Guide for Counsellors
Fortunately, things are starting to change. At the international, national and pro-
vincial levels, efforts are underway to co-ordinate systems and better integrate mental
health and addiction treatment. In Ontario, the government’s aim is “to integrate mental
health and addiction services with the rest of the health system—to make every door the
right door” (Ministry of Health and Long-Term Care, 2009, p. 9).
The mental health and addiction services systems are still working toward
improved access and integration across and within their settings. There are not enough
treatment programs, psychiatrists and other specialists who provide services for people
with concurrent disorders, and long wait-lists to access these services are common.
When mental health and addiction agencies do exist in particular communities,
people with concurrent disorders are often ineligible for one service or the other, because
admission criteria exclude people with co-occurring disorders. It can feel overwhelming
trying to find the right point of entry. While the Ontario government is calling for reduc-
ing the barriers to accessing mental health and addiction services, the reality of change
is that it is slow and takes time.
Rush and Nadeau (2011) describe the need for the system to have a much broader
integrated response to better serve people with concurrent disorders. They argue that we
can no longer look at only specialized mental health and addiction treatment services
to provide support for people with concurrent disorders; rather, we must look toward
a more comprehensive network of supports with multiple systems, including primary
care, hospitals and emergency services, as well as the justice, housing, school, social
assistance and street services systems.
Approaches to Care
Skinner (2005) explains why it is important for service providers across a diverse range
of settings to understand concurrent disorders:
If you work with clients who have substance use or mental health problems,
you are undoubtedly already working with people who have concurrent dis-
orders. If you are committed to understanding and working with clients as
whole persons, then you need to understand what these problems are, how
they co-occur and how you can help.
Screening
Clients enter “the system” through different entry points—addiction and mental health
agencies, emergency and crisis services, corrections, homeless shelters and primary care set-
tings. The concept of “no wrong door” (Center for Substance Abuse Treatment [CSAT], 2005)
emphasizes the principle that the health-care delivery system and all treatment providers
For the client, every “door” in the health-care delivery system should be the “right
door.”
The concept of “no wrong door” represents the ultimate goal shared by both the
addiction and mental health systems—to provide a welcoming environment wherever
clients enter the system, providing services in a more seamless and timely fashion.
The available resource capacity (e.g., staff time, appropriate training, availability
and mandate of screening tools) for identifying concurrent disorders varies from agency
to agency, as does the professional competence of staff. However, regardless of resources
and expertise, all clinicians can serve clients better if they can recognize concurrent dis-
orders. (For more information on screening, see Chapter 8.)
This involves two levels. At Level I, clinicians proceed with the index of suspicion
(described earlier) and ask non-threatening, straightforward questions. At Level II, clini-
cians use validated instruments that are quick and easy to administer.
In an ideal world, the most reliable screening and assessment occur if the cli-
ent has detoxified from all psychoactive substances that are not medically necessary.
The service provider should explain to the client that substance use can confound or
even exacerbate the mental health condition and thus should be avoided (or at least
minimized).
Navigating Screening Options for Concurrent Disorders (Centre for Addiction and
Mental Health, 2006) states that screening methods should be brief, valid and reliable,
and have sensitivity and specificity. The guide identifies numerous ways to screen for
mental health or substance use problems, including:
• rating the probability of a client having a co-occurring disorder
• asking the client a few direct questions
• using brief screening tools.
Toxicology screening is another mechanism for screening for substance use; how-
ever, it alone cannot be used to make diagnoses.
Probability ratings
Clinicians should be aware of the many health and social factors often related to sub-
stance use and mental health problems that can indicate the need for further assessment
(Skinner, 2005). Health Canada (2002) lists the following indicators of substance use
problems:
• housing instability
• difficulty budgeting funds
• symptom relapses apparently unrelated to life stressors
• treatment non-compliance
• prostitution
• social isolation
• violent behaviour or threats of violence
• pervasive, repeated social difficulties
• sudden unexplained mood shifts
• legal problems
• cognitive impairments
• suicidal ideation or attempts
• employment difficulties
• repeated self-harm in the absence of clear, situationally relevant stressors.
Because clients do not always identify either the substance use or mental health
difficulty as a presenting problem, practitioners should consider the reason the person
is making contact and presenting for treatment, and be alert to possible indications of
an underlying mental health or substance use issue. Skinner (2005) identified various
Chapter 16 Concurrent Disorders 381
presentations that may be the client’s primary concern and that could warrant further
investigation into possible mental health or substance use issues. These include:
• physical traumas, such as falls, fractures or burns
• suicide attempts
• incidents of domestic violence
• physical aggression or public disturbance
• truancy, vagrancy, homelessness, social isolation or family abandonment.
concurrent mental health or substance use problem? The screening process does not
necessarily identify what kind of problem the person might have, or how severe or
serious it might be; rather, it determines whether further assessment is warranted.
Compared to more structured approaches, such as using screening tools, standard
assessment practices based solely on interviews do a relatively poor job of identifying
co-occurring problem areas outside the realm of the presenting concerns and symptoms.
Screening tools
Screening tools provide more objective measures of the possibility of mental health and
substance use issues than the methods discussed earlier. Validated screening tools can
be used in a standardized way within and across practice settings. However, since there
is not one particular tool that is the recommended “magic bullet” for all settings or ser-
vice environments, it is still valuable to:
• approach people with substance user and/or mental health issues with a high index
of suspicion about the presence of a concurrent disorder
• find ways to incorporate some simple questions
• use your best clinical judgment to complement any screening tools already in use
within your own setting.
Assessment
When screening indicates that a person may have a concurrent disorder, further assess-
ment is needed. Both screening and assessment should be viewed as an ongoing process,
rather than as discrete, single events that happen at intake or at the beginning of a new
treatment relationship. Concurrent disorders can be complex, and it often takes time for
a clear picture to emerge. Clients with concurrent disorders are a heterogeneous group,
with defining features or presenting diagnostic profiles that can change over time. Every
client has a unique situation that requires different levels of intervention.
Although care providers screen for mental health and addiction issues, conduct-
ing comprehensive concurrent disorders assessments may be beyond the scope of a
primary health care provider or a community-based care environment.
A comprehensive assessment includes assessing substance use and mental health
problems and their relationship, as well as motivation to change and psychosocial func-
tioning. Skinner (2005) identified the following domains to include when conducting a
comprehensive assessment of concurrent disorders:
• estimation of the severity of substance use, including types of substances used, quan-
tity and frequency, as well as the severity of the mental health problem
• assessment for additional problem areas that can affect treatment planning and
effectiveness (e.g., physical health; occupation; access to housing, food, income,
employment or schooling; social support, legal issues; family relationships; risks of
victimization and overall safety)
• the client’s understanding of the effects of substance use
• any vulnerabilities or barriers the client identifies (i.e., factors that would interfere
with treatment)
• the client’s readiness to make changes to substance use and engage in treatment.
See Chapter 8 on screening and assessment for more detail on individual consid-
erations in addiction assessment.
384 Fundamentals of Addiction: A Practical Guide for Counsellors
table 16-1
Etiological Models of Concurrent Disorders
The two models presented in Table 16-1 represent the predominant theories for
understanding concurrent disorders comorbidity and relate to all combinations of concur-
Chapter 16 Concurrent Disorders 385
rent disorders. The etiological model can be refined as new information emerges over the
ongoing assessment process. For the concurrent disorders subpopulation of people with
severe mental illness/psychosis, the model presented in Table 16-2 is more compelling.
table 16-2
Etiological Model for Concurrent Major and Severe Mental Illness and
Substance Use Disorder
Diversity considerations
Given our diverse communities, both locally and nationally, clinicians must be sensitive
to and respect clients’ unique cultural issues and needs. Cultural competence is associ-
ated with improved quality of care, as well as improved health outcomes for racialized
and underserved populations (Anderson et al., 2003; Shaw-Taylor & Benesch, 1998).
386 Fundamentals of Addiction: A Practical Guide for Counsellors
A culturally competent clinician recognizes and respects that clients have diverse
values, beliefs and understanding of mental health and substance use issues that are
culturally based and culturally defined, and considers these factors in the assessment
process. For example, how people understand and interpret their mental health symp-
toms or how they understand the concept of a “drug” can vary across cultures, as can
social and cultural norms about the use of alcohol or other drugs. (See Chapter 3 for
more on diversity issues in addiction treatment.)
When people with concurrent disorders seek help, treatment all too often targets only
one of their problems as their primary concern. While helping clients to address one
key problem (e.g., alcohol) can mobilize a process of change that ultimately benefits the
co-occurring problem (e.g., depression), taking this fragmented and compartmentalized
approach may in fact not be helpful to the concurrent problem, and may even exacerbate
both problems. To best help clients, clinicians need to look at the person as a whole,
and seek to understand how that person’s problems overlap with or influence, mask or
exaggerate one another.
Treatment for concurrent disorders should take a client-centred approach that
is tailored to the specific needs of each client. It can involve psychosocial approaches
and counselling, pharmacological management or both. While there are particular
recommended interventions based on evidence and best practices for particular types
of concurrent disorders, the overall philosophy cuts across all types of concurrent dis-
orders. Minkoff (2000) identifies the following overarching elements of concurrent
disorders treatment that form a framework and values base from which clinicians can
approach their work:
• creation of an empathic, hopeful, continuous treatment relationship
• recognition that treatment may involve multiple treatment episodes over time
• development of an integrated treatment plan in which there is co-ordination of care
• recognition of the importance of maintaining alliance and engagement with the client.
Integrated treatment
Health Canada’s (2002) best practice recommendations for concurrent disorders sug-
gest that treatment should be integrated and individualized to the specific needs and
context of the client, and should include support for immediate problem resolution,
longer-term monitoring, support and rehabilitation. More recently, CCSA (2009)
identified emerging research and clinical advances in treating concurrent disorders
in Canada.
Although the interconnectedness of substance use and mental health problems
has become better understood over the years, the notion of actually integrating treatment
has only more recently received attention.
Chapter 16 Concurrent Disorders 387
Treatment models have historically taken a sequential approach (i.e., “Go and
take care of your addiction first, and once that’s dealt with, come back for counselling
for your depression”). People seeking mental health treatment have often been rejected
once their substance use has been disclosed; conversely, people seeking addiction treat-
ment have often been excluded when they have revealed having a psychiatric diagnosis
or using prescribed psychotropic medication.
At best, some clients have received parallel treatment—obtaining mental health
treatment from one place and substance use treatment from another. Within this model,
there is typically no connection or communication between the two services.
It is only in the past 20 years that research has focused on clinical outcomes
for clients with concurrent disorders and that clinicians have begun to develop and
implement more co-ordinated, comprehensive and integrated treatments. Integrated
treatment combines interventions for mental health and substance use problems con-
currently, in two ways (Health Canada, 2002):
1. Program integration. One clinician or one team provides mental health and sub-
stance use treatment within the same setting or “under one roof.” Ideally, the team
comprises professionally trained addiction and mental health clinicians (including
physicians, where pharmacotherapy is involved), whose work is augmented by client
participation in mutual aid groups, if required or desired.
2. System integration. Enduring linkages between service providers / treatment units
are established. This is similar to the parallel treatment model, but is enhanced by a
commitment to communication and co-ordination between providers from addiction
and mental health services within the overall system, ideally co-ordinated by one case
manager (who has major responsibility for the case).
Regardless of which model is used, the overall goal within integrated treatment
is to ensure that clients receive a consistent explanation of their issues and a coherent
prescription for treatment, rather than a contradictory set of messages from different
care providers.
Equally important is that all diagnoses are considered primary, thus eradicating the
historical primary/secondary distinction, and eliminating the bias toward addressing just one
of the problems within the complex interplay of concurrent disorders. Within an integrated
approach, clients report finally feeling understood and feeling they are in the right place.
Minkoff (2000) outlines the seven principles of integrated treatment for a more
successful therapeutic outcome:
1. comprehensive programs and services
2. continuity of treatment over time
3. accessibility in the location of services, and flexible hours and service delivery
4. acceptance by practitioners of both the mental health and addiction issues
5. a sense of optimism about the possibility of recovery, even for clients with very severe
or complex problems
6. individualized treatment (tailored to individual needs)
7. culturally competent treatment.
388 Fundamentals of Addiction: A Practical Guide for Counsellors
Practice implications
Various mental health and addiction agencies in North America have endorsed the devel-
opment of concurrent disorder capability. For example, the U.S. Substance Abuse and
Mental Health Services Administration (SAMHSA, 2002) has identified co-occurring
disorders as a top priority with which all clinicians should become “CD informed” and
“CD capable” in their practice. At a macro level, agencies and programs as a whole can
work to meet criteria to be CD capable at the program level; at the micro service level,
individual clinicians can strive to attain concurrent disorder competence at a basic level
(Level I) or a more advanced level (Level II).
table 16-3
Level I: CD-Capable Capacities and Competencies
Source: Concurrent Disorders Training Strategy Work Group. (2004). Enhancing Concurrent Disorders Knowledge in Ontario: A Report
of the Concurrent Disorders Training Strategy Work Group. Adapted with permission from the Centre for Addiction and Mental Health.
Level II competencies and capabilities for specialized mental health and/or addic-
tion settings are presented in Table 16-4.
table 16-4
Level II: CD-Enhanced Capacities and Competencies
Source: Concurrent Disorders Training Strategy Work Group. (2004). Enhancing Concurrent Disorders Knowledge in Ontario: A Report
of the Concurrent Disorders Training Strategy Work Group. Adapted with permission from the Centre for Addiction and Mental Health.
390 Fundamentals of Addiction: A Practical Guide for Counsellors
CSAT (2005) has also delineated a set of core competencies in mental health for
addiction clinicians to help them work with clients with concurrent disorders. The com-
petencies lie on a continuum ranging from basic to intermediate to advanced.
Because of the complexity of concurrent disorders, working collaboratively and
having access to peer, team and specialist clinical consultation can be a vital asset to
clinicians on the front lines working to enhance their concurrent disorders competence.
Having a culture that supports clinical consultation and supervision and that encourages
concurrent disorders staff development and capacity building can serve as a stabilizing
and supportive platform for clinicians to be more effective with clients.
Psychosocial treatment
The following is a list of commonly used psychosocial treatments.
Psychoeducation
• teaching clients and their families about mental health and substance use issues.
Peer support
Consumer-led peer support and mutual aid / self-help groups provide opportunities
for people with concurrent disorders to share, connect and learn from one another
(Hamilton & Samples, 1995). Examples of mutual aid groups include Double Trouble in
Recovery (Vogel, 2010) and the web-based mutual aid group Dual Recovery Anonymous3
for those who have computer skills and Internet access. Concurrent disorders–focused
mutual aid groups can be a useful supplement to treatment for the following reasons:
• There is no charge for affiliation, so money is not a barrier.
• Members can attend as often as needed, for as long as desired.
• There is a social network of welcoming people who share common goals.
• A sponsor system is available for 24-hour support.
• Meetings can help to reduce boredom, provide more structure and minimize the risk
of relapse.
Case management
According to SAMHSA (2000), case management involves:
• planning or co-ordinating a package of health and social services to meet a particular
client’s needs
• ensuring that clients get whatever services they need in a co-ordinated, effective and
efficient manner
• helping clients who need assistance from several helpers at once
• monitoring, tracking and providing support throughout treatment and after
• helping the client re-establish an awareness of internal resources such as intelligence,
competence and problem-solving abilities
• establishing and negotiating lines of operation and communication between the client
and external resources
• advocating with external resources to enhance the continuity, accessibility, account-
ability and efficiency of those resources (p. 2).
Pharmacological interventions
Pharmacological interventions are an evidence-based treatment or adjunct in the treat-
ment of some concurrent disorders; however, a full review of such medications is well
beyond the scope of this book and can be found elsewhere.4
Abstinence
Treating substance use problems in the context of concurrent disorders can feel over-
whelming. Clinicians naturally have the best interests of clients at heart and want clients
to make the healthiest choices possible. For most clients, abstinence from substances,
and taking psychiatric medication regularly and as prescribed would be the most reason-
able goals for a successful outcome. However, if the clinician frames abstinence as the
only acceptable goal for coping with a substance use problem, some clients may feel
Harm Reduction
The harm reduction model offers the opportunity for flexible goal choice (that may or
may not involve abstinence). In practical terms, this means that if a client is not ready or
interested in pursuing abstinence as a goal, other goals can be considered. A far more
effective strategy involves “working where the client is at,” recognizing the importance
of engagement and knowing that goals are not static and can change over time. The
following are examples of different substance use goals a client may consider within a
harm reduction approach:
• abstinence from one drug (e.g., cocaine), but not all drugs (e.g., tobacco).
5 For more information about pharmacotherapies that support abstinence, see the Primary Care Addiction Toolkit at http://
knowledgex.camh.net/primary_care/toolkits/addiction_toolkit/Pages/default.aspx.
Chapter 16 Concurrent Disorders 393
• setting a goal for reducing the quantity and frequency of substance use to try to mini-
mize or circumvent negative consequences (e.g., to drink no more than one drink,
once a week). People with concurrent disorders, especially those who have more
severe forms of dependence, are not as successful at being able to limit their use, but
for many clients, having the opportunity to try moderation and reduction can be a
useful avenue for then exploring motivation to rethink the value of an abstinence goal.
(For more about harm reduction, see Chapter 4.)
A Blended Approach
A blended approach involves having abstinence as the overarching goal, but then using
harm reduction strategies in the event of relapse (e.g., no re-use of needles if using).
This is a bare-minimum goal designed especially for clients who are mandated into treat-
ment or who do not see their substance use as a problem: the client agrees to at least monitor
and discuss substance use. With this low-threshold goal, there is no requirement to make a
change to substance use, but the client must be willing to attend counselling and to moni-
tor and discuss substance use. This enhances the client’s awareness and insight during the
initial engagement phase, leading to a positive shift in motivation or readiness to change.
Conclusion
Addiction and mental health care providers have long worked with clients with con-
current disorders, despite often not having the knowledge, skills or resources to work
effectively with such complex problems. While integrated services for concurrent dis-
orders are still uncommon in many communities, what is encouraging is that they are
indeed growing. Treatment providers are becoming increasingly aware of the importance
of screening clients for concurrent disorders and, where identified, providing or linking
clients to integrated treatment, where available. With a more collaborative, integrative
approach to treating concurrent disorders, the hope is that clinicians will be better pre-
pared to welcome the challenges—and the opportunities—of working with these clients.
Practice Tips
Resources
Publications
Canadian Centre on Substance Abuse (CCSA). (2009). Substance Abuse in Canada:
Concurrent Disorders. Ottawa: Author. Retrieved from www.ccsa.ca/2010%20
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Centre for Addiction and Mental Health. (2006). Navigating Screening Options for
Concurrent Disorders. Toronto: Author. Retrieved from http://knowledgex.camh.net/
amhspecialists/Screening_Assessment/screening/navigating_screeningcd/Pages/
default.aspx
Mueser, K.T., Noordsy, D.L., Drake, R.E., Fox, L. & Barlow, D. (Eds.). (2003). Integrated
Treatment for Dual Disorders: A Guide to Effective Practice. New York: Guilford Press.
Skinner, W.J.W. (2005). Treating Concurrent Disorders: A Guide for Counsellors. Toronto:
Centre for Addiction and Mental Health.
Substance Abuse and Mental Health Services Administration. (2002). Report to Congress
on the Prevention and Treatment of Co-occurring Substance Abuse Disorders and
Mental Disorders. Rockville, MD: Author. Retrieved from www.samhsa.gov/reports/
congress2002/CoOccurringRpt.pdf
Chapter 16 Concurrent Disorders 395
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398 Fundamentals of Addiction: A Practical Guide for Counsellors
Magda is 38 years old, and has two children who are not in her care. She
has a 15-year history of substance use problems, which started with alcohol
and now include alcohol, benzodiazepines and, most recently, Percocet.
Her children’s child welfare worker referred her to an addiction treatment
agency where she was given information over the phone about how she
could “get started.” After Magda missed her assessment appointment (she
used the night before and was unable to “pull herself together”), the recep-
tionist informed her that she would be placed at the bottom of the waiting
list if she missed another appointment. A few days later—after missing her
second assessment appointment—Magda called the agency again and was
told that, since she had missed two appointments, she would now move to
the bottom of the waiting list. Magda, disappointed with herself, went on a
two-week binge.
Six weeks later, Magda received a call from the agency and was told that
there was a cancellation and she could attend an assessment appointment
the next day. Magda attended the appointment. She was accepted into the
residential program, but she left the appointment feeling quite overwhelmed
by the experience. She was given an admission date and told that she would
receive an information package before she entered the program in six weeks.
A week before her start date, she received the package in the mail that
included the “rules” for her stay in treatment. Magda was concerned that
she would have to share a washroom and bedroom. She worried that her
roommates would be upset by her insomnia and night terrors, and she was
concerned about having to share a washroom.
Staff were warm and welcoming when Magda arrived, but her anxiety
increased when they took her belongings into another room to be searched
and left her in the reception waiting area. In the program, Magda really
enjoyed the psychoeducational modules and felt a connection with her pri-
mary therapist. However, she had some difficulty with the process groups,
400 Fundamentals of Addiction: A Practical Guide for Counsellors
especially when called on to share. Staff felt that Magda was not “working
the program” and that they were “working harder than she was,” as she
was not participating by sharing with the group. They also felt she was
disrespectful to staff and fellow clients by consistently being late, despite
constant reminders.
In the second week, Magda was asked to leave because staff felt she was not
“group ready”: they said she wasn’t following the rules, was disrespecting
other group members and had not disclosed two relapses with Gravol. Staff
were aware that she had disclosed trauma in her assessment; however, they
did not address it, as Magda had said it did not affect her anymore, and the
agency philosophy was to deal with the addiction first and then deal with
other issues.
1 Psychologist Lori Haskell has contributed greatly to our understanding of trauma and its relevance for the substance use
field. She has worked with the Centre for Addiction and Mental Health to produce pamphlets that describe in simple language
the effects of trauma (Common Questions about Trauma, 2000; Women: What Do These Signs Have in Common? Recognizing
the Effects of Abuse-Related Trauma, 2004); booklets that describe the importance of integrated support for women (Bridging
Responses: A Front-Line Worker’s Guide to Supporting Women Who Have Post-Traumatic Stress, 2001; Women, Abuse and Trauma
Therapy, 2004); and a book that provides more in-depth strategies for trauma-related practice (First Stage Trauma Treatment:
A Guide for Mental Health Professionals Working with Women, 2003). These resources are available through www.camh.ca or
http://knowledgex.camh.net.
402 Fundamentals of Addiction: A Practical Guide for Counsellors
Clinical literature has established clear links between substance use problems and a his-
tory of trauma (see Bonin et al., 2000; Mills et al., 2005; Najavits et al., 2003; Ouimette
et al., 2000; Wu et al., 2010). These and other studies place the prevalence of trauma
histories among people receiving substance abuse treatment between 25 and 90 per
cent, depending on the treatment setting, the manner and timing of screening and spe-
cific client characteristics.
Women
Among those seeking help for substance use problems, women report past abuse much
more frequently than men. In fact, most women in substance use treatment programs
report physical and/or sexual abuse over their lifetime, and about one quarter have
received a diagnosis of PTSD (Poole, 2007; Savage et al., 2007).
Youth
Ballon and colleagues (2001) evaluated the prevalence of reported physical and sexual
abuse among youth with substance use problems and found that 50 per cent of females
reported having been sexually abused, compared with 10.4 per cent of their male coun-
terparts. Similarly, 50.5 per cent of females had a history of physical abuse, compared
with 26 per cent of males. Of those who cited a history of abuse, more females (64.7%)
than males (37.9%) reported using substances to cope with this trauma.
Chapter 17 Working with Clients Who Have Histories of Trauma 403
Aboriginal people
Haskell and Randall (2009) describe how historical trauma experienced by Aboriginal
people in Canada flows from “an unfortunately long list of events” (p. 68), including
colonialism, residential schools, loss of custody of children, loss of land and racism.
Given the very high prevalence of historical and contemporary trauma experienced by
Aboriginal people, Haskell and Randall (2009) argue for a much broader framework
that includes an understanding of the social context of trauma and trauma-informed
programs to treat alcohol and other substance use issues.
Many people with substance use problems, such as refugees; veterans; people
with disabilities; and gay, lesbian, bisexual and trans people, have unique overlapping
experiences of trauma. (For the latter group, see Chapter 25 on sexual orientation and
gender identity.)
Effects of Trauma
Clients with a trauma history often have a complex array of symptoms. Some clients
report intrusive experiences, such as memories of the traumatic episode, distressing
dreams or reliving the experience as though it were happening in the present (flash-
backs). Others avoid feelings and appear to lack access to their emotions. They may
appear emotionally numb or detached from their feelings and actively use distractions to
avoid experiencing feelings, especially as they relate to the traumatic experience. Other
symptoms include hypervigilance (e.g., having a sense of a dangerous presence), hyper-
arousal, irritability and exaggerated startle response. Many clients report great difficulty
concentrating. They often shift rapidly from a state of emotional constriction to one of
hyperarousal and have difficulty moderating their emotional states.
For trauma survivors, substances can, in the short term, be very effective in
modulating mood. For example, people who present with a flat affect may use cocaine
and other stimulants to increase their energy level and concentration and decrease their
sense of emotional numbness. Others may use depressants such as alcohol, heroin and
benzodiazepines to decrease their physical, emotional and cognitive states of hyper-
arousal. These substances may temporarily help to decrease their anxiety and pervasive
perception of danger.
with substance use problems could not reasonably make progress on trauma-related
issues when they were still using. More recently, an integrated approach has emerged
that acknowledges the links between trauma and substance use problems and embraces
some aspects of trauma treatment. For example, Najavits (2002) has designed an inte-
grated treatment model that focuses on developing skills to mitigate trauma-related
symptoms, understanding the connections between trauma and substance use and con-
necting to community services in order to decrease the risk of relapse.
Recovery from substance use problems and recovery from trauma are similar
processes, particularly in the first stage. Many of the concrete strategies long employed
in substance use treatment help clients achieve safety, develop other coping skills
and understand the motivational shifts that accompany the change process. The early
stages of trauma treatment, like early treatment for substance use problems, involve
establishing safety, developing skills to manage symptoms and understanding how the
adaptations initially developed to survive may now be negatively affecting relationships
and other aspects of one’s life.
In fact, service providers working with people who have mental health,
substance use and violence concerns in substance use services, housing shelters, chil-
dren’s mental health programs and many other settings increasingly identify the need
to work in “trauma-informed” ways if they are to be helpful to their clients (Poole &
Greaves, 2012).
Harris and Fallot (2001) first coined the term “trauma informed” to describe ser-
vices that consider trauma in all aspects of service delivery and place priority on trauma
survivors’ safety, choice and control. Others continue to build on Harris and Fallot’s
work. (e.g., Bloom & Yanosy Sreedhar, 2008; Elliot et al., 2005; Hopper et al., 2010;
Prescott et al., 2008). With trauma-informed services, staff attends to issues of safety
and empowerment through policies, practices and ways of relating to clients. Safety is
considered in every interaction, and confrontational approaches are avoided. Working in
a trauma-informed way does not require disclosure of trauma; rather, a trauma-informed
approach is taken as a universal precaution, given how pervasive trauma is among
people coming for substance use and related health and social services.
Many substance use services also incorporate “trauma-specific” approaches,
which directly address the need for healing from traumatic life experiences and facilitate
trauma recovery through counselling and other clinical interventions. In the following
section, we describe how trauma-informed and trauma-specific work is being achieved
in substance use treatment settings to address the needs of clients such as Magda, whose
story began this chapter.
Chapter 17 Working with Clients Who Have Histories of Trauma 405
Practice Implications
Trauma-Informed Practice
Agency leadership
Administrative and clinical leadership implications need to be considered and included
in a strategic planning process, and all leaders need to be trained. Clinical and admin-
istrative management personnel with a trauma lens could review all policies and
procedures. Trauma-informed policies would need to address such areas as hiring
practices, data collection, health and safety, privacy, performance appraisals, supervision
model, staff training and development, crisis intervention, client exclusion/inclusion
criteria for programs, diversity, property (e.g., layout, decor, safety features) and food
services (considering factors such as disordered eating, culture, religion, traditions).
The clinical management team would need intensive training in both trauma-
informed care and clinical supervision skills.
Support staff
Integral to the process of becoming trauma informed is providing training for all
employees, including support staff, and ensuring consistent understanding and care
of clients and a common language regarding care. Support staff includes anyone who
may have contact with clients in a non-clinical capacity, such as people working in
maintenance, food services, housekeeping and administration. They need to be trained
at a level appropriate to their responsibilities, so they do not feel responsible for provid-
ing clinical care, but do feel competent and confident in their interactions with clients.
Topics discussed could include ensuring a safe physical environment, effective engage-
ment practices, behavioural tolerance, boundaries, handling disclosures, determining
the need for clinical assistance, recognizing when they are being personally affected and
using supervision and self-care techniques.
Clients
Therapists cannot assume that clients who have experienced trauma will necessarily
understand or identify their experiences as trauma, or that they will always be com-
passionate toward the behaviours of others who have experienced trauma. A client
education program is part of the design of a trauma-informed service.
The agency could provide pamphlets and other resources, and display posters
that provide information about trauma, which demonstrate an understanding of the
relationship between trauma and addiction. Information sessions and orientations
could include discussions of individual and group safety and tolerance and compassion
for fellow program participants. Group norms should be established with client input,
regularly reviewed in groups and posted. Therapists can be provided with further client-
friendly information to give clients as needed.
Agency environment
People affected by trauma are often hypervigilant and have increased sensitivity and
awareness of the physical environment and its impact on their safety and comfort. The
agency could conduct an environmental scan and identify areas that would enhance
trauma-informed care.
Issues to consider include choice of colours (softer tones), comfort items (e.g.,
stress balls, pillows), quiet/reflection rooms, posters/messages (about safe space, anti-
oppression, LGBTTQ positive), security cameras, exits/entrances (clearly marked),
hallways, lighting (no dark corners), emergency instructions/procedures (clearly
marked), office set-ups (safe escape route for client) and group room set-ups. The agency
could also develop a checklist to be included in monthly health and safety inspections.
408 Fundamentals of Addiction: A Practical Guide for Counsellors
Program design
To ensure that program design is in keeping with trauma-informed practice, map a cli-
ent’s journey through the agency using a trauma lens. The major stages would include:
First contact
The agency can identify all “first contact” points, including website, written materials
(brochures, publications), voice mail messages, telephone contact and reception.
Written materials and the website should use trauma-informed language.
To make your agency welcoming to clients, write a script for both the voice mail
message and for the receptionist who answers the phone. Emphasize ways the reception-
ist can talk “with,” not “at,” the (prospective) client on the phone and in person. Include
information about what to expect, how to get to the agency, how long the visit will take
and who the client will see. Allow for the client to voice concerns and ask questions.
Assessment
Rather than relying on a formal diagnosis of trauma, the assessment process should
assume trauma. This moves the nature of the questions from “Do you have . . .” probing
for symptoms to “What helps you with . . .,” which focuses on coping and strengths.
A one-session assessment may not be enough. Staff should explore the client’s
comfort level with the process and check in to see how the client is feeling during the
assessment. Provide information both orally and in writing: keep the written portion
short and include the therapist’s name and contact information.
Expand the assessment beyond information gathering to provide information that
can allay anxiety or stress. Introduce the client to agency staff; discuss confidentiality
protocols; and explore the client’s comfort with visitors and family contact and involve-
ment. Discuss physical, emotional and psychological safety, including the need for crisis
or safety plans and withdrawal management services.
what may be seen as favouritism. In addition, there is the challenge of nurturing staff’s
understanding, tolerance and acceptance of clients. The fact that clients “live” at residen-
tial facilities means that trauma-informed practices must be in place 24/7, over several
shift changes and often with staff with varying skill levels.
On the flip side, aspects of residential programs can actually help clients with
trauma by providing 24-hour support, and having certain safety features in place,
such as limiting access to the public and screening telephone calls. As an example,
women should be served in an all-women environment, where possible; where this is
not possible, they should be served by female staff and given gender-specific options
(Currie, 2001).
The following list outlines some changes agencies can make to become more
trauma informed. Even small changes can make big differences. The first two points
relate specifically to residential settings, while the remainder are applicable to all treat-
ment settings.
• Alter the process through which residential facilities search clients’ belongings.
Although a search for drugs and other paraphernalia may still be necessary for safety
reasons, it can be made easier for the client: explain the process and the reason for
it to the client; let the client know ahead of time it will happen; ensure that the space
where the search is conducted is private; and allow the client to be an active partici-
pant by, for example, opening his or her bags.
• Adjust the “rules” in residential programs to allow more flexibility, while still main-
taining an environment that is safe and equitable for everyone. Although some rules
are non-negotiable (e.g., violence), most rules can be considered guidelines. Part of
being less rigid may include taking down posters that contain “do not,” “must not”
and “cannot” messages. Update handbooks to replace the word “rules” with “rights
and responsibilities,” whenever possible. For example, instead of “Don’t gossip,” you
could say “You have the right to confidentiality and you have the responsibility to
maintain confidentiality on behalf of your fellow clients.” Replace “Clean your room”
with “You have the right to a clean and comfortable space and you have the responsi-
bility to contribute to the cleanliness and comfort of this shared space.”
• Implement a buddy system so that clients do not feel they are navigating the new
environment alone.
• Institute a therapist/client matching process.
• Rewrite relapse/lapse policies to consider lapses without negative consequences,
recognizing that reducing substance use may result in an increase of PTSD/trauma
symptoms. Pay attention to language around lapses and relapses (i.e., refer to urine as
“positive” or “negative” for substances, rather than “dirty” or “clean”).
• Develop crisis/safety plans with all clients at the beginning of their treatment cycle
and give them a copy of their plans, inviting them to touch base with any changes.
• Include in the program such components as grounding and mindfulness, trauma
education and a general discussion of trauma as part of clients’ lives and journeys.
Where possible, give clients a menu of program component options.
410 Fundamentals of Addiction: A Practical Guide for Counsellors
Discharge planning
Trauma-informed practices extend from first engagement to beyond completion of the
program. Clients may learn to trust a therapist or treatment provider; however, it may
still be difficult for clients to transition to the community when they finish treatment.
Starting discharge planning at the beginning of treatment can help ease the tran-
sition. Clients’ short- and long-term goals can drive this planning. Agencies can institute
continuing care programs with discharge planning guided by a “transfer of trust”; for
example, a client may be given the name of the service provider at the service to which
he or she is referred, the client and therapist could visit agencies together and meetings
could be held with the next service provider before treatment ends.
Trauma-Specific Practice
Phase 1: Therapy focuses on helping clients understand and manage their responses and
develop safety and coping skills.
Phase 2: Therapy focuses on helping clients modify and process their memories of the
traumatic events.
Phase 3: The final phase of trauma treatment involves going beyond the actual experi-
ences of trauma to address other life issues, such as relationships, work, family, and
spiritual and recreational activities (p. 64).
Many women whose children are taken into the custody of child welfare suffer a
devastating sense of grief and loss. This loss is complicated by feelings of shame, help-
lessness, anger and emotional numbness. The fact that the grief is rarely acknowledged
as “legitimate” or met with compassion further freezes the experience of these women
and heightens their isolation. The apprehension of a child, while it may be necessary,
alters a woman’s sense of self and can result in many of the symptoms we have come to
recognize as trauma and posttraumatic stress.
Unresolved grief as trauma is a newer concept in clinical practice. Bringing a
trauma-informed perspective to services for women who have lost custody of their
children should start with a more formal acknowledgment that the woman may be
struggling with parallel manifestations of both grief and trauma. It is also important to
recognize that women with trauma histories are more likely to experience subsequent
412 Fundamentals of Addiction: A Practical Guide for Counsellors
grief as complex trauma (Cantwell-Bartl, n.d.). This is particularly relevant, since a high
proportion of women in substance use treatment have experienced trauma, including
physical and sexual abuse (Finkelstein et al., 1997; Health Canada, 2001; Najavits, 2002;
Women’s Service Strategy Work Group, 2005).
Magda went on the agency’s website and was intrigued by its section on
the connection between trauma and addiction, which caused her to wonder
about her own circumstances. When Magda reconnected with the agency, the
receptionist introduced herself, gave her an assessment appointment and
asked her if there was anything she needed to support her in getting there.
Prior to the assessment appointment, staff reviewed Magda’s file and dis-
cussed how they could better support her through the treatment process.
In the assessment, Magda was not asked about her trauma; rather, she
was asked what helps her cope with her insomnia and night terrors. She
was relieved that the therapist recognized that sharing a bedroom and a
washroom could be difficult and discussed strategies to cope with this
arrangement. Magda was given an admission date, along with a telephone
number for questions, concerns or crisis. Privacy and safety were dis-
cussed with her, as were her rights and responsibilities. She was given an
opportunity to talk about her concerns and was told that it would be okay
if she had questions later. She was also given the name and number of a
primary contact person. Magda asked for the same therapist she had the
last time. She was informed that her previous therapist was no longer at
the agency, but was asked what qualities and style would work best for her,
and was assured that her preferences would be considered when assigning
her a therapist.
When Magda arrived for her residential stay, she was introduced to staff and
taken to a private space and asked if she would help the therapist go through
her belongings to make sure there were no items that were unsafe for her or
others. She was given a tour of the facility, and was shown the safety meas-
ures in place. In Magda’s first group, the therapist began the group with a
grounding exercise that, to Magda’s surprise, helped to lessen her anxiety.
Chapter 17 Working with Clients Who Have Histories of Trauma 413
She noticed on the program schedule that there was an optional relaxation/
mindfulness group and a yoga class. Several days into the program, Magda
became quite anxious, reminding her of how she had felt two years before.
She was becoming agitated with other clients, and arrived late for individual
appointments. Her therapist had arranged a meeting with her to check in.
Magda was nervous that she would be discharged again. In preparation for
the meeting, staff met to discuss how they could better support Magda to
ensure that they maximized the benefit of the program to her. They decided
to offer Magda a more flexible schedule. Magda’s fears were quickly allevi-
ated when she discovered that she was not going to be discharged. She
described the experience later as “the first time I felt someone truly under-
stood me.”
Conclusion
This chapter discussed efforts to integrate support on trauma-related experiences
into work with clients who have substance use and mental health concerns, as well
as other issues that affect their health and recovery. We advocate a trauma-informed
approach applied as a universal precaution, and which, at the organizational level, is
linked closely to trauma-specific treatments. There is no “one-size-fits-all” formula for
our work in the substance use field. But given the pervasiveness of trauma and vio-
lence among clients, bringing a trauma-informed lens to practice is an important step
forward for our field.
Practice Tips
Resources
Publications
Covington, S.S. (2003). Beyond Trauma: A Healing Journey for Women. Center City, MN:
Hazelden.
Haskell, L. (2001). Bridging Responses: A Front-Line Worker’s Guide to Supporting Women
Who Have Post-Traumatic Stress. Toronto: Centre for Addiction and Mental Health.
Retrieved from http://knowledgex.camh.net/amhspecialists/specialized_treatment/
trauma_treatment/bridging_responses/Pages/default.aspx
Haskell, L. (2003). First Stage Trauma Treatment: A Guide for Mental Health Professionals
Working with Women. Toronto: Centre for Addiction and Mental Health.
Hien, D., Litt, L.C., Cohen, L.R., Meile, G.M. & Campbell, A. (2009). Trauma Services
for Women in Substance Abuse Treatment: An Integrated Approach. Washington, DC:
American Psychological Association.
Najavits, L.M. (2002). Seeking Safety: A Treatment Manual for PTSD and Substance Abuse.
New York: Guilford Press.
Poole, N. (2012). Essentials of . . . Trauma-Informed Care. Ottawa: Canadian Network
of Substance Abuse and Allied Professionals. Retrieved from www.cnsaap.ca/
SiteCollectionDocuments/PT-Trauma-informed-Care-2012-01-en.pdf
Poole, N. & Greaves, L. (Eds.). (2012). Becoming Trauma Informed. Toronto: Centre for
Addiction and Mental Health.
Internet
Centre for Addiction and Mental Health Knowledge Exchange portal for
professionals—overview of trauma treatment
https://knowledgex.camh.net/amhspecialists/specialized_treatment/
trauma_treatment/Pages/default.aspx
Coalescing on Women and Substance Use—trauma-informed online tool
www.coalescing-vc.org/virtualLearning/section1/default.htm
SAMHSA National Center for Trauma-Informed Care
www.samhsa.gov/nctic/
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Chapter 17 Working with Clients Who Have Histories of Trauma 417
Daniel is a 48-year-old married plumber from Toronto who has been convicted
twice for impaired driving. Probation referred Daniel to a community-based
addiction agency for treatment following the second conviction. The referral
form includes the statement: “Client is mandated to attend treatment for alco-
hol abuse,” but provides little more background information. In extending a
welcome to Daniel in the waiting room, Olena, a staff member at the addiction
agency, says: “How are you doing today?” Daniel replies: “This is a big misunder-
standing. Let’s get this over with.” Daniel is accompanied to the appointment
by Dana, his spouse of 20 years, who asks to be included in the assessment
interview because “Daniel sometimes forgets important details.” Daniel’s body
language seems to indicate that he’s not entirely comfortable with this prospect.
This chapter provides an introduction to acquired brain injury (ABI) and fetal alcohol
spectrum disorder (FASD). Although the causes, natural history and outcome of each are
very different, they are addressed together because people with these conditions share
some important characteristics when it comes to treatment for substance use problems.
ABI and FASD are very common comorbidities in people seeking help for substance use
problems. But both are in some sense “invisible disabilities” that may go undiagnosed
in their milder forms. And their cognitive and behavioural presentations are often con-
strued as a lack of motivation for treatment.
FASD and ABI may be difficult to confirm based on history alone. When signs
of cognitive impairment are evident, the clinician should expect that the client’s history
may contain elements of ABI, FASD or both. It is less critical to understand the source of
the neurocognitive impairment than it is to recognize when the impairment may influ-
ence an intervention’s effectiveness, and to accommodate accordingly.
We begin with overviews of ABI and FASD. Implications for intervention are
addressed in the last part of the chapter. We also provide information about “disability
etiquette,” which can be applied to any person with a disability.
420 Fundamentals of Addiction: A Practical Guide for Counsellors
The case study of Daniel is used throughout the chapter to illustrate how clini-
cians can address neurological impairment in care planning, regardless of its cause. As
with many neurological impairments, memory problems are just one of the difficul-
ties the client and family will be forced to cope with after a brain injury. The question
of whether there are other sources of impairment that should be explored—including
FASD—can only be answered through detailed inquiry.
The outcome of an ABI depends on a number of factors, including the cause of the
injury, its severity, the part of the brain affected, the age at which the injury was sus-
tained, and the person’s pre-injury status and life circumstances.
The impairments that arise from an ABI can be categorized as sensory, physical, com-
munication, cognitive and behavioural. Difficulties in any of these categories may range
in severity from very subtle to very severe, and may occur in any combination. Examples
of sensory, physical and communication problems are provided in Table 18-1.
table 18-1
ABI-Related Sensory, Physical and Communication Problems
TYPE OF
IMPAIRMENT COMMON CLINICAL PRESENTATION
TYPE OF
IMPAIRMENT COMMON CLINICAL PRESENTATION
table 18-2
ABI-Related Cognitive Impairment
TYPE OF COGNITIVE
IMPAIRMENT COMMON CLINICAL PRESENTATION
Subtle changes in the brain’s capacity to recognize social cues, connect emo-
tional information to thought processes and perform complex executive functions may
result in devastating changes in social behaviour and decision-making (Damasio, 1994;
Koenigs et al., 2007). Some of these changes are listed in Table 18-3.
table 18-3
ABI-Related Impairments in Emotional and Behavioural Functioning
In the healthy human brain, the connections between the frontal lobes and other
brain structures, such as the limbic system deep in the temporal lobe responsible for
processing memory, emotion and pleasure, ensure co-ordination of all the brain’s activi-
ties, and result in behaviour that is appropriately responsive to the environment. Simply
put, the ability to think things through before acting, determine which behaviours will
produce a desired long-term payoff, inhibit less productive behaviours and ignore dis-
tractions requires a frontal lobe that is in good working order and connected to the rest
of the brain.
The frontal and temporal lobes are particularly vulnerable to traumatic injury
because they are situated over sharp bony structures in the skull. When the brain is
shaken, neural connections may be damaged, resulting in injuries referred to as dif-
fuse axonal shearing (e.g., Alexander, 1995). These injuries disrupt the connections
among brain structures and may result in subtle but widespread changes in cognitive
and behavioural functioning, such as those listed in Tables 18-1 and 18-2. Direct injury
to the frontal and temporal lobes, and diffuse axonal injury affecting structures deep in
the brain, can result in changes in the ability to organize and regulate behaviour, while
sparing basic abilities, such as speech, movement and visual-spatial abilities (Stuss &
Levine, 2002). The pattern of damage resulting from non-traumatic injury varies from
person to person, and disease to disease. For example, some infections may have wide-
spread effects on functioning, while others may only affect structures responsible for
memory. Strokes tend to affect one side of the brain and usually include physical as well
as cognitive problems.
Chapter 18 Acquired Brain Injury and Fetal Alcohol Spectrum Disorder: Implications for Treatment 425
However, when the person seems to be unaware of neurocognitive impairment and will
not discuss ways to compensate for it, consultation with a brain injury expert is often
necessary. In general, a person with little awareness of the disability needs more help
from others. For example, instead of expecting a client to make in-session notes, the
therapist may need to begin sessions by reviewing what was discussed in previous ses-
sions, and provide notes for the client to review between sessions. Other strategies are
discussed later in this chapter.
At a minimum, it is important to realize that changes in cognitive and emotional
regulation are common after brain injury and that their subtle presentation can easily
be mistaken for problems in personality, adjustment and motivation. In many cases,
what separates the brain injury survivor from others served in addiction programs is
more a matter of severity than of the nature of the problem. For example, survivors of
brain injury often have difficulty reading facial expressions, and may appear egocentric
due to problems attending to subtle social cues. Although being insensitive to cues may
be common, the person may appear to entirely ignore or grossly overreact to feedback.
Some seem to have difficulty weighing the relative importance of a particular circum-
stance and respond with equal intensity (or apathy) to everything they encounter. The
most damaging aspect of emotional dysregulation, however, may be increased sensitiv-
ity to immediate rewards, which makes it very difficult for the person to attend to the
long-term consequences of behaviour, and may even prevent him or her from doing so.
When this is the case, people with brain injury (and, as described below, those whose
brains have been injured by substance use) depend much more on environmental cues
compared to the average person (see reviews in Feeney, 2010, and Stuss, 2011).
North American studies have found that 38 to 63 per cent of clients in addiction pro-
grams report a history of brain injury (see review in Corrigan et al., 2005). In the largest
of these studies, Walker and colleagues (2007) found that 32 per cent of their rural
sample of 7,784 adults seeking addiction treatment reported one or more head injuries
resulting in loss of consciousness. According to the Addiction Severity Index, people
reporting two or more injuries were more likely to have serious mental health problems
and to have used substances longer. In a follow-up study of 51 people admitted to a pro-
Chapter 18 Acquired Brain Injury and Fetal Alcohol Spectrum Disorder: Implications for Treatment 427
gram for comorbid substance use and serious mental illness, Corrigan and Deutschle
(2008) found that 72 per cent had a history of TBI. Admission criteria included a history
of repeated inpatient admissions and/or legal involvement. The authors found that par-
ticipants with a history of TBI had more severe and complex psychiatric symptoms and
an increased likelihood of being diagnosed with an Axis II personality disorder. A history
of TBI was also associated with earlier onset of problematic substance use. Having more
injuries and experiencing the first injury at an earlier age were also associated with more
severe symptoms.
A recent systematic review found that between 30 to 51 per cent of adolescents and adults
with brain injuries requiring hospitalization have a pre-injury history of substance use
problems (Parry-Jones et al., 2006). Given the impact of intoxication on judgment, cogni-
tion and motor co-ordination, it isn’t surprising that people with substance use problems
are at an increased risk of brain injury, resulting in reduced cognitive functioning.
Alcohol
American and Australian research reveals that alcohol use declines for the first year or
two after substantial brain injury (Ponsford et al., 2007; Taylor et al., 2003)—during a
period of active rehabilitation and recovery. For those who receive medical treatment
after brain injury, a period of abstinence from alcohol use—traditionally one year—is
recommended. Reduced alcohol use may be related to clients’ adherence to professional
recommendations and their reduced overall abilities in the early days following injury.
Studies that prospectively followed survivors of brain injury for more than the traditional
six months to one year post-injury found gradually increasing rates of alcohol use and
alcohol use problems, although their reported use of substances other than alcohol did
not return to pre-injury levels (Ponsford et al., 2007; Taylor et al., 2003).
Bombardier and colleagues (2003) found that, overall, people hospitalized for ABI
decreased their alcohol intake in the first post-injury year. They also reported that those
with a pre-injury history of drinking problems were more than 10 times more likely than
the general population to exhibit problematic alcohol use during the first post-injury
year. Alcohol use problems after brain injury have been associated with re-injury, poorer
psychosocial outcomes and unemployment (Parry-Jones et al., 2006; Taylor et al., 2003).
Other substances
The substance use literature on epidemiology and treatment for survivors of brain
injury has focused primarily on alcohol use. Little is known about the use of marijuana
and other street drugs. Stimulants, opioids and benzodiazepines are often prescribed
after brain injury to address fatigue, chronic pain, anxiety and difficulty sleeping. While
survivors of brain injury may be particularly vulnerable, the risks of addiction, misuse
428 Fundamentals of Addiction: A Practical Guide for Counsellors
or abuse of prescribed medications in this group have not been studied (Graham &
Cardon, 2008). Although strong evidence is lacking, it is generally recognized that
clinicians should be aware of the potential for increased sensitivity to prescribed medi-
cations and other drugs, in addition to the risks associated with mixing alcohol with
prescribed medications.
self-regulation and judgment that only become apparent when they fail to develop age-
appropriate behaviour (Anderson & Catroppa, 2005). The capacity for self-regulation
usually develops gradually, and nears completion in early adulthood, but can be inter-
rupted by a brain injury in adolescence. The end result may be an adult who continues
to demonstrate the impulsivity, risk taking and social skills of an adolescent.
Combined with psychosocial difficulties, even a mild brain injury may predispose
a person to substance use problems (Bjork & Grant, 2009). The effects of brain injuries
are additive; the data suggests that people presenting for addiction treatment who have a
history of more than one brain injury are more likely to have serious symptoms of men-
tal illness and difficulty managing violent behaviour and cognitive symptoms (Walker et
al., 2007). They also have the longest histories of substance use problems.
While most substance use after brain injury seems to be a resumption of a pre-
vious pattern of problematic substance use, an estimated 20 per cent of brain injury
survivors develop a new substance use problem (see review in Corrigan & Cole, 2008).
Daniel from our case study would appear to fall under this latter category. His spouse,
Dana, reports that up until about three years ago, Daniel was a “light social drinker,”
consuming four or five beer in a typical week, generally on the weekend while social-
izing. After the accident, Daniel began drinking nearly every day, generally three to
five drinks—more on the weekend. Even a small amount of alcohol seems to have a
pronounced effect on his behaviour. A pattern has developed where Daniel goes to a bar
with colleagues after work, stays after they leave, has a second beer and then buys more
beer on the way home to continue drinking. He reports that drinking helps him cope
with the fact that he is no longer a supervisor at work, and cannot do what he used to do.
He admits to occasionally having an open beer in the car. Dana describes Daniel as “an
angry drunk.” She says his verbal abuse while intoxicated has brought her to the point
of considering leaving the marriage.
Even when there is no specific history of ABI, injury to the brain as the direct result of
substance use is common.
Alcohol
Imaging studies of people with substance use disorders have consistently demonstrated
cerebral atrophy (e.g., see review in Bates et al., 2002). This damage seems to be worse
for up to 80 per cent of people with chronic alcohol problems who are deficient in thia-
mine (Bates et al., 2002), but can also occur in people without nutritional deficiencies
or liver damage (Harper, 2009). An acute form of cognitive impairment associated with
thiamine deficiency can result in Wernicke’s encephalopathy, a condition that includes
confusion, changes in muscle functioning around the eye and generally disturbed
muscle co-ordination. The condition is to some extent reversible with abstinence and
430 Fundamentals of Addiction: A Practical Guide for Counsellors
improved nutrition. In its more severe form, the Wernicke’s encephalopathy can lead to
Korsakoff’s psychosis, an irreversible condition in which the person has profound dif-
ficulty creating new memories and with motor co-ordination.
In outpatient settings, the milder form of alcohol-related brain dysfunction typi-
cally encountered has a much more subtle presentation with an insidious onset. Studies
of older adults (age 45 and older) with daily, heavy alcohol use suggest that the regions of
the brain that seem to be most susceptible to damage are the areas of the brain respon-
sible for higher-order executive functions (pre-frontal cortex) and memory and emotional
functioning (temporal cortex), as well as areas responsible for co-ordination and sensory
integration (Bates et al., 2002; Harper, 2009; Hermens et al., 2013). A smaller number
of studies with younger people with alcohol use disorders show similar patterns of brain
changes in both binge drinkers and those with daily use patterns (Hermens et al., 2013).
The cognitive functions most affected by chronic alcohol use are those that require
conscious effort in order to process novel information, as well as the ability to focus
attention and to divide or shift attention in a flexible way (Green et al., 2010; Hermens
et al., 2013). For example, the tendency to ignore long-term risk for immediate gain as
measured by simulated gambling tasks has been found to be impaired in studies of
alcohol-using adolescents (Hermens et al., 2013) and alcohol-using adults (Loeber et al.,
2009). Cognitive impairments associated with chronic alcohol use are typically found
alongside intellectual ability that is in the broad range of average. The ability to perform
automatic or over-learned cognitive processes also seems to be relatively unaffected by
alcohol use (Bates, 2002).
Cognitive functions affected by chronic alcohol use include:
• learning new information for immediate recall
• recalling newly learned information after a delay
• problem solving using non-verbal materials
• working memory (using information held in mind)
• abstract reasoning
• evaluation of risk versus reward
• cognitive control (shifting attention, selective attention).
There is a significant overlap between the symptoms of mild TBI and chronic alco-
hol use. Two studies found that these clinical groups cannot be reliably distinguished
from one another on the basis of cognitive testing (Iverson et al., 2005; Lange et al.,
2008). As described above, substance use is a risk factor for sustaining a brain injury
resulting in a high number of people who have a history of both the milder forms of
brain injury and of heavy substance use, which may account for some of the observed
similarities between these two groups. However, the impairments listed above are
known to occur in those without a reported history of brain injury (Bates et al., 2013).
There is no clear answer to how much alcohol must be consumed to result in
brain injury. There appears to be an interaction between a person’s overall health and
pre-existing characteristics. However, the studies reviewed above were all conducted
among people seeking treatment for substance use problems. While there is some
Chapter 18 Acquired Brain Injury and Fetal Alcohol Spectrum Disorder: Implications for Treatment 431
Other substances
Evidence suggests that some substances may actually create impairments in executive
functions of the brain. As with alcohol use, the tendency to ignore long-term risk for
immediate gain, as measured by simulated gambling tasks, is associated with cocaine
(Cunha et al., 2011) and methamphetamine (Walker et al., 2007) in the absence of a
known history of brain injury. Using single photon emission computed tomography,
researchers have found that compared to healthy controls, people with cocaine addiction
showed reduced activity in the orbital-frontal cortex, which is responsible for the integra-
tion of decision-making and social behaviour (Adinoff, 2004). Studies conducted over
the past 20 years have suggested that the lasting cognitive effects of marijuana include
reduced cognitive speed, and impaired attention, concentration, short-term memory and
executive functioning (see review in Sofuoglu et al., 2010).
Whether as a direct result of brain injury or substance use, or a combination of the
two, some degree of cognitive inefficiency or impairment is found in most people seek-
ing treatment for alcohol use problems (Bates et al., 2002; Green et al., 2010; Harper,
2009). If we consider chronic alcohol and other substance use as a brain insult, then
people who use substances while recovering from a brain injury can be, quite literally,
adding insult to injury.
(see Table 18-4). FASD includes fetal alcohol syndrome (FAS), alcohol-related birth
defects (ARBD) and alcohol-related neurodevelopmental disorders (ARND).
FAS, the most often recognized and diagnosed form of FASD, is associated with
growth retardation; characteristic facial features, including reduction of the ridges under
the nose and above the lips (philtrum), broad forehead, smaller chin, small head, folds
extending from the eyelids to the nose; and changes in the central nervous system
(Chudley et al., 2005). Partial FAS may be diagnosed when some of the facial features are
not present but other symptoms are observed. ARBD can include congenital malforma-
tions, such as heart defects, skeletal abnormalities, renal dysfunction, eye problems and
hearing impairment. It is diagnosed when a complex of behavioural and cognitive abnor-
malities consistent with fetal alcohol exposure is present. Fetal alcohol effects (FAE) is a
less common term used to refer to children for whom there is a confirmed or suspected
history of maternal prenatal alcohol use, but who do not have the physical characteristics
of FASD or obvious ARND. These children are generally of average intellectual ability,
but exhibit some of the social and behavioural difficulties associated with FASD.
table 18-4
FASD Diagnostic Categories and Related Features
CATEGORY FEATURES
The true prevalence of FASD is difficult to estimate. When there is a known his-
tory of prenatal exposure to alcohol and significant mental disability, and the common
facial characteristics of FASD are present, early diagnosis is much more likely. However,
Chapter 18 Acquired Brain Injury and Fetal Alcohol Spectrum Disorder: Implications for Treatment 433
and exploited. Behaviourally, they perform best in situations that directly promote pro-
ductive behaviour. In the absence of these supports, they often respond to situations
impulsively—doing whatever is foremost in their mind at the moment (see reviews in
Kodituwakku, 2007; Mattson et al., 2011).
The problems associated with FASD last into adulthood. As with ABI, the brain regions
associated with cognitive and social behaviour are altered in FASD, making people with
the disorder more dependent on their environment to function well. Those with physical
traits associated with FASD and severe cognitive impairment may be recognized earlier
and provided with care and support. When they are taught about their disability and
given appropriate supports and coping strategies, they often function quite well—but the
need for environmental supports is ongoing. Those without obvious signs of disability
often go undiagnosed. As they age, their disordered social behaviour and intellectual
impairment may interrupt their education and result in trouble with the law, sexual
exploitation or substance use problems. Paradoxically, the highly structured and rule-
governed nature of the penal system may allow them to function at their best—but they
are often exploited by other inmates. FASD is estimated to be 10 times more prevalent
among the prison population than in the general population. (See reviews in Fast &
Conry, 2009; Nash et al., 2008; Paley & O’Connor, 2009.)
Brain injury itself has not been well examined as a predictor of substance use
treatment outcome. Abundant research suggests that people with comorbid mental
health issues and cognitive impairment are the least likely to benefit from treatment for
substance use problems (see review in Corrigan & Bogner, 2007). There is evidence that
as many as 70 per cent of people seeking services in concurrent disorders programs have
a history of brain injury with loss of consciousness (Walker et al., 2007).
The attributes of ABI and FASD that are particularly pertinent to treatment planning and
case management are summarized in Table 18-5. These difficulties necessitate interven-
tion strategies that help compensate for intellectual impairments and that emphasize
environmental supports. Given the paucity of literature on treating substance use prob-
lems for people with FASD, we focus on models that have been developed for people
with brain injury.
table 18-5
Common Elements of ABI and FASD
One significant difference between FASD and brain injury acquired in adult-
hood is that a person who acquired an injury as an adult will have had a period of
impairment-free functioning prior to developing neurocognitive impairment. In some
cases, the client’s pre-existing self-image, skills and habits constitute a strength to
be exploited in treatment. In others cases, a client’s focus on returning to pre-injury
roles and activities may hinder realistic planning. In cases of childhood brain injury
and FASD, the clinician should be sensitive to the fact that the client may not have
had the opportunity to develop a well-functioning adult self-image on which to build
recovery. For this reason, treatment may need to focus initially on helping the person
develop a positive self-image and gain functional skills and habits in the context of the
neurocognitive impairment.
Over the past 15 years, brain injury rehabilitation providers have conducted fewer
than 20 studies of intervention specifically designed for people with moderate to severe
brain injury. (See reviews in Graham & Cardon, 2008; Parry-Jones et al., 2006; Taylor
et al., 2003.) The vast majority of work around FASD interventions is related to educa-
tion and prevention efforts with women who might consume alcohol before knowing
they are pregnant, as well as women who have an alcohol use problem and are at risk
for continuing to drink throughout pregnancy (Burd, 2006; Public Health Agency of
Canada, 2005). The literature related to adults with FASD is limited to care recommen-
dations, such as those provided by the National Organization for Fetal Alcohol Spectrum
Disorder and the Substance Abuse and Mental Health Services Administration. To
our knowledge, no studies have evaluated the impact of providing accommodation for
brain injury and FASD in screening and brief interventions (Corrigan et al., 2010) and
mainstream programs, and no studies have considered neurocognitive impairment in
treatment matching (Graham & Cardon, 2008).
Chapter 18 Acquired Brain Injury and Fetal Alcohol Spectrum Disorder: Implications for Treatment 437
Secondary Prevention
In terms of secondary prevention (limiting further injury or disability once the person
has had an injury), the first issue is determining how much of a substance is too much
when living with neurological impairment. Most people with a moderate to severe brain
injury or cognitive impairment are advised to refrain from all non-prescribed substance
use for one to two years. Because substances may affect the injured brain differently,
substance use, even in small amounts, may have adverse effects after the first couple of
years. With FASD or any other condition resulting in neurocognitive impairment, the
effects of alcohol or other substances may also be more pronounced, although this con-
clusion is based on clinical observation rather than empirical evidence.
The Ohio Valley Center for Brain Injury Prevention and Rehabilitation has been
a recognized world leader in the field of substance use and brain injury for its work in
primary research and clinical intervention. Through a combination of focus groups and
professional consultation, it has developed a set of secondary prevention messages that
provide a summary of the good reasons to avoid substance use after brain injury (Ohio
Valley Center, 2009a):
• Substance use may limit recovery from the brain injury.
• Problems in balance and speech may be made worse by intoxication.
• The disinhibiting effect of alcohol and other drugs may be particularly problematic for
someone who has limited self-control.
• After brain injury, drugs may have a more powerful effect.
• Substance use may worsen cognitive symptoms, such as memory impairment and
difficulty concentrating.
• People who have a brain injury are at a significantly greater risk for depression—many
substances have depressant effects.
• People who use substances after injury are more likely to suffer a second injury.
• Alcohol or other drug use may increase the risk of seizure after brain injury.
It is often useful for clients to consider their current substance use in the context
of these additional risks after brain injury. Logically, these risks would also be topics of
discussion relevant to others with neurocognitive impairment. The Ohio Valley Center
has created client materials that deliver these messages in a non-confrontational way.1
1 Resources for clients about substance use after brain injury can be found on the website of the Ohio Valley Center for Brain
Injury Prevention and Rehabilitation. Visit http://ohiovalley.org/informationeducation/materials/.
438 Fundamentals of Addiction: A Practical Guide for Counsellors
inevitable stress of making major life changes. Flexible programming may be needed to
accommodate required rest periods, limited attention and slowed cognitive processing.
A number of interventions may be useful with ABI clients, but only four main
types have been systematically evaluated as specialized treatments for people with TBI
in individual, group and long- and short-term formats (see reviews in Graham & Cardon,
2008; Parry-Jones et al., 2006; Taylor et al., 2003). These interventions are:
1. strategies for treatment retention
2. intensive case management
3. skills training with peer support
4. motivational interviewing and counselling.
Skills training
In the first study of its kind, Vungkhanching and colleagues (2007) reported on a
program that specifically trained participants in communication, problem solving and
self-management skills in a group setting. The intervention included repetition and
role-playing, as well as specific goal setting and self-monitoring. The authors found
that this type of treatment was well accepted by participants, and resulted in a trend
toward using less alcohol and other drugs. Other clinical program evaluations have
also suggested that approaches that include behavioural rehearsal and skill training
show promise. While the literature describes different program models, specific adap-
tations of programming for people with impaired executive functioning are not readily
found in the literature.
There are also a few reports of long-term residential rehabilitation programs for
people with ABI that included modules designed to address substance use problems.
While these programs showed promising results, there are only a handful of them in
North America, and they are not typically available in Canada (see review in Graham &
Cardon, 2008).
Motivational interviewing
For more than three decades, motivational interviewing (MI) has provided a practical
framework for working with clients who have mixed feelings about making changes
(Miller & Rollnick, 2013). Client-centred but therapist-guided, this model has been
repeatedly shown to address ambivalence and encourage behaviour change in varied
populations. Research has demonstrated that the more statements clients make about
their rationale for change, the more likely they are to make a change. Too much ques-
tioning, confrontation and direct advice are likely to backfire, diminishing the chances
that clients will consider and work toward changing their behaviour. Using MI strate-
gies enables the therapist and client to move forward in a therapeutic conversation, even
when significant ambivalence about change remains.
In recent years, more attention has been paid to using MI with clients with cogni-
tive difficulties. However, the literature remains scant on how MI can be adapted for use
with clients who have ABI. At least six articles have explored this topic and, in all cases,
the authors have concluded that MI principles and strategies have potential usefulness
440 Fundamentals of Addiction: A Practical Guide for Counsellors
but remain largely untested in the ABI population. We have found MI principles and
skills to be very helpful in our work with clients who have cognitive impairments. We are
not aware of any published investigations of the use of MI with FASD.
Practice Implications
Screening for Cognitive Impairment
2 For a more comprehensive look at screening for brain injury and cognitive impairment, read the Substance Use Brain Injury
Provider Manual, which is available by registering through the Substance Use / Brain Injury Bridging Project at www.subi.ca.
Chapter 18 Acquired Brain Injury and Fetal Alcohol Spectrum Disorder: Implications for Treatment 441
table 18-6
TBI Screener Summary
Impact on everyday Did any of these problems persist for more than
functioning several weeks after the injury?
• headaches
• dizziness or balance problems
• tiredness or fatigue
• problems paying attention or concentrating
• sensitivity to bright lights or loud noises?
In the months after your injury did you:
• have new problems at work or school, or lose
a job?
• notice changes in your relationships with your
family (wife, husband, parents, friends)?
• have trouble remembering things or solving
problems?
• feel depressed or anxious more than before
the injury?
• have trouble controlling your temper?
Adapted from Ohio Valley Center for Brain Injury Prevention and Rehabilitation (2009b).
• TBI in early adolescence may arrest emotional and behavioural development and/or
trigger the development of a substance use problem (p. 2).
“I’m hoping it’s okay for me to ask you if there’s anything we should know about
that will make things easier for you while you’re in the program.”
or
“We want to do everything possible to make this program fit your needs. So I’d
like to take a few minutes to ask you some questions about how we could adapt
things so they work well for you.”
Chapter 18 Acquired Brain Injury and Fetal Alcohol Spectrum Disorder: Implications for Treatment 443
Operating from such a platform, the clinician can ask questions designed to
uncover a history of a head injury, or the existence of FASD or illness that may be at the
root of cognitive impairments. Following is a list of sample questions.
History:
• How would you describe your childhood? What was it like for you growing up?
• What do you know about your development? Did you reach milestones on time?
• Have you ever been hospitalized?
• Have you ever experienced a stroke, heart attack, tumour, encephalitis or other infec-
tion, HIV or drug overdose?
• Have you ever lost consciousness? What was your recovery like?
• Was that the only injury?
• How did you get that injury?
• Please tell me about yourself as a child. Did you walk, talk, develop skills on time (as
far as you know)?
• How was school for you?
• Did you ever receive special education supports?
Once the clinician has established the nature and extent of the reported functional
difficulties, it is a good time to consider how the clinician’s approach can be adapted to
take these issues into account. As we discussed earlier, a substantial number of people in
concurrent disorders programs have a history of ABI, and problems with mental health
are common after brain injury. Some symptoms of ABI can even mimic mood and
thought disorders. A clinician may face the challenge of trying to sort out the complex
interplay of psychiatric symptoms, substance use and the effects of ABI or FASD. In the
shadow of such complexity, it makes sense to request a consultation when in doubt about
how to adapt an intervention.
444 Fundamentals of Addiction: A Practical Guide for Counsellors
However, there is a final step that can be useful before the clinician attempts to
tailor the treatment plan; namely, asking the client directly about strategies he or she
may already have implemented to compensate for cognitive difficulties. The take-home
message is that practitioners should be alert for all of these possibilities, and that referral
to services designed for people with neurological impairment may be necessary. Even
when the origins of the disability you are observing remain a mystery, adapting your
intervention is possible.
Following is a list of questions clinicians can ask clients about the strategies they
have used to compensate for cognitive difficulties:
General question:
• What do you do in particular to get around the problems you mentioned?
Probing questions:
• Do you have a datebook?
• Do you make notes?
• What helps you pay attention?
Functional questions:
• I would be interested in seeing how you use your book to remember appointments.
How would you feel about showing me?
• What is your system for remembering things to do?
• Does finding a quiet place help?
• Do you schedule important appointments for early in the day?
Here-and-now questions:
• How will you remember our next appointment?
• Would it help if I make notes as we talk?
• Should I close the curtains?
Treatment
It is beyond the scope of this chapter to provide a comprehensive picture of all the ways
clinicians can adapt substance use treatment plans to address significant cognitive
impairments. Readers who are interested in a more comprehensive look at this issue
should access the Substance Use Brain Injury Providers Manual listed in the Resources
section. Here we provide a summary of strategies for dealing with interpersonal and
cognitive difficulties that clients may experience.
Clients with brain injury or FASD are often not aware when their behaviour is inap-
propriate for the situation. Clinicians can help clients with interpersonal difficulties in
various ways:
• create plans and signals that can be used in difficult situations
Chapter 18 Acquired Brain Injury and Fetal Alcohol Spectrum Disorder: Implications for Treatment 445
In general, when working with clients who experience cognitive and behavioural effects
of brain injury or FASD, it is a good idea to:
• use concrete examples
• simplify written material to emphasize basic points
• use written schedules and reminders
• present information in both visual and verbal formats
• orient the client to the goals of a session and review information afterwards, whether
you are doing individual counselling or running a group. When in doubt, talk with the
client directly about what you are seeing and problem solve with the person.
• dealing with selective memory: repeat information and ask the client to discuss
what he or she understood; make information more personal and memorable (e.g.,
“Daniel, maybe we could capitalize on your interest in bands. What song can you
think of that will remind you to think before you act?”).
• addressing confabulation: treat misinformation as a confabulation rather than a lie;
avoid repeating confabulated information and instead just provide the correct infor-
mation; include others who can provide correct information; try to avoid too many
open-ended questions.
To benefit from treatment, the client has to attend sessions and stick with the therapy.
Research and clinical experience has demonstrated that one of the most important factors
in treatment success is the duration of treatment (Simpson, 1981; Simpson et al., 1997).
People who are not yet expressing a willingness to make changes in their lives tend to
quit treatment before they reap its benefits, unless special measures are taken to help
Chapter 18 Acquired Brain Injury and Fetal Alcohol Spectrum Disorder: Implications for Treatment 447
them feel comfortable about getting help. In addition, research about optimal support for
people with cognitive issues suggests it is especially important that the first sessions a cli-
ent attends be as positive as possible to increase the chances that they will come back and
benefit from therapy. The other important consideration is removing barriers to treatment.
Clients often have difficulty managing the day-to-day logistics of their lives. In
some cases, active problem solving with the client to eliminate barriers to treatment
is helpful in improving attendance. When you make the first appointment, it is a good
practice to ask the client to identify what might keep him or her from attending. A list of
possible difficulties can be reviewed with clients who have trouble coming up with their
own ideas. For example, a client may find it difficult to arrange transportation, child care
or lunch money, or to remember the appointment. When possible, it may be useful to
offer accommodations, such as transportation fare, child care or reminder calls.
Positive engagement with clients requires that clinicians are respectful and sensi-
tive to their needs. If you have not had much contact with people who have disabilities,
you may sometimes experience awkward moments. Get to know your client as a person.
By using common sense and courtesy, and by asking questions and requesting permis-
sion when in doubt, you can easily address most issues. For “disability etiquette,” see
this chapter’s appendix.
When a caregiver cannot attend a session, a therapy notebook can be a good way
to transmit information. Clients should understand how the notebook is used and play
a role in formulating the information recorded. The caregiver can be asked to review
the information with the client between sessions. The caregiver’s assistance can be
requested in following up with action plans. In Daniel’s scenario, his counsellor, Olena,
noticed that Daniel seemed to be uncomfortable with his wife, Dana, joining the session
right away. Olena gave Daniel three options:
448 Fundamentals of Addiction: A Practical Guide for Counsellors
1. Daniel and Olena meet for the session and bring Dana in for a briefing on the out-
come of the assessment.
2. Dana joins the assessment interview only for the first few minutes to provide a bit
of background.
3. Dana joins the interview for the first few minutes and the concluding few minutes.
Daniel tells Olena that he isn’t sure which option he prefers, so Olena suggests
she meet with Daniel alone to sort out how he wants to proceed. She also suggests check-
ing back with Dana as soon as possible.
“Whatever It Takes” (WIT) is a set of principles developed by Willer and Corrigan (1994)
to help service providers assess and address the needs of people living long term with the
effects of ABI. The authors’ clinical experience has demonstrated that these principles are
also useful in working with clients who have cognitive difficulties for other reasons. The prin-
ciples are based on the idea that providers do “whatever it takes” to help clients be successful.
WIT (Willer & Corrigan, 1994) operates on the assumption that no two people are
alike—and no two brain injuries are either. No matter what the cause (e.g., stroke, injury,
illness), living with cognitive and behavioural impairment is an enormous challenge—
one that requires creativity, persistence and optimism. This is particularly true because
the person may not be fully aware of the changes resulting from the injury. Although
the availability of services is improving, people who leave rehabilitation centres with
ongoing difficulties may find that services that fit their unique needs are not available.
Here are the six most relevant WIT principles for working with clients in substance use
programs who have cognitive difficulties:
2. Skills are more likely to generalize when they are taught in the environment
where they will be used.
Generalization means transferring a skill from one setting to another. Because of
changes in reasoning, memory and initiation, teaching a client something in a counsel-
ling session often doesn’t get used in real life. The more complex the skill, the less likely
it is to generalize. In teaching a client how to refuse the offer of alcohol or other drugs,
it may not be possible to visit together the place where the offers are most likely to origi-
nate (i.e., a bar). However, the next best activity is—within a counselling session—to
simulate a high-risk scenario and have the client rehearse the skills needed to negotiate
the scenario successfully.
change habits. Sometimes the easiest, most robust plans for change involve altering
some part of the environment. For example, it’s probably easier to change roommates
than it is to teach a client not to drink when housemates are partying.
his intellectual abilities, but that he was still having some problems with
attention recalling new information. Everyone thought he should be able to
go back to work and he felt okay so he returned almost immediately, with the
advice to take it easy in the early going.
When asked directly, Daniel admits that it is hard for him these days to tell
when he has had too much to drink. He also recognizes some of the down-
sides of drinking too much, such as loss of balance and relationship conflict.
However, he is ambivalent about quitting, mainly because he enjoys having
a beer or two to wind down after work. And he doesn’t see the connection
between his drinking and the impaired driving incidents, even though the
second one resulted in the loss of his driver’s licence. Olena employs the MI
strategy of emphasizing personal choice and control by saying: “For any plan
to go forward it has to make sense to you and go at the pace that works for
you. My approach to supporting people is to really work in partnership. Your
ideas about the way forward are really important.”
Conclusion
Adapting substance use counselling approaches to the needs of people with neurocog-
nitive impairments is challenging but possible. The necessary precursor to program
adaptation is identifying which clients require a tailored treatment plan. To this end,
screening is important and can be relatively straightforward, especially when it involves
a few simple questions. The “Whatever it takes” principles provide a framework that
will likely facilitate counsellors’ success in engaging and retaining clients with cognitive
difficulties in substance use programs. Close collaboration between the substance use
counsellor and the care team in the community can also optimize outcomes.
Practice Tips
• Establish screening for ABI and FASD in your practice. Even simple
screening protocols can yield critical information for care planning.
• Be aware that cognitive impairment may masquerade as limited motiva-
tion for change and a lack of willingness or interest in participating in
treatment.
• If a client screens positively for ABI or FASD, you can increase the likeli-
hood of a better outcome by addressing cognitive impairment in the
treatment plan.
• Find the ABI and FASD agencies in your area. In the absence of special-
ized, integrated programs, meet client needs by forming partnerships
with other treatment providers.
• Use concrete visual aids to do session activities. For example, use flipchart
paper in a group to create colourful illustrations of conceptual material.
For individual sessions, keep a piece of paper on the desk between you
and your client for notes, illustrations and reminders.
• Whenever possible, support the client to participate in meaningful “real-
life” activities.
• Encourage your client to preserve existing natural supports while develop-
ing new social opportunities.
• Remember that changing some aspect of a client’s environment (e.g.,
going home by a different route) can greatly reduce risks and increase the
chances of a positive outcome.
• Start and end every counselling session with a summary. Include in the
starting summary an overview of the purpose of the session.
• Assume that the client likely won’t get content on the first or second run-
through, but may get it the third time around.
Chapter 18 Acquired Brain Injury and Fetal Alcohol Spectrum Disorder: Implications for Treatment 453
• Always end the session on a positive note. The client may not remember
the content of what you’ve talked about, but most likely will remember
how he or she felt after the session (a client who felt good is more likely
to return).
• Normalize the fact that for people with ABI, short-term memory is
adversely affected, so self-monitoring tends to be an important strategy.
• Expect a higher-than-average number of no-shows, but build in appoint-
ment reminder strategies whenever possible that involve members of the
client’s informal or formal support network.
• If the client has a community ABI worker or an informal support person,
think of a plan to include ABI workers or informal support people in some
sessions or parts of sessions, especially when it comes to implementing
cognitive compensation strategies. Also, if your client is in a relationship,
consider referring the partner to family support services.
Resources
Publications
Public Health Agency of Canada. (2011). Assessment and Diagnosis of FASD among Adults:
A National and International Systematic Review. Ottawa: Author. Retrieved from www.
phac-aspc.gc.ca
Internet
Brainline.org
www.brainline.org
Canadian Association of Pediatric Health Centres, Knowledge Exchange Network
http://ken.caphc.org/xwiki/bin/view/Main/WebHome
FASD Center for Excellence
www.fasdcenter.samhsa.gov
National Organization on Fetal Alcohol Syndrome
www.nofas.org
Ohio Valley Center for Brain Injury Prevention and Rehabilitation
http://ohiovalley.org/informationeducation/materials/
Substance Use / Brain Injury Bridging Project (Substance Use Brain Injury Providers
Manual)
www.subi.ca
The Brain from Top to Bottom
www.thebrain.mcgill.ca
454 Fundamentals of Addiction: A Practical Guide for Counsellors
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458 Fundamentals of Addiction: A Practical Guide for Counsellors
Appendix
Disability Etiquette
Don’t use terminology that defines someone by their disability. The current way of
referring to disabilities emphasizes that clients are people first. Accepted terminology is
“person with brain injury” rather than “brain-injured person.” Most people would not
like to be referred to as the “victim” of a disability or disease.
Ensure physical accessibility. Be sure that whatever room you use for meetings can
accommodate the person’s mode of mobility. Even when a facility is generally accessible,
furniture may have been arranged in a way that makes doorways impassable. A person
who uses a wheelchair will feel most welcome if furniture has been arranged before-
hand. People who use a wheelchair or scooter may prefer to transfer to a chair once in
the room. It is polite to offer them the opportunity to transfer with a simple statement,
such as, “Would you like to stay in your chair or transfer to one here?” Know where the
accessible washrooms are. Take note of the location of stairs—even one or two (or a ramp
that is too short and steep) can be barriers.
Ask before helping. What may seem like a hassle to you may be a normal activity for
someone else. Sometimes help may be appreciated—other times it may feel like an
intrusion. But watching someone struggle with a door or curb is also awkward. Asking
whether or not the person needs help or support and what they would prefer is generally
the best tactic.
Don’t touch assistive devices unless you’ve been given permission. People often consider
their wheelchair, walker or cane as an extension of themselves.
If you don’t understand something the client has said, ask. You may feel awkward ask-
ing a person whose speech is difficult to understand to repeat themselves. However, it
is generally considered polite to work at understanding the person’s message. Honest
attempts at understanding communicate respect and build trust.
Don’t be afraid to ask questions. Clients may have assistive devices that are new to you.
They may use terms in describing their situation that are unfamiliar. It is better to ask
for clarification than to feign knowledge of facts you think you should have known.
Don’t tell people with disabilities about all of the other people with disabilities you know.
Most people would like to be seen as individuals first, regardless of whether or not they
belong to any particular group.
Some disabilities are invisible. Clients with ABI often have no obvious impairments. It
is appropriate to ask them directly about how they feel their injury has affected them.
Chapter 18 Acquired Brain Injury and Fetal Alcohol Spectrum Disorder: Implications for Treatment 459
Avoid false reassurance. Most people with disabilities you meet have had the experience
of people saying everything will be fine, when they know their world has been radically
altered. It is usually better to acknowledge and validate a client’s perspectives on living
with a disability.
Make sure to address the client directly. Some clients will come with helpers of various
kinds. Be sure to honour the client’s status by speaking directly to him or her (even if
interpretation is needed).
It isn’t necessary to change the way you use words. There are many sayings that, in the
context of various disabilities, might make the speaker feel awkward; for example, saying
“I see” to a person with a visual disability, or asking a person in a wheelchair to “stand
up for yourself.” Most people are familiar with these common phrases and do not resent
their use.
Be careful not to make assumptions about the nature and extent of a person’s difficulties.
The presence of one disability does not suggest the existence of others. For example,
some people who have visual impairments complain that when someone finds out they
have low or no vision, they often speak loudly, as if their hearing is impaired as well.
Chapter 19
Peter began drinking at age 13, and used marijuana recreationally until he
got his first full-time job at 19, and quit. As an adult, he continues to drink—
somewhat heavily when he is on the road and bored. About nine years ago,
Peter was diagnosed with depression and was prescribed antidepressants to
deal with this condition.
Richard has a long history of involvement with the police. He has been
incarcerated in the provincial jail system in Alberta and Saskatchewan
four times—all involving violence while intoxicated. He has also served a
40-month sentence in a federal correctional institution for assault caus-
ing bodily harm. Richard has a history of alcohol and other drug use that
462 Fundamentals of Addiction: A Practical Guide for Counsellors
Renée, 31, makes her living as a sex trade worker in downtown Montreal. She
grew up in an abusive family just outside Quebec City. Her mother’s live-in
boyfriend repeatedly physically and sexually abused her from age 11 until she
ran away from home at 15. Renée began using alcohol and smoking marijuana
when she was 12 to help her cope with the trauma. Her alcohol use continued
to increase in her teen years and she began using more serious drugs, includ-
ing crack and heroin. For the last six years, she has been injecting a number of
opiate-based pain relief medications daily. When Renée was 22, she tested posi-
tive for hepatitis C (HCV). She has had thousands of sexual partners over the
years. Although she uses condoms regularly, she is not sure if she has infected
her clients with hepatitis C. Renée has been in and out of withdrawal manage-
ment and treatment centres many times but has been unable to stop her drug
use. Her life as a sex trade worker has brought her into repeated contact with
the police, and she has been incarcerated numerous times for drug possession
and prostitution. Renée and her pimp were recently convicted of assaulting
one of her clients for not paying her for sex. She received a two-year sentence.
Most people entering the correctional system have multiple issues that either
contribute to or result from substance use problems. Specifically, many have emotional
difficulties and mental health problems (Fazel et al., 2006; Grant & Gileno, 2008; Grant
et al., 2008) and often struggle with issues around employment, education and com-
munity functioning (Babooram, 2008). In addition, involvement in the drug trade is
common, with up to 25 per cent of offenders having been convicted for drug offences
(Motiuk & Vuong, 2006). This complexity presents unique challenges in providing treat-
ment services to this group.
Statistics Canada reports that 95 per cent of people sentenced to custody in
Saskatchewan and 81 per cent admitted to federal penitentiaries had moderate or severe
substance use problems (Babooram, 2008). Data from Nova Scotia indicates that 77 per
cent of inmates have substance use problems requiring treatment (Kitchin, 2006). It is
believed that offenders serving their sentence in the community have a similar rate of sub-
stance use issues. For example, in a sample of federal offenders, 84 per cent reported drug
use in the community and 42 per cent reported injection drug use (Zakaria et al., 2010).
This chapter describes evidence-informed best practices for substance use
interventions for offenders. The focus is on the key elements of effective interventions—
specifically assessment, treatment and aftercare. We briefly discuss unique offender
groups that require additional considerations, such as women, Aboriginal people and
people with concurrent mental health and substance use problems. The three case
vignettes that opened this chapter are used to illustrate the practical implications of the
practices outlined in each section.
Chapter 19 Treating Addictions in Correctional Settings 463
Assessment
As with non-correctional populations, the principal role of assessment is to inform
and shape the development of a relatively individualized treatment plan, regardless
of whether treatment will be delivered on an individual or group basis. In addition,
information elicited during the assessment process can be usefully incorporated into dif-
ferent phases of treatment. At a minimum, areas that should be targeted in assessment
with offenders include:
• severity of alcohol use
• severity of drug use
• possible “poly” (i.e., multiple) use and abuse
• previous treatment history
• client motivation and treatment readiness (Weekes et al., 1999).
Within the criminal justice and corrections context, another very important com-
ponent of assessment is the link between an offender’s substance use problems and
criminal behaviour (direct or indirect).
In addition to a clinical interview, standardized instruments, such as the Michigan
Alcohol Screening Test ([MAST]; Selzer, 1971); the Alcohol Dependence Scale ([ADS];
Skinner & Horn, 1984); the Drug Abuse Screening Test ([DAST]; Skinner, 1982); and the
Severity of Dependence Scale ([SDS]; Gossop et al., 1995), are appropriate for use with a
criminal justice population. Not only are these instruments short and easy to administer
(either in paper-and-pencil or electronic formats, or administered verbally); they have
also been used extensively with criminal justice and corrections clients, as well as clients
in a wide variety of other settings.
Like other clinical populations, offenders vary in intellectual or cognitive ability,
language ability and usage, reading ability, gender, ethnicity and many other dimen-
sions—differences that must be considered in the assessment process.
Finally, referrals for mental and physical health assessments are key for iden-
tifying issues such as concurrent mental health disorders and exposure to infectious
diseases caused by high-risk behaviours such as needle sharing that will influence the
offender’s treatment plan.
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464 Fundamentals of Addiction: A Practical Guide for Counsellors
The results of Renée’s DAST and SDS indicated that she has a severe sub-
stance use problem, including addiction to opiate pain-relief medications
and alcohol. Because of this addiction to opiates, her history of needle shar-
ing and her HCV positive status, Renée was referred to a health care centre at
her placement penitentiary to assess whether she met the criteria for opiate
substitution therapy (OST) and to develop a treatment plan for her health
care needs related to the hepatitis C. A health assessment for her HCV infec-
tion determined that she was currently asymptomatic, but that she would be
monitored regularly to identify if her health status changed. Renée was also
referred for a mental health assessment due to the trauma she had suffered
from her childhood physical and sexual abuse.
Treatment
Despite the challenges of working with correctional clients, treatment can have a posi-
tive impact. Numerous studies have demonstrated that treatment programs can reduce
readmissions to custody that are often associated with a return to substance use (Grant
et. al., 2003; Kunic & Varis, 2010; Matheson et al., 2011). While the primary objective of
substance use treatment may be the reduction or cessation of substance use, a second-
ary benefit for correctional clients is the associated reduction in new crimes. Research
has shown that many crimes are committed under the influence of alcohol and other
drugs, in the pursuit of money for drugs or as a result of the drug trade (Pernanen et
al., 2002). The more severe the substance use problem, the stronger the association is
with criminal behaviour (Brochu et al., 2001; Kunic & Grant, 2007; Weekes et al., 1999).
For community treatment, clients may be mandated to undergo treatment by a
court through a probation sentence or as part of a parole condition, or they may receive
services through a drug treatment court, depending on the crime. Some research has
shown that, while community-based treatments can be highly effective (Lattimore et al.,
2005; Matheson et al., 2011), barriers may exist to accessing treatment services in rural
centres (Oser et al., 2012). Some correctional clients may be serving a short sentence—
less than two years and often less than 30 days—in a provincial jail. In this situation,
interventions need to be modular and brief in order to ensure that clear treatment objec-
tives are met. Other people may be serving longer sentences—two years or more—in a
federal penitentiary. The type and length of the sentence will affect the type of program-
Chapter 19 Treating Addictions in Correctional Settings 465
ming that can be offered (e.g., brief or intensive interventions vs. an extended treatment
program), but the sentence and setting do not alter the principles under which effective
treatment should be delivered.
A large body of research exists indicating what general approaches to correctional
intervention are best suited for this population (Lipsey & Cullen, 2007; Smith et al.,
2009), as well as identifying the features of effective substance use programs in general
(McMurran, 2007; Moos, 2003). From this research, seven key components of effective
substance use programs for a correctional clientele have emerged.
A key component to consider when assessing a person’s substance use history is the
severity of the problem. Some writers have criticized a “one-size-fits-all” approach to
substance use treatment for applying the same rigorous standards of treatment for
people with both mild and serious problems, such as putting a client with a mild addic-
tion through several weeks of residential treatment (Weekes et al., 1999). Aside from
the obvious inefficiencies in cost and access to treatment posed by such an approach,
research on correctional populations has demonstrated that putting low-need offend-
ers in high-intensity programs may have negative effects, perhaps by interfering with
positive factors in the person’s life, such as good family relationships, positive supports,
pro-social attitudes and steady employment (Lowenkamp & Latessa, 2005).
Based on such research, certain correctional jurisdictions, including the
Correctional Service of Canada (CSC), have begun providing correctional programs
based on an assessment of offender risk for reoffending and problem severity. Treatment
options range from community-based low-intensity interventions (if required) for people
assessed as having a low-intensity problem to intensive prison-based programs for those
with substantial and severe substance use histories. Research on these programs has
demonstrated their effectiveness, particularly in reducing recidivism (Grant et al., 2003;
Kunic & Varis, 2010).
According to this model, originally articulated by Andrews and Bonta (2010), three con-
ditions must be met for effective intervention with offenders:
1. The risk principle: Treatment is prioritized so that it is delivered to the highest-risk
offenders first. These offenders are the most appropriate targets for intensive ser-
vices because they typically represent a higher risk to reoffend and also have more
room for change compared to people who pose a lower risk (Smith et al., 2009).
2. The need principle: Dynamic or changeable risk factors should be the targets of
change in order to reduce recidivism. Alcohol and other drug abuse are clearly iden-
tified in correctional research literature as one of the predominant need areas for
offenders (Andrews & Bonta, 2010).
3. The responsivity principle: General responsivity supports the notion that the most
effective interventions for offenders are those based on cognitive, behavioural and
social learning theories (Gendreau, 1996). Specific responsivity, on the other hand,
refers to the need for treatment providers to match offenders to interventions accord-
ing to key offender characteristics, including factors such as motivation and cognitive
functioning (Gendreau, 1996), as well as gender and ethnicity (Hubbard, 2007).
Literature reviews since the early 1990s have provided clear empirical support for
the efficacy of programs, including those that target substance use problems, based
on the risk-need-responsivity model in reducing recidivism among offenders (Smith
et al., 2009).
Chapter 19 Treating Addictions in Correctional Settings 467
While research clearly shows that appropriate treatment interventions with offenders
who have substance use problems can have a significant impact on outcomes, stud-
ies have also indicated that people who complete a program and remain engaged in
aftercare following the intensive phase of an intervention reap the best results. In a meta-
analysis of cognitive-behavioural treatment outcome studies, McMurran and Theodosi
(2007) found that non-completers of both institutional and community programs were
more likely to be reconvicted than offenders in untreated comparison groups, with this
effect being more marked for offenders in the community. The authors note that the
findings on recidivism rates indicate that it is critical to address recruitment and reten-
tion in treatment.
Motivational interviewing, originally developed by Miller and Rollnick (2002),
is one important technique for motivating people with substance use problems to
commit to engaging in the treatment process. The key element of the approach is
to elicit “change talk” by using specific techniques, such as expressing empathy and
working on ambivalence, to strengthen the commitment to change (Miller, 2011).
Motivational enhancement techniques, such as allowing clients to establish their
own treatment goals and complete exercises (e.g., a “decisional balance,” which
helps clients evaluate the pros and cons of their substance use), can be incorporated
into group treatments.
Research demonstrates the effectiveness of motivational interviewing as both a
stand-alone intervention and a prelude to more intensive interventions (Burke et al.,
2003; Vasilaki et al., 2006). The approach should therefore be viewed as an important
element of any comprehensive and inclusive approach to addressing engagement and
retention in substance use treatment.
Opioid substitution therapy is one of the most widely used and effective interventions
for addiction to heroin and other opiates. Research indicates that it has multiple benefits
for people with an opiate addiction, including:
• reduction in use of illicitly obtained opioids
• reduction in use of other substances
• reduction in injection drug use behaviour
• less time involved in criminal activities
• less time incarcerated
• much lower death rates compared to people not receiving treatment
• lower risk of acquiring HIV/AIDS, hepatitis C or other blood-borne pathogens
• improvement in physical and mental health
• increased likelihood of gaining full-time employment
• improved overall quality of life (Health Canada, 2002, pp. 17–18).
7. Treatment Maintenance
In many addiction treatment settings, the focus of program resources is often on the
“intensive” phase of a program, which typically consists of frequent sessions over a
specified period in either an inpatient or outpatient treatment setting. However, research
has demonstrated the critical role of ongoing, longer-term engagement (often referred
to as maintenance or continuing care) beyond the intensive phase of treatment. In fact,
several studies have shown that the duration of care is more important than the amount
of care (Crits-Christoph & Siqueland, 1996; Moos et al., 2000). Moos (2003) states that
this finding “is consistent with the fact that the enduring aspects of individuals’ life
contexts are associated with the recurrent course of remission and relapse” (p. 4). The
importance of treatment maintenance in the context of continuity of care is discussed
in the next section.
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Chapter 19 Treating Addictions in Correctional Settings 469
Continuity of Care
To be most effective, substance use interventions should continue to be provided once
the person has left prison. Continuity of care refers to the continued provision of thera-
peutic activities to support positive behaviours learned during treatment, rather than
procedures that promote new treatment goals (Harmon et al., 1982). In this way, les-
sons learned in prison are reinforced for offenders released into the community. Such
programs allow offenders to continue to develop and maintain the skills they learned in
institutional programs and apply them to situations in the community.
Offenders released from prison have a better chance to remain prison free if they
have participated in aftercare programs in the community, particularly given that 66
per cent of all relapses occur within the first 90 days after treatment (Marlatt & Gordon,
1985). If we accept that slips and relapses naturally follow substance use treatment, then
service providers must commit to providing support to offenders once they have com-
pleted their initial treatment, and help prevent recidivism.
According to Turnbull and McSweeney (2000), 19 countries worldwide have poli-
cies on aftercare pre- and post-release, with the length of time for services varying from
12 weeks to two years. The primary objectives of these aftercare policies are to provide
information, continue treatment, enhance social reintegration, prevent drug use and con-
nect prisoners with community-based drug services. Spain, the Czech Republic, Latvia,
Malta, Portugal and Sweden have policies recommending at least six months of aftercare,
while 21 countries report providing pre-release assistance within six months of release.
470 Fundamentals of Addiction: A Practical Guide for Counsellors
Multiple challenges exist in providing continuity of care from prison to the community.
Programming is more difficult to implement in less-populated urban and rural areas; fewer
offenders live in these areas, and staff and program resources are scarce. Employment (for
men and women) and child care responsibilities (primarily among women) often super-
sede program attendance. Reliable and affordable sources of transportation may also be
a challenge. Retention in treatment programs requires co-ordination and integration of
services for newly released offenders. With the overall goal of reducing crime and sub-
stance use among offenders, factors such as the nature of relationships between service
providers and correctional agencies, current capacity among service providers (including
community corrections) to engage and retain men and women, and the degree to which
linkages between services are facilitated all need to be considered.
Health services staff are concerned for Peter because his depression, while
under control through medication, persists. Before Peter left prison, staff
referred him to a community mental health program, where he will be able
to access a psychiatrist to monitor his condition and his medication.
✦
Chapter 19 Treating Addictions in Correctional Settings 471
Richard has completed his sentence and has returned to his community
in northern Alberta. There are no traditional treatment programs there, so
before Richard’s release, prison staff worked with Aboriginal Elders in the
facility to identify a community-based Elder who will work with Richard to
continue his relapse prevention plan upon his return home.
Reneé is apprehensive about her imminent departure from prison. She has
worked with health services and programs staff to develop a relapse preven-
tion plan. Renée is concerned that she will slip back into opiate use once she
returns to her old haunts. Treatment has helped her recognize that pressure
from her former drug-using friends and old sights and sounds may trigger an
incredible urge to use. However, Renée has learned a range of skills to cope
with these situations when they arise. She admits that she often used drugs
in the past to avoid “sad feelings” that relate to her history of childhood sex-
ual abuse. She is hoping that treatment and support in the community will
help her maintain the progress she has made in prison.
Women offenders experience social and emotional problems, including unstable hous-
ing; mental and physical health problems that stem in part from childhood and adult
physical and sexual abuse; poly- and injection drug use; poor employment prospects;
low education; poverty and unhealthy living conditions (Bloom et al., 2002; Dowden &
Blanchette, 1999; Erickson et al., 2000; Langan & Pelissier, 2001; Sanders et al., 1997).
Women in prison are up to 10 times more likely to have a drug addiction than women
in the general population (Fazel et al., 2006; Henderson, 1998). Eight out of 10 women
offenders have a substance use problem (Grant & Gileno, 2008). Up to 60 per cent of
women entering the prison system report non-injection drug use, and 29 per cent report
injection drug use (Zakaria et al., 2010).
Offenders who are mothers are often estranged from their children or risk
losing access to their children because of their continued substance use problems,
posing an additional layer of complexity to their drug treatment. Women offenders
traditionally make up only seven per cent of the prison population, with the result
that women-specific program models have only recently been introduced to the prison
environment: gender-responsive programs were introduced in the United States in the
late 1980s and in Canada in 1995. For these reasons, evidenced-based practice around
472 Fundamentals of Addiction: A Practical Guide for Counsellors
drug treatments for women offenders is not well established; however, some principles
do exist. Summarizing the theoretical literature, Bloom and colleagues (2002) suggest
considering the following six principles when developing and delivering gender-specific
correctional programming to women and girls:
1. Gender: Acknowledge that gender makes a difference.
2. Environment: Create an environment based on safety, respect and dignity.
3. Relationships: Develop policies, practices and programs that are relational and pro-
mote healthy connections to children, family, significant others and the community.
4. Services and supervision: Address substance use, trauma and mental health issues
through comprehensive, integrated and culturally relevant services and appropriate
community supervision.
5. Socio-economic status: Provide women with opportunities to improve their socio-
economic conditions.
6. Community: Establish a system of community supervision and re-entry with com-
prehensive, collaborative services.
Aboriginal Offenders
The comorbidity of substance use and mental health issues, particularly among people
with the most severe psychiatric disorders, such as schizophrenia, is of increasing con-
cern to correctional jurisdictions (DiClemente et al., 2008). Although data from several
countries, including Canada, the United States and the United Kingdom, suggest that
rates of mental health problems among offenders have been increasing over the last
decade, estimates of current substance use problems among offenders with mental
health problems are difficult to attain due to inconsistencies in screening and assess-
ment processes, the inaccuracy of records and variations in diagnostic criteria (Weldon
& Ritchie, 2010).
However, studies do indicate that many people in forensic settings have concur-
rent substance use and mental health disorders. Wheatley (1998) found that 62 per cent
of patients in a secure unit who were diagnosed with schizophrenia had a concurrent
substance abuse disorder. Fifty-one per cent had a forensic history. And in a study that
examined four groups of offenders—with concurrent disorders, a substance use prob-
lem only, a mental health disorder only or no problem—the concurrent disorders group
had the highest risk and need ratings and more extensive criminal histories than the
other groups. Controlling for other factors associated with reoffending, the concurrent
disorders group was also nearly two times more likely to reoffend than the no problem
group (Wilton & Stewart, 2012).
Key to interventions for offenders is the integration of long-term ongoing mental
health and substance use treatment services. Psychosocial interventions that incorporate
cognitive-behavioural therapy and motivational interviewing principles in addition to
coping and social skills training also show promising results with this group (Weldon &
Ritchie, 2010).
Conclusion
People entering the criminal justice system typically present with multiple issues,
including substance use problems, which contribute to their involvement in crime. In
many cases, coming before the courts or under the jurisdiction of a correctional system
may provide these people with an opportunity to participate in treatment, sometimes for
the first time. A great deal of evidence demonstrates that substance use treatment that
aligns to certain principles is effective in reducing both substance use and reoffending.
Canadian correctional jurisdictions, most specifically the CSC, have been at the fore-
front of developing evidence-based substance use interventions for offenders, including
specific subgroups of offenders, such as Aboriginal people and women, who require
specialized treatment approaches.
474 Fundamentals of Addiction: A Practical Guide for Counsellors
Practice Tips
Resources
Publications
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Internet
Correctional Service of Canada—Aboriginal corrections
www.csc-scc.gc.ca/text/pblcsbjct-eng.shtml#aboriginal
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Chapter 20
PROBLEM GAMBLING
Joanne is a 45-year-old married woman with three teenaged children. She has
worked for a small printing company for 16 years. Her husband, Tim, is a
foreman in a manufacturing firm. Joanne’s company was taken over by new
owners five years ago, and since then most of the office staff has gradually
been laid off, without any reduction in workload. As a dedicated and con-
scientious employee, Joanne rose to the challenge, working long hours and
taking on many extra responsibilities. As the pressure has continued, Joanne
has become very stressed and increasingly resentful. Friends have suggested
she look for a new job, but for many reasons Joanne feels stuck where she is.
On top of work stress, Joanne is often at odds with Tim about two of their
children, who are having difficulties in school and acting out at home. As well,
Tim’s widowed mother is having health problems and needs frequent assist-
ance with errands, a job that mainly falls on Joanne due to Tim’s shift work.
The money for gambling has come from the family finances, which Joanne
manages. She has used up their savings, unbeknownst to Tim. A year ago,
caught short, Joanne took some cash from work, replacing it the next day.
* With special thanks to Martin Zack for reviewing this chapter and providing helpful material.
482 Fundamentals of Addiction: A Practical Guide for Counsellors
On the next occasion she was unable to replace it, and began to increase her
bets, looking for a win to pay back the money and have some left for more
gambling. The more she has tried to win, the more her losses have mounted,
and the more she has gambled in order to avoid thinking about the looming
consequences. In her position of trust at work she has been able to manipu-
late accounts to hide the theft of more than $20,000. On some level she
has distanced herself from and rationalized what she is doing. At first she
thought of herself as “borrowing” the money; then she told herself that her
employers in a sense owed it to her. But now auditors have discovered her
misappropriations, and Joanne is devastated at what she has perpetrated
and inflicted on her family, and the consequences she now faces.
ONLINE GAMING
Chen has created some powerful characters in the game and is part of an
online group that goes on “raids” together. Images of the game frequently
intrude on his thoughts when he is at school. Chen is reluctant to let his
online team down by absenting himself. Once engaged in the game, he loses
track of time and any real-life concerns.
In the therapist’s office, Chen appears somewhat anxious, with a low mood.
He says he felt depressed off and on through primary and middle school,
because he was often the target of bullying. Chen changed districts for high
school in order to escape this pattern, and his mood improved somewhat,
but he has continued to feel isolated and has few friends. His mood is now
very low, which he relates to his course failures.
PROBLEM SPENDING
Marta is a 27-year-old single woman who works in public relations. She pre-
sents for help with excessive spending problems after she is charged with
theft for failing to return a car she rented for a weekend trip. Marta delayed
returning the car because she had no cash or credit to pay the fees.
Marta had bulimia in her teens, and still thinks a lot about her weight and what
she eats. She is a perfectionist in terms of her appearance; any perceived fault
in her clothes, hair or makeup can lead her to leave a situation. Marta describes
her family as undemonstrative and distant. Both parents are high-level profes-
sionals, one in medicine, the other in finance. They do not approve of Marta’s
career. Marta has appeased them by saying she is just taking time to decide on
a “better” career, even though she enjoys her work and feels it suits her well.
Hassan is a 23-year-old single man who works as a sales clerk and lives alone
in a rented apartment. His parents were born in Pakistan, but he and his
two sisters were born in Canada. A year ago Hassan sought help for a gam-
bling problem, and was successful in achieving and maintaining abstinence.
Recently he has returned to therapy because of concerns about masturbation,
which he engages in five or six times a day, using online pornography. Hassan
also describes having frequent sex with a variety of women, saying he often
feels lonely and doesn’t want to stay home alone. As a religious Muslim, he is
self-condemnatory about his sexual behaviour, and about his use of porn in par-
ticular. He feels disgusted by it, which only feeds into his negative self-image.
has never been discussed in the family. His mother is still sometimes ver-
bally abusive to her grown children, in person or by phone. Hassan has
experienced flashbacks, hyperarousal and anxiety symptoms, and during his
treatment for problem gambling was diagnosed with posttraumatic stress
disorder (PTSD). He refused medications or treatment for the PTSD.
Relating or opening up to women is not easy for Hassan, and most of his
relationships are very brief. He admits that there have been occasions when
he engaged in risky sexual practices.
Psychoactive chemicals are perhaps the most direct means for affecting a
person’s consciousness and state of being. But any activity that can absorb
a person in such a way as to detract from the ability to carry through other
involvements is potentially addictive. It is addictive when the experience
Chapter 20 Addiction as Problematic Behaviour 485
These behavioural issues are described in the literature, using terms that vary accord-
ing to the paradigm the author uses to understand them. Some terminology is descriptive
rather than diagnostic: behaviour disorders, overused behaviours, excessive behaviours.
These reflect a cognitive-behavioural paradigm. Other terminology suggests a theoretical
association with substance addictions: process addictions, behavioural addictions.
486 Fundamentals of Addiction: A Practical Guide for Counsellors
As different as substance use issues and disorders such as problem gambling may appear
to be, might there be common ground on which a more fundamental understanding
of addiction can be developed? According to Grant and colleagues (2010), “Growing
evidence suggests that behavioural addictions resemble substance addictions in many
domains, including natural history, phenomenology, tolerance, comorbidity, overlapping
genetic contribution, neurobiological mechanisms, and response to treatment” (p. 233).
While we acknowledge that most of these ideas are contestable and not fully
proven, for the purposes of this chapter, we use the term “behavioural addictions” so we
can explore how this concept helps us understand and address excessive behaviours of
Chapter 20 Addiction as Problematic Behaviour 487
all kinds. (Note, however, that the use of this concept on a theoretical level does not mean
the terminology is required for work with clients. For clinical purposes, it is often better
to avoid labels, an issue that we discuss in the section on clinical applications.)
Joanne is suffering from chronic stress and overwork, which she feels help-
less to resolve. She is angry at her employers, but continues to perform
heroically at work with little complaint. She is also overloaded at home.
Long hours and time pressures mean the ordinary rewards of life are rarely
available to her. Aspects of personality or family history may prevent Joanne
from addressing these issues or expressing her anger in healthy ways. For
example, she may be overly conscientious and self-denying based on a
dysfunctional family of origin, or perhaps based simply on a strong cultural
message about the role of women as caregivers.
488 Fundamentals of Addiction: A Practical Guide for Counsellors
to become the focus of conflict, concern and attention in their family system. Another
similarity is the damage to relationships and family functioning. For example, excessive
gambling and excessive sexual behaviour both lead to a loss of trust, and the effects on
family relationships are potentially even more severe and lasting than in the case of
substance use problems.
Parallels also exist at the broader systemic level. For example, lack of support, as
well as pressures to succeed, which might leave an immigrant vulnerable to substance
use problems, can also make that person vulnerable to problem gambling. Poverty may
similarly increase vulnerability. The Internet is now at least as ubiquitous in our society
as alcohol, and peer pressure to engage in social networking is particularly intense for
young people. Just as with alcohol, some cultures normalize gambling, while others
frown on it.
The existence of so many parallels and shared features between substance and
behavioural addictions suggests that these addictions should not be conceptualized as
distinct categories. Rather, within each category, the biopsychosocial dynamics both vary
and are often similar. Clinicians need to understand not only overarching features and
features specific to certain problem behaviours, but also how these manifest and become
meaningful for individual clients.
The next section discusses some characteristics more specific to behavioural
addictions.
Behavioural addictions differ from substance addictions in a few ways that are more or
less unique to the specific behavioural problems. For example, gambling addiction often
involves mistaken beliefs about odds, luck and the value of persistence and of betting
“systems.” An early big win is a frequent precursor to excessive gambling. Financial
problems are generally far more severe than they are for substance use problems. Both
gambling and gaming include a fantasy aspect, as well as powerful game elements that
are exploited intensively by marketers in the interest of increasing revenue, with very
little attention to the impact on consumers’ health or safety, whereas the marketing of
alcohol and tobacco have been strictly regulated for some time. Excessive shopping is
also engendered and continuously triggered by the marketing and consumerism that are
so ubiquitous in our society.
Internet use has also become ubiquitous. The amount of time people spend
online has increased rapidly with the advent of new technologies. What used to be seen
as excessive is now normative behaviour, particularly since the Internet has become so
integrated with our day-to-day lives. Internet use is integral to many other behavioural
addictions, including online gaming, online gambling, social networking, porn surf-
ing and online sexual behaviour. Rapid advances in hardware (e.g., smartphones) and
software applications are making engagement in such behaviours easier and easier. For
those engaged in excessive use, Internet use is increasingly difficult to avoid.
490 Fundamentals of Addiction: A Practical Guide for Counsellors
Parallels in Neurobiology
The most obvious distinction between behavioural and substance addictions is, of
course, the method by which the brain is affected. As we know, psychoactive drugs
are exogenous substances that overwhelm the brain’s internal neurological processes.
However, behavioural addictions have the uncanny power to evoke and condition the
brain’s processes to produce addiction without the necessity of an exogenous substance.
In attempting to understand the nature of addiction, such addictive behavioural pro-
cesses could be seen as more eloquent and pure, and thus more instructive, than those
processes that require powerful chemicals to have an impact.
One obvious difference between chemical and behavioural addictions is that
chronic use of substances has marked physical impacts, both immediate and long term.
Behavioural addictions carry some physical risks, particularly when taken to extremes
(e.g., lack of exercise, sleep loss and poor nutrition for those who gamble or game exces-
sively; risk of sexually transmitted infections or violence for those who have multiple
sexual encounters), but these behaviours rarely act as destructively on the body and brain
as substances often do. People with behavioural addictions thus tend to be physically
healthier and higher functioning, and may be more likely to be employed. Unfortunately,
this can also mean that the problem is easier to conceal, or may continue longer without
reaching a crisis point that brings the person into treatment.
Research has identified a variety of complex relationships between substance
addiction and genetic and neurological factors (see Chapter 6). Genetic, biochemical and
structural variations in the brain have an impact on several factors related to addiction,
including reward and pleasure seeking, decision making, impulsivity, stress coping and
vulnerability to cravings.
There has also been research on the neurobiology of non-chemical addictive
behaviours. Chakraborty and colleagues (2010) discuss the neural pathways involved
in behavioural addictions. Schmitz (2005) attributes behavioural addictions to dysfunc-
tional neurocircuits that link craving and withdrawal behaviours to pleasure centres.
Another “reward-deficiency hypothesis” links chemical and non-chemical addictions
by proposing that some people derive less satisfaction from natural rewards (e.g., food,
sex) as a result of genetically based malfunctions in the transmission of dopamine. To
achieve reward-pathway stimulation, they turn to more powerful substances or activities
(Blum et al., 1996; Comings & Blum, 2000; Esch & Stefano, 2004; Vetulani, 2001).
There is some evidence from neuroimaging studies that behavioural addictions and
substance use disorders share the same neural circuitry (Brewer & Potenza, 2008).
The brain’s mesocorticolimbic tract (a combination of dopamine pathways in
the brain involved in motivational and emotional responses) has been identified as an
important pathway for moderating pleasure responses. The release of dopamine in the
brain has been shown to affect the reinforcing properties of substances such as alcohol
and cocaine; similar processes appear to occur with gambling, computer gaming and
other risk-taking and highly repetitive behaviours (Becker, 1999; Blum et al., 1996;
Chapter 20 Addiction as Problematic Behaviour 491
Comings & Blum, 2000; Esch & Stefano, 2004; Schmitz, 2005; Vetulani, 2001; Zack &
Poulos, 2009).
Pharmacological interventions that have been shown to reduce urges for sub-
stances (e.g., naltrexone, and medications that alter glutamatergic activity in the brain)
have also had some success in trials with behavioural addictions, including gambling,
Internet, sexual and shopping addictions (Grant et al., 2010). This suggests the existence
of shared neurobiological mechanisms for substance and behavioural addictions.
What are these shared mechanisms? The key point is that repeated exposure to
an “addictive” reinforcer changes the brain to shift priorities in motivation that will bias
future behaviour toward the addictive reinforcer (Olsen, 2011). Whereas drugs of abuse
accomplish this neural restructuring by inducing supra-physiological levels of dopamine
release, the stimuli that mediate behavioural addictions may accomplish this by the
frequency rather than the magnitude of dopamine release they are capable of causing.
Non-drug reinforcers lose their ability to elicit dopamine release as they become more
familiar. However, certain non-drug reinforcers, such as gambling and gaming, offer
the opportunity for indefinite dopamine release because the delivery of rewards is never
entirely predictable (Fiorillo et al., 2003).
Delivery of unpredicted rewards is a natural event that instigates dopamine release
(Schultz, 1998). Gambling or gaming enables ongoing, virtually unlimited opportunities
for dopamine release by the delivery of rewards that, although hoped for, are never fully
predicted. Sex and shopping can become addictive in the age of the Internet and multiple
sources of credit because of unlimited access to novelty. In males, the ability to activate
dopamine is reinstated by a new sexual partner even during the sexual refractory period
(the so-called “Coolidge effect;” see Beach & Jordan, 1956). With the Internet, one can
have “encounters” (sexual gratification) with multiple partners in the space of minutes.
With each new partner, dopamine fires again, reinforcing the behaviour that would
otherwise satiate or extinguish over time. Similarly, Internet shopping and malls permit
virtually limitless opportunities to encounter novel ways to adorn oneself or to feather
one’s nest. Thus, speed and ease of access permit ongoing, frequent exposure to novel
rewards, each of which is capable of causing dopamine release, not by directly engaging
dopamine neurons (like drugs), but by engaging the natural process designed to acti-
vate dopamine, that is, novel reward delivery. Behavioural addictions are fundamentally
similar to substance addictions at the neurophysiological level because these activities
permit ongoing, indefinite activation of dopamine via novelty. This reconfigures the
brain in ways that bias the person to return to the activity again and again—just like
drugs of abuse.
Addictive behaviour and neurobiology are strongly interactive, in that brain structures,
chemistry and neural pathways influence not only behaviour, but also change in response
to experience. So it is in some cases difficult to say whether differences in brain structure
and functioning are a cause or a result of addictive behaviour. This dynamic interactivity is
one aspect of the complexity of this addiction model, which integrates the neurological level
with the psychological and social systems in which each person is embedded.
492 Fundamentals of Addiction: A Practical Guide for Counsellors
table 20-1
Prevalence of Addictive Behaviours by Population*
PROBLEM
BEHAVIOUR PREVALENCE RANGE POPULATION
*Due to limited uniformity of the sampling and assessment methods used, widely varying prevalence rates have been reported
worldwide. As such, until more vigorous prevalence studies are conducted, these data should be interpreted with caution.
**All U.S. adult statistics are estimates of prevalence in the general U.S. adult population in a 12-month period.
1. Paglia-Boak, A., Adlaf, E.M., Hamilton, H.A., Beitchman, J.H., Wolfe, D. & Mann, R.E. (2012). The Mental Health and Well-
Being of Ontario Students, 1991–2011: OSDUHS Highlights. Toronto: Centre for Addiction and Mental Health.
2. Williams, R.J., Volberg, R.A. & Stevens, R.M.G. (2012). The Population Prevalence of Problem Gambling: Methodological
Influences, Standardized Rates, Jurisdictional Differences, and Worldwide Trends. Report prepared for the Ontario Problem Gambling
Research Centre and the Ontario Ministry of Health and Long-Term Care.
3. Wiebe, J., Mun, P. & Kauffman, N. (2006). Gambling and Problem Gambling in Ontario 2005. Toronto: Responsible Gambling
Council.
4. Hodgins, D., Stea, J.N. & Grant, J.E. (2011). Gambling disorders. The Lancet, 378, 1874–1884.
5. Shaw, M. & Black, D.W. (2008). Internet addiction: Definition, assessment, epidemiology and clinical management. CNS
Drugs, 22, 353–365.
6. Sussman, S., Lisha, N. & Griffiths, M. (2011). Prevalence of the addictions: A problem of the majority or the minority?
Evaluation & the Health Professions, 34 (1), 3–56.
7. Aboujaoude, E., Koran, L.M., Gamel, N. & Serne, R.T. (2006). Potential markers for problematic Internet use: A telephone
survey of 2,513 adults. CNS Spectrum, 11, 750–755.
8. Grant, J.E., Potenza, M.N., Krishnan-Sarin, S., Cavallo, D.A. & Desai, R.A. (2011). Shopping problems among high school
students. Comprehensive Psychiatry, 52, 247–252.
Chapter 20 Addiction as Problematic Behaviour 493
Garcia and Thibaut (2010) identify mood and anxiety disorders and substance use
disorders as most commonly co-occurring with sexual addictions. Kaplan and Krueger
(2010) found correlations between personality disorders and paraphilias (abnormal
sexual fantasies, urges or behaviours). Kuzma and Black (2006) found that shopping
addiction tends to co-occur with mood, substance use and eating disorders.
Evidence suggests that both genetic and environmental factors induce brain alter-
ations that increase susceptibility to behavioural addictions. For example, impulsivity is
a risk factor, as is the disturbance of early attachments (Vazquez et al., 2005).
Addictive behaviours frequently act as coping strategies for underlying mental
health and stress-related problems. Clinical experience suggests, for example, that exces-
sive Internet use may be a strategy related to many disorders. For example:
• Asperger’s syndrome (previously a separate diagnosis, but now subsumed under autism
spectrum disorders in DSM-5 [APA, 2013]) may create a drive to learn everything about a
topic by constantly researching it online.
• People with social anxiety may feel more able to socialize in chat rooms and role-play
gaming worlds than in real life.
• People may use the Internet to enhance their mood when depressed.
494 Fundamentals of Addiction: A Practical Guide for Counsellors
• People with OCD may use the Internet to deal with contamination fears by limiting
real-world involvement.
• Sexual addiction may involve long hours seeking and downloading pornography.
• Self-harm behaviours can be supported in online chat rooms where people share
thoughts and techniques on suicide and other self-harm behaviours, such as cutting,
burning and disordered eating.
• Internet use may enable online extramarital affairs and thus exacerbate relationship
issues.
In other words, Internet overuse and other excessive behaviours can serve many
purposes, and have complex relationships with other concurrent issues. Patterns of con-
currence may be seen more or less frequently, but there are no simple causes to point to
for any specific problem behaviour.
Practice Implications
The behavioural addiction health continuum is a very useful model at a theoretical level.
However, an addiction label (e.g., “sex addiction” or “gambling addiction”) is often nei-
ther useful nor necessary when providing treatment. Such labels may not only lead the
client to reject the services; labels may limit how the clinician identifies the nature of
the problem during screening and assessment. On the other hand, clients may already
self-identify as being addicts, and may belong to one of the many recovery fellowships
that apply the 12 steps or other mutual aid models to what they self-describe as eating,
sex, shopping, gambling or other behavioural addictions. Being client-centred in this
new terrain can actually have a grounding value, given the lack of an evidence base to
firmly guide practice.
Since any excessive behaviour can serve many purposes, at the clinical level, the
therapist must explore the meanings and functions of the behaviour for each client, and
understand how these relate to other issues and disorders. For clients with complex
issues, this exploration may take some time and patience. The importance of engage-
ment and relationship building cannot be overstated, particularly if, as noted above, early
attachment experiences are disturbed, in which case the person will be physiologically
more susceptible to forming a “relationship” with a potent (i.e., dopamine-activating)
reinforcing behaviour. Treatment is likely to include interventions that help such clients
find rewards through interpersonal interaction.
Although each client’s motivations are unique, most clients can benefit from
group therapy that addresses common issues. Programming is most helpful when it is
specific to particular behavioural addictions, as each problem behaviour has some more
or less unique precursors, issues and triggers, and clients in such groups are more able
to identify with and support one another. Training is recommended for clinicians on the
particular characteristics of various behavioural addictions.
Chapter 20 Addiction as Problematic Behaviour 495
Screening
As mentioned, behavioural addictions typically have fewer physical symptoms than does
addiction to substances, and they often go unidentified. Clients may or may not admit
to excessive behaviours during assessments for other problems. Exploring the time they
spend on leisure activities can lead to discoveries about gambling, Internet and gaming
behaviour. Financial issues may reveal gambling and shopping addictions. Sexual addic-
tions may come to light through discussions about relationships and sexual behaviour.
Available screening tools for behavioural addictions are listed in the appendix.
Apart from these tools, any validated addiction screen (with some wording changes) may
provide useful information. These tools include questions about frequency and impacts
of the behaviour, as well as whether others have expressed concern about it. The answers
may be explored to reveal the salience the behaviour has in the person’s life, as well
as the impact it has on functioning. Screening for co-occurring addiction and mental
health issues is also recommended. Screening and subsequent discussion can offer valu-
able information about motivations for behaviour, as well as creating an effective and
informed treatment plan. For example, in this chapter’s opening vignette about online
gaming, Chen screened positive for both anxiety and depression, and these became early
focuses in the assessment phase.
Assessment
Ideally, the family would be involved in at least some portion of the assessment, in
order to look at the person’s issues in the context of the family system, and to facilitate
a systemic approach to treatment. A family approach is particularly crucial when work-
ing with youth, given their dependent relationship with parents. However, clients at any
age are generally embedded in family systems, which can be powerfully affected by the
behavioural addiction, and which can also be instrumental in the process of change.
Information culled from the assessment, as well as the results of a reliable and
valid screening tool, if available, are typically used to devise a client- and family-centred
treatment plan.
496 Fundamentals of Addiction: A Practical Guide for Counsellors
When asked about the point at which his online behaviour began interfer-
ing with his day-to-day life, Chen identified the period eight months earlier
when he lost a summer job in his first week. Unwilling to search for other
employment, he spent the rest of the summer alone in his room playing
online games. Exploring the meaning of this job loss was important, as Chen
attached a lot of negative significance to the event, seeing it as confirmation
of his inadequacy and a sign that attempts to succeed were hopeless.
Treatment
As noted earlier, potentially problematic behaviours exist on a continuum of severity,
from healthy to severely disordered. For this reason, appropriate interventions also range
in intensity, and may include anything from bibliotherapy to brief interventions to more
involved treatments that address co-occurring disorders. Clients with a behavioural
addiction who are otherwise functioning well usually have the resources and support to
make effective use of briefer interventions. Those with multiple issues underlying their
behavioural problem will need longer-term and more comprehensive treatment. Cases
where the problem behaviour is entangled with complex issues (e.g., a gambling client
with severe financial losses leading to family breakdown, loss of job and housing, extreme
stress, emotional crisis) require a good deal of support during the process of recovery.
Assessment and treatment are not entirely distinct processes, as assessment in itself
can create change, and will also continue throughout the course of therapy. Motivational
interviewing is recommended as a framework for both assessment and treatment.
Behavioural addictions and co-occurring issues are often deeply entrenched, and—as with
substance addictions—change is not easy. Motivational interviewing can greatly enhance
the client’s commitment to the process (see Chapter 5 on motivational interviewing).
Treatment should address the behaviour problem and co-occurring issues as
simultaneously as possible. Some issues may take precedence over others, depending on
their severity or immediacy. But whatever the concurrent issues, it is important to keep
a focus on addressing the behaviour itself. Problem behaviours may be used chiefly as
coping mechanisms, but their effects can be serious in themselves, particularly when the
consequences are part of a negative spiral. Even when the original antecedent has been
dealt with, the outcomes can live with a person for years.
Cognitive-behavioural therapy (CBT) is a well-supported modality for addressing
addictive behaviours. CBT can be used to explore and address triggers to the behaviour,
such as detrimental cognitions and related affect (e.g., “No one likes me except in the
game”). Because cognitive distortions often shape how the person is involved in the
addictive behaviour, CBT works to expose and contest these distortions so the person
can develop a more balanced perception and awareness. The therapist helps the client to
explore positive as well as negative aspects of the behaviour in order to develop alterna-
tive ways of getting needs met, and to build more effective coping and problem-solving
skills. CBT also helps with longer-term relapse prevention, anticipating future triggers
and building healthy coping skills in advance. Developing alternative activities will help
to deter relapse by establishing a new default to compete with the addictive behaviour.
Techniques from dialectical behaviour therapy (DBT) may be used to help a client
recognize and regulate emotions. The treatment plan can include psychotherapy, trauma
counselling, mindfulness or other modalities, depending on the issues involved.
Clinical trials of medications for behavioural addictions have shown some prom-
ise (Grant et al., 2010). Naltrexone, which is currently used to reduce urges in alcohol
and opioid addictions, has had some efficacy for gambling, Internet, sexual and shopping
498 Fundamentals of Addiction: A Practical Guide for Counsellors
addictions. Medications such as topiramate that alter glutamatergic activity in the brain
have been effective in reducing urges in both behavioural and substance use problems
(Grant et al., 2010). However, these medications are likely only to be useful for certain
subsets of individuals. For example, recent evidence suggests that naltrexone works
best in people with a family history of substance abuse problems (Grant et al., 2008).
Interventions aimed at reducing urges are likely to be most helpful for people whose
urges are powerful and who have problems controlling their impulses. Such medications
will not be effective with people who engage in their problem behaviours to ameliorate
depression, anxiety or social isolation. Some medications may be best in particular
phases and stages of care, such as early on when urges are high and cravings for the
behaviour are highest, and when client resilience and social support are most compro-
mised. Note that many medications have side-effects and potential hazards, so caution
is necessary.
The best case for using medication to address excessive behaviours is when there
is a clearly indicated co-occurring mental health problem, such as anxiety, depression or
attention-deficit/hyperactivity disorder (ADHD). In general, improvements in the addic-
tive behaviour can be expected once untreated mental health problems are addressed
through therapy and/or medication if indicated. Relief from depression, for example,
will give a client more energy to try alternatives to the problematic behaviours. Clients
with ADHD will find it easier both to resist impulses and to engage successfully in more
everyday activities.
Treatment may occur in various contexts, including individually, or within a group,
couple or family. Depending on the issues and behaviours, group support can be normal-
izing, and an effective way to develop coping skills. For example, in our clinic for youth
with behavioural addictions, we treat many young people with gaming addiction who also
have Asperger’s syndrome and/or mood disorders, as well as difficulties engaging socially.
Teaching social skills to these clients in a group setting can be particularly helpful.
Best practice in treatment includes involving family or significant others. Focusing only
on the identified client means that many key perspectives may be overlooked. Certainly a
chance is missed to help the whole family unit, which can be both profoundly affected by
the problem and instrumental in its resolution. In problem gambling cases, for example,
relationship counselling is often crucial to the entire family’s recovery, given the impact
on trust caused by concealing the gambling, lying and misusing family funds.
Issues in the family also frequently predate the behaviour that brings a person
into treatment. On a systemic level, the family dynamics may in fact support the prob-
lem behaviour. For example, parents who are invested in avoiding an empty nest may
not address their child’s gambling or video gaming problems if it is keeping the young
adult at home and dependent on the parents. In such a case, working with the person in
isolation will be less effective and involving the family is strongly recommended. It is not
Chapter 20 Addiction as Problematic Behaviour 499
unusual at a collateral session to uncover mental health issues that have affected several
generations, such as the anxiety that ran through Chen’s family.
Significant others may need help to align with and support the goals of the therapy,
particularly when they are wary of interventions that seem to threaten entrenched dynam-
ics. Some clients will not want their families involved. It is important to explore this and to
encourage leaving the door open for a later time. When issues emerge that point to relation-
ship problems, clients will sometimes be more open to including their family in treatment.
Some fears can be addressed by assigning significant others to a different therapist, with
full respect for confidentiality. This is recommended in any case when conflict levels are
high. Issues for families where a member engages in problem gambling can be so intense
that the other family members will often benefit from receiving their own support.
In rare cases, trauma histories or toxic environments will mean that helping a
client distance from significant others is more therapeutic than inviting them into treat-
ment. However, most families do care about their loved ones, and want to help.
Families need to have their own concerns and needs heard. The door should be
open to welcome them on their own, or in parallel to the client receiving care individu-
ally where it is not possible to take an integrated family-focused approach to treatment.
Families need information about the behavioural problem and any mental health issues,
so they can put what they see in context and respond to it appropriately. Just educating
family members or helping them adapt their style of helping can sometimes greatly
enhance the treatment outcome.
Healthy communication should be facilitated and promoted, so that family mem-
bers can express feelings, thoughts and needs effectively. Other interventions depend
to some extent on the nature of the presenting problem. In families where problem
gambling occurs, trust and respect are often serious issues, as they are in families where
there has been problematic sexual behaviour. Emotionally focused therapy is a good
model for longer-term work with couples in such cases, as it addresses the attachment
injuries inflicted by the problem behaviour. Video gaming problems in youth often relate
to parents’ difficulties with boundaries and setting limits, so effective parenting should
be a focus when treating these families. Developmental change can be supported by
contracting around specific action plans, such as the steps involved in preparing to send
a child away to university.
Special Populations
The problem gambling field has identified a number of groups that require spe-
cialized services and care. For example, First Nations communities have higher rates of
problem gambling than the general population. This vulnerability is related to the loss
of culture and language, and the disruption in parenting caused by the residential school
experience. Gambling and concepts around luck and fortune are integral to some Asian
cultures, leading to higher participation rates and thus more vulnerability to problem
gambling. Recent immigrants can be at risk due to dislocation, isolation, financial pres-
sures and threats to identity. Trauma victims may use repetitive gambling behaviour
(e.g., on slot machines) to dissociate from painful emotions. People with ADHD are at
higher risk of addiction due to impulsivity, and also because substances and activities
such as gambling and video gaming provide the stimulation that is at too low a level in
certain areas of the brain.
Older adults are statistically less likely than other adults to develop a problem
with gambling, but when they do, the impact is often more devastating, because older
adults have little opportunity to earn back money they have gambled away. Health issues,
limited recreational options, serious personal losses and isolation are all risk factors for
excessive gambling behaviour in older adults, as is the casino industry’s targeted market-
ing to this age group, which includes providing free transportation to gambling venues.
Any effective treatment intervention will need to address these specific factors.
Conclusion
This chapter has summarized what is known about a few disorders that are considered
behavioural addictions. For more detailed descriptions of specific disorders, see the
appendix.
We have examined problematic behaviours that share many characteristics with
chemical addiction, but which do not involve ingesting a substance. Applying the con-
cept of addiction to these behaviours allows us to use our previously acquired knowledge
to address a much wider range of disorders, most of which are currently poorly studied
and poorly resourced. This expansion also sheds a new light on addiction to alcohol and
other drugs. If the ingestion of substances is not necessary to develop an addiction, then
what is? The answers are multifaceted and complex, including a full range of biological,
psychological, social and systemic factors that influence people to engage in potentially
problematic behaviours at levels that are on a continuum from healthy to extremely
harmful.
The field of behavioural addictions is at a relatively early stage of development,
although the problem gambling literature has expanded rapidly in recent years, and
has paved the way for the exploration of Internet and gaming addictions. Prevalence
estimates make clear the serious need for treatment resources for these disorders, but
focused, evidence-based treatments are rare. Behavioural addictions can have very seri-
ous impacts on the person involved, as well as on his or her family and community. With
Chapter 20 Addiction as Problematic Behaviour 501
the explosion of online technologies, legal gambling opportunities and the pressure
from marketers to buy and consume, vulnerable people are at even more risk of devel-
oping behavioural addictions, without the requisite help available to reduce the harm.
Practice Tips
Resources
Publications
Dell’Osso, B., Altamura, C., Allen, A., Marazziti, D. & Hollander, E. (2006). Epidemiologic
and clinical updates on impulse control disorders: A critical review. European Archives
of Psychiatry and Clinical Neuroscience, 256, 464–475.
Grant, J.E. (2008). Impulse Control Disorders: A Clinician’s Guide to Understanding and
Treating Behavioral Addictions. New York: W.W. Norton.
Grant, J.E., Potenza, M.N., Weinstein, A. & Gorelick, D.A. (2010). Introduction to behav-
ioral addictions. American Journal of Drug and Alcohol Abuse, 36, 233–241.
502 Fundamentals of Addiction: A Practical Guide for Counsellors
Hollander, E. & Stein, D.J. (2006). Clinical Manual of Impulse Control Disorders.
Arlington, VA: American Psychiatric Publishing.
Sussman, S., Lisha, N. & Griffiths, M. (2011). Prevalence of the addictions: A problem of
the majority or the minority? Evaluation & the Health Professions, 34 (1): 3–56.
Internet
Problem gambling
Ontario Problem Gambling Research Centre
www.gamblingresearch.org
Problem Gambling Institute of Ontario
www.problemgambling.ca (search for “Introduction to process addictions”)
Responsible Gambling Council
www.responsiblegambling.org
Internet addiction
Centre for Online Addiction
www.netaddiction.com
TechAddiction: Internet & Video Game Addiction Treatment Centre
www.techaddiction.ca
Sex addiction
Sex Help
www.sexhelp.com
Society for the Advancement of Sexual Health
www.sash.net
Shopping addiction
Shopaholic No More
www.shopaholicnomore.com
Shopaholics Anonymous
www.shopaholicsanonymous.org
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Chapter 20 Addiction as Problematic Behaviour 505
Appendix
Behavioural Addictions
This section provides an overview of five common behavioural addictions: gambling,
Internet, sex, shopping and video gaming. Except for problem gambling, these disor-
ders have not been included in the DSM (APA, 2000, 2013). The newly released DSM-5
(APA, 2013) replaces pathological gambling, a unique phrase, with language that is more
consistent with DSM nomenclature, so that it is now referred to as “gambling disorder”
(with mild, moderate and severe levels). Other behavioural addictions are acknowledged
but not specified in the DSM-5, because the DSM-5 panel felt the evidence base was not
sufficient to justify their inclusion, unlike gambling and substance use disorders.
Due to limited uniformity of sampling and assessment methods, widely varying
prevalence rates for these behavioural addictions have been reported across different
cultures and countries. Thus, the rates cited in this section should not be used for mak-
ing final epidemiological statements. Furthermore, the screening tools we list are for
description purposes only. We would like readers to refer to the original references for
more information on the reliability and validity of these scales and whether they are used
for clinical or prevalence rating purposes.
Assessment of the various behavioural addictions is fairly consistent and involves
taking a detailed medical and psychological history, as well as using screening tools.
Since many of the screening tools for these addictions have not been rigorously tested,
we advise gathering a detailed client history in addition to using these tools, rather than
using only the tools. As well, for all of the listed behavioural addictions, it is important
to treat the co-occurring disorder simultaneously. Other symptoms can be a risk factor
for the addiction, as well as for an accompanying or interdependent condition. Although
treatment may vary, new technologies, such as brain single photon emission computed
tomography (SPECT), have the potential to add clinical information vital to client care.
SPECT can, for example, evaluate underlying brain systems pathology and assess the
impact of treatment using a post-treatment scan (Amen et al., 2012).
The next section begins with a brief look at common co-occurring disorders seen
among clients at a clinic for youth between age 18 and 25 who have behavioural addic-
tions, and what treatment typically entails in this program at the Centre for Addiction
and Mental Health (CAMH).
The Advanced Clinical and Educational Services clinic (ACES) at CAMH works with
youth between age 18 and 25 who have behavioural addictions. Some of these young
people have co-occurring disorders. The main co-occurring disorders are:
506 Fundamentals of Addiction: A Practical Guide for Counsellors
• social anxiety
• depression
• trauma-related conditions
• autistic spectrum disorders
• attention-deficit disorders
• learning disorders
• personality disorders
• substance use disorders
• psychosis (rare).
Problem Gambling
Definition
A pattern of gambling behaviour that may compromise, disrupt or damage family, per-
sonal or vocational pursuits. Problem gambling:
• interferes with work, school or other activities
• leads to emotional or physical health problems
• causes financial problems
• harms the family or other relationships (CAMH, 2008).
Common terms
• gambling addiction
• pathological gambling
• compulsive gambling
• gambling disorder.
Prevalence
• Among Ontario students in grades 7–12, 3 per cent have a gambling problem (about
29,000 students). Males are more likely than females to report a gambling problem
(about 4 per cent compared to 1 per cent) (Paglia-Boak et al., 2010).
Chapter 20 Addiction as Problematic Behaviour 507
• Among Ontario adults, 1.2–3.4 per cent are moderately to severely affected by problem
gambling (Wiebe et al., 2006; Williams et al., 2012).
• In Ontario, 2.1 per cent of older adults (60+) are moderately to severely affected by
problem gambling (Wiebe et al., 2004).
• 0.2 per cent to 5.3 per cent of adults worldwide are affected by problem gambling
(Hodgins et al., 2011).
• In the last 12 months of a survey, prevalence of gambling addiction was an estimated
2 per cent in the general U.S. adult population (Sussman et al., 2011).
Risk factors
• a big win early in the gambling history
• boredom susceptibility and poor impulse control (e.g., ADHD)
• a poor understanding of randomness
• a tendency to rely on escape as a way of coping with stress
• a stressful life with a lack of support and direction around the time gambling began
• a history of overspending
• a history of addiction or mental health problems, particularly depression or anxiety
• a trauma or abuse history
• a family history of addiction or mental health issues (CAMH, 2008; Turner et al.,
2006).
Vulnerable groups
• Youth have higher prevalence rates than adults, especially young males.
• Older adults have lower prevalence rates but are more vulnerable to losses.
• New immigrants may be vulnerable due to dislocation, isolation and financial stresses.
• Low-income people are vulnerable to developing a gambling problem.
• Aboriginal people may be at increased risk due to factors associated with isolation,
poverty, racism, oppression and the loss of culture and language (CAMH, 2008).
• chronic poor levels of functioning, bankruptcy, job loss, loss of housing, illegal behav-
iour, family breakups and child neglect
• a widening circle of stress and loss experienced by those whom the problem gambler
affects (CAMH, 2008).
Co-occurring disorders
• Among Ontario students in grades 7 to 12, co-occurring disorders include substance-
related problems, mental health problems (specifically suicidality) and delinquencies,
such as theft and selling drugs (Cook et al., 2010).
• It is estimated that 50 per cent, 30 per cent and 20 per cent of problem gamblers are
also addicted to smoking, alcohol and illicit drugs, in that order (Sussman et al., 2011).
• Common co-occurring disorders among CAMH clients in treatment for problem
gambling are major depressive disorder, PTSD, substance abuse/dependence, bipolar
disorder, anxiety disorders, personality disorders and ADHD.
Screening tools
• CAMH Gambling Screen (Turner & Horbay, 2000)
• Canadian Problem Gambling Index (Ferris & Wynne, 2001)
• Check Your Gambling (Cunningham et al., 2009)
• GA 20 Questions (Gamblers Anonymous, n.d.)
• South Oaks Gambling Screen—RA (SOGS-RA) (Lesieur & Blume, 1987)
• Canadian Adolescent Gambling Inventory (Tremblay et al., 2010).
Treatment
Treatment can entail individual, group, couple or family counselling. CBT and motiva-
tional interviewing are frequently used, as are financial counselling and online self-help/
support tools. Mutual aid associations, including Gamblers Anonymous, provide peer-
based social support that supplements formal treatment and provide a structured model
to recovery, especially for people who self-identify as being addicted to gambling. (See
Chapter 14 on mutual help groups.)
In review studies, various drugs, opioid antagonists, glutamatergic agents, anti-
depressants and mood stabilizers were found to be more effective than a placebo as
treatment for problem gambling. At this time, no drug has received regulatory approval
for problem gambling treatment worldwide (Hodgins et al., 2011).
Chapter 20 Addiction as Problematic Behaviour 509
Definition
• Problematic use of online technology that is time-consuming and causes distress or
impairs one’s functioning in important life domains (Shaw & Black, 2008).
Common terms
• compulsive computer use
• Internet dependency
• Internet addiction
• Internet addiction disorder
• pathological Internet use.
Prevalence
• Problem Internet use affects between 0.9 and 38 per cent of youth (Shaw & Black,
2008).
• One review article estimated that 2 per cent of U.S. adults are affected in a 12-month
period (Sussman et al., 2011). Another study estimated that 4 to 13 per cent of U.S.
adults are affected (Aboujaoude et al., 2006).
Co-occurring disorders
• An estimated 10 per cent have an addiction to one of the following: sex, love, shopping,
video gaming, gambling, exercise, smoking, drugs or work (Sussman et al., 2011).
• Other co-occurring disorders can include mood, anxiety, substance use, affective dis-
orders, other addictive disorders, impulse control disorders and personality disorders
(Kuss & Griffiths, 2012; Shaw & Black, 2008).
Screening tools
• Internet Addiction Test (Young, 1998)
• Griffith’s diagnostic criteria (Griffiths, 1998)
• Beard and Wolf’s diagnostic criteria (Beard & Wolf, 2001)
• Generalized Problematic Internet Use Scale (Caplan, 2002)
• Internet Consequences Scale (Clark et al., 2004)
• Morahan-Martin & Schumacher’s 13-item scale and the Internet Behavior and Attitude
Scale (Morahan-Martin & Schumacher, 2000).
Treatment
Although no medications are currently approved for treating behavioural addictions
such as this one (Grant et al., 2010), psychopharmacological treatments have proven
effective for treating Internet gaming addiction, which demonstrates the biochemical
components of this problem (Huang & Tau, 2010; Kuss & Griffiths, 2012).
CBT, self-help books and tapes, support groups, financial counselling, marriage or
couple counselling and family therapy may be helpful (Shaw & Black, 2008).
Definition
This definition focuses on non-paraphilic behaviours, as described in the fourth bullet:
• Sex addictions are categorized as either paraphilias or paraphilia-related disorders
(sometimes called non-paraphilic sexual addictions).
• Paraphilias, such as pedophilia, are classified in the DSM (APA, 2000, 2013) and
consist of socially deviant sexual cognitions, urges or behaviours that are typically
strong and continual and either involve non-consenting persons or lead to distress or
impairment in functioning (Allen & Hollander, 2006).
• Paraphilia-related disorder (non-paraphilic sexual addictions), such as phone sex
dependency, are typified by a loss of control over sexual fantasies, urges and behav-
iours, which are accompanied by negative consequences and/or personal distress
(Allen & Hollander, 2006).
Chapter 20 Addiction as Problematic Behaviour 511
• Non-paraphilic sexual addictions are behaviours that are viewed as normative but are
engaged in with a frequency or intensity that leads to distress or greatly interferes with
functioning (Allen & Hollander, 2006).
• There is lack of consensus as to whether problem sexual behaviours fall under com-
pulsive, impulsive or addictive disorders (Allen & Hollander, 2006; Kaplan & Krueger,
2010).
Common terms
• hypersexuality
• sexual compulsivity
• compulsive sexual behaviour
• impulsive-compulsive sexual behaviour.
Prevalence
• 10.3 per cent of 19-year-old Canadian college students have a sexual addiction, and
3 per cent of U.S. adults have a sexual addiction (Sussman et al., 2011).
• Among U.S. adults, an estimated 3 to 6 per cent have a sexual addiction, with males
more likely to be affected than females (Garcia & Thibaut, 2010; Kaplan & Krueger,
2010).
Co-occurring disorders
• Mood disorders, anxiety disorders and substance use disorders are the most common
(Garcia & Thibaut, 2010).
• Co-occurring disorders often include affective disorders, substance use disorders,
anxiety disorders, personality disorders and paraphilic disorders (Kaplan & Krueger,
2010).
• Comorbidities of Internet sex addiction include affective disorders, substance-related
addictions, behavioural addictions, PTSD and eating disorders (Griffiths, 2012).
Screening tools
• Sexual Addiction Screening Test (SAST) (Carnes, 1989)
• Gay and Bisexual Male Sexual Addiction Screening Test (G-SAST) (adapted by Carnes
from the SAST)
• Women’s Sexual Addiction Screening Test (W-SAST) (Carnes & O’Hara, 1994)
• Sexual Dependency Inventory Revised (SDI-R) (Delmonico et al., 1998)
• Compulsive Sexual Behaviour Inventory (CSBI) (Miner et al., 2007)
• Sexual Compulsivity Scale (SCS) (Kalichman & Rompa, 2001)
• Sexual Inhibition Scales (SIS) and Sexual Excitation Scale (SES) (Janssen et al., 2002).
• Of these, the CSBI, SCS and SES have the strongest empirical reliability and validity.
Treatment
Although no medications have been approved for treating behavioural addictions (Grant
et al., 2010), some have shown to be effective, such as selective serotonin uptake inhibi-
tors, anti-androgens (Garcia & Thibaut, 2010) and naltrexone (Kaplan & Krueger, 2010).
A multi-faceted treatment approach includes CBT (relapse prevention therapy and
behaviour therapy), psychotherapy, couples therapy and psychopharmacological medica-
tions. Twelve-step programs such as Sex and Love Addicts Anonymous and Sexaholics
Anonymous offer peer-based recovery fellowships that are valued particularly by people
who self-identify as having a sex addiction (Kaplan & Krueger, 2010).
Problem Shopping
Definition
• Characterized by excessive shopping preoccupation and buying behaviour that leads
to distress or impairment. It involves four typical phases: anticipation, preparation,
shopping and spending (Black, 2007).
Chapter 20 Addiction as Problematic Behaviour 513
Common terms
• compulsive shopping
• compulsive buying
• addictive buying
• uncontrolled buying
• excessive buying.
Prevalence
• 3.5 per cent of U.S. high-school students between age 14 and 18 (Grant et al., 2011)
• 6 per cent of U.S. adults (Sussman et al., 2011).
Co-occurring disorders
• Other co-occurring disorders include mood disorders (depression and bipolar disor-
der), OCD, eating disorders, substance use disorders, impulse control disorders and
personality disorders (Dell’Osso et al., 2008; Lejoyeux & Weinstein, 2010).
• About 20 per cent of people with a shopping addiction have a co-occurring sex or love
addiction, gambling addiction, Internet addiction, eating addiction, substance use
addiction, exercise addiction or work addiction (Sussman et al., 2011).
514 Fundamentals of Addiction: A Practical Guide for Counsellors
Screening tools
• Compulsive Buying Scale (Faber & O’Guinn, 1992)
• Yale-Brown Obsessive Compulsive Scale—Shopping version (Monahan et al., 1996)
• Canadian Compulsive Buying Measurement Scale (Valence et al., 1988)
• Edwards Compulsive Buying Scale (Edwards, 1993)
• Minnesota Impulsive Disorder Interview (Christenson et al., 1994)
• Ridgway’s Compulsive Buying Scale (Ridgway et al., 2008)
• Preliminary operational criteria for the diagnosis of compulsive buying (Murali et al.,
2012).
Treatment
There is no standard treatment for problem shopping, but self-help books, Debtors
Anonymous, marriage or couple counselling, CBT and financial counselling may be
helpful (Black, 2007). No medication has shown to be effective in controlled trials
(Lejoyeux & Weinstein, 2010) despite case studies identifying antidepressants as effec-
tive (Murali et al., 2012).
Definition
• Video game playing becomes dysfunctional when it harms the person’s social, occu-
pational, family, school and psychological well-being (Gentile et al., 2011).
Common terms
• video game addiction
• excessive video gaming
• dependent video gaming
• pathological video gaming
• video game dependency
• technological addictions.
Prevalence
• In 2009, 10.3 per cent of Ontario students (97,000) reported having a video gaming
problem: 16 per cent were male and 4 per cent were female) (Paglia-Boak et al., 2010).
• Among U.S. youth between age 8 and 18, 8 per cent exhibit pathological patterns of
play, with higher rates among males (Gentile, 2009).
• A recent review points to the variability of prevalence, which ranges from 0.3 percent
to 12 percent, due to, for example, using dissimilar assessment tools and ages (Kuss
& Griffiths, 2012).
Chapter 20 Addiction as Problematic Behaviour 515
Co-occurring disorders
In a review study, Internet gaming was found to be associated with symptoms of
generalized anxiety disorder, depression, social phobia, school phobia, ADHD and psy-
chosomatic symptoms (Kuss & Griffiths, 2012).
516 Fundamentals of Addiction: A Practical Guide for Counsellors
Treatment
Prevention strategies that parents can implement include:
• monitoring choice of games and play behaviour
• keeping computers in the family area to enable supervision
• maintaining time limits on use
• discouraging solitary game playing
• providing multiple alternative activities (Griffiths & Meredith, 2009).
Treatment may include online support forums, CBT and motivational inter-
viewing. Some clinical research results point to the efficacy of psychopharmacological
treatments (Griffiths & Meredith, 2009). Online Gamers Anonymous, based on a
12-step model, is available for people who want to participate in peer-based social support
with an addiction focus.
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SECTION 4
SPECIFIC POPULATIONS
Chapter 21
A 45-year-old single black woman who works as a nurse and who comes from
a family with alcohol problems drinks following her shifts to cope with stress
and isolation.
524 Fundamentals of Addiction: A Practical Guide for Counsellors
Attention to women’s substance use during pregnancy and in the childbearing years is
central to a gender-informed treatment response. While this is not a new issue, we have
growing evidence of the health impacts of substance use for mothers and children; gen-
dered barriers to treatment and support; effective outreach, engagement and treatment
strategies; and successful cross-system collaborative efforts.
Fetal alcohol spectrum disorder (FASD) is now recognized by health care and
addiction service providers as related to heavy alcohol use by women before and dur-
ing pregnancy (Chudley et al., 2004). Alcohol use in pregnancy is also linked to
violence, mental health problems, isolation, lack of prenatal care, poor nutrition and
Chapter 21 Working with Women 525
other determinants of girls’ and women’s health (Astley et al., 2000; Best Start, 2002).
Multi-layered programming, with strong outreach and engagement components that
respectfully reach women with substance use problems and these related health con-
cerns, has been identified as critical to preventing FASD and improving the health of
women facing these multiple burdens (Hume & Bradley, 2007; Poole, 2008; Watkins
& Chovanec, 2006). Such programming has benefits for both women’s and children’s
health. For example, Breaking the Cycle, a Toronto-based early identification, prevention
and treatment program for pregnant and parenting women who have substance use
problems, has demonstrated the importance of modelling supportive relationships to
help mothers increase their capacity for healthy and satisfying relationships, leading to
positive mother-child interactions (Motz et al., 2007).
Women and girls who use substances are often judged harshly in the media and
by families, communities and service providers, particularly when they are pregnant or
mothering (Greaves et al., 2002). This stigma and the fear of losing custody of their chil-
dren create significant barriers to accessing needed treatment (Poole & Isaac, 2001). Not
surprisingly, women report that the assistance of an accepting and empathic service pro-
vider who supports them in addressing shame and guilt and their mistrust of systems is
pivotal to their engagement and willingness to remain in treatment (Boyd & Marcellus,
2007; Network Action Team on FASD Prevention, 2010).
When mothers use substances, children are often seen as being automatically
at risk (Rutman et al., 2007). Fathers’ substance use may not be as closely observed or
judged, particularly when a mother is present. Cross-system collaboration, involving
substance use treatment providers and social workers, shows promise for improving
the health and parenting capacity of substance-using mothers, and providing integrated
support for mothers and children (Chaim & Practice Guidelines Working Group, 2005;
Drabble & Poole, 2011).
The most prominent gendered pathway to substance use by girls and women, identified
in the literature and from service provision contexts, is the experience of early childhood
abuse, sexual assault and intimate partner violence, all of which are more commonly
experienced by girls and women (Gutierres & Van Puymbroeck, 2006). Yet girls and
women who seek help for these interconnected issues are at risk of being turned away
from support and treatment, misdiagnosed, overprescribed anti-anxiety and antide-
pressant medication, and even retraumatized by their encounters with health care and
treatment providers who are insensitive to these links or dismiss their claims of abuse
(Currie, 2003; Poole & Pearce, 2005; Veysey & Clark, 2004).
Evidence-based models exist for the delivery of integrated support for women with
substance use, mental health and trauma/violence issues. For example, the Women,
Co-occurring Disorders and Violence Study (WCDVS) found that:
526 Fundamentals of Addiction: A Practical Guide for Counsellors
• women with trauma, substance use and mental health problems were able to reduce
these problems when integrated models that were “trauma informed” and financially
accessible were provided
• integrated counselling in a trauma-informed policy and service context was more
effective than services as usual
• collaborative approaches involving consumers, providers and system planners in all
aspects of the policy design, implementation and evaluation of services are founda-
tional to the effectiveness of this work (Moses et al., 2004; Veysey & Clark, 2004).
Research has found that mental health problems and substance use disorders often
co-occur (Myrick & Brady, 2003; Watkins et al., 2004). What is often not apparent to
or addressed by treatment providers is the fact that women are almost twice as likely as
men to be diagnosed with depression and anxiety, and have a greater risk of co-occurring
anxiety and substance use problems (Health Canada, 1996; Kang, 2007; Koehn & Hardy,
2007). Women are also more likely than men to be diagnosed with seasonal affective dis-
order, eating disorders, panic disorders and phobias, and to make more suicide attempts
(Harrop & Marlatt, 2010; McCarty et al., 2009; Morrow, 2007). All of these mental
health problems are shown to co-occur with substance use, create barriers to treatment
access and have implications for integrated treatment.
Particularly notable is the vulnerability of young women: service providers in
the Youth Addiction and Concurrent Disorders Service at the Centre for Addiction and
Mental Health (CAMH) in Toronto have found significant gender differences in types of
mental health concerns, abuse histories and substances used by clients between age 16
and 24 years (Chaim & Henderson, 2009). For example, young women with substance
use problems were more likely than their male counterparts to have posttraumatic stress
disorder (24.6 per cent vs. 13.5 per cent) and major depressive disorder (38.5 per cent
vs. 16.6 per cent). Young women were also more likely to use cocaine (71.4 per cent vs.
60.9 per cent) and benzodiazepines (42.9 per cent vs. 12.5 per cent). These differences in
the experience of mental health concerns and substance use problems, and the evidence
for addressing them in gendered and culturally relevant ways, should guide our treat-
ment and ongoing support of women with co-occurring mental health and substance
use problems (Gil-Rivas et al., 2009; Greenfield et al., 2008; MacMillan et al., 2008).
Chapter 21 Working with Women 527
The differing physical responses to substances and the greater susceptibility to health
problems associated with all substances for girls and women, while known, have not
adequately informed our approach to treatment. In general, females are more vulnerable
than males to alcohol-related liver and other organ damage, cardiac-related conditions,
reproductive consequences, breast and other cancers and osteoporosis (CSAT, 2009).
Recent evidence has emerged related to sex differences, For example:
• The gender gap in the prevalence of alcohol use is closing, especially in the case of
heavy drinking by girls and young women (Keyes et al., 2008; Zilberman et al., 2003).
This finding is of particular concern given that the health risks of alcohol use, which
include liver damage, brain damage and heart disease, are greater for girls and women
(National Institute on Alcohol Abuse and Alcoholism, 2002).
• Women report higher rates of use in most categories of prescription drugs, includ-
ing painkillers, sleeping pills, tranquillizers, antidepressants and diet pills (Ritter et
al., 2004; Therapeutics Initiative, 2004). Health care providers and women are often
unaware of the range of withdrawal symptoms associated with stopping tranquillizer
use when withdrawal is not managed, and treatment programs have often excluded
people using benzodiazepines from care (Currie, 2003).
• Women represent an increasing proportion of adult HIV/AIDS cases attributable to
intravenous drug use in Canada, and Aboriginal women are particularly at risk (Spittal
et al., 2002).
• Tobacco use among girls and women is a serious problem in Canada and worldwide
(Greaves et al., 2006). In Canada, 12 per cent of young men and women smoked in
2010 (Health Canada, 2010), and the health impacts on girls and women are more
serious (Office of the Surgeon General, 2001). Despite tobacco use being the most
deadly of all addictions, it is often not considered as urgent to treat as other substance
use problems (Poole et al., 2003).
This short summary of research in the four key areas we identified earlier has
not allowed us to adequately acknowledge the role of socio-economic issues, cultural
diversity and many other determinants of health that intersect with gender. Space
limitations also preclude exploration of gender differences in processes related to treat-
ment initiation, retention, completion and outcomes (Grella et al., 2008). The rest of
this chapter discusses the practice implications of the four key issues—mothering,
experience of trauma and violence, mental health challenges and physiological vulner-
abilities—and illustrates how important it is to bring a sex and gender lens to our work
as treatment providers.
528 Fundamentals of Addiction: A Practical Guide for Counsellors
Practice Implications
Mothers and Pregnant Women with Substance Use Problems
Many women postpone treatment for months, even years, in order to avoid losing
custody, or to minimize the disruption to their children’s lives. When they do come for
help, they may face strict service policies and rules, such as those that dictate the length of
abstinence required prior to admission and that demand punctuality without exception.
These rules may be challenging for a woman trying to seek support while arranging child
care, or having to drop off her children at school. It is important to consider how such
rules can create more hurdles for women with substance use problems who are chal-
lenged by child care responsibilities, depression or poor self-esteem when seeking help.
Although many treatment providers do not offer this array of programming and
services, they can still create an atmosphere that acknowledges women’s various needs,
help refer women to services that can be accommodating and incorporate models of
care based on relational models. Women require choice about local options and a col-
laborative approach to planning their treatment program. Individual differences need to
be considered: while some women may want to bring their children to child care at the
treatment centre, others may prefer financial support to hire a child care provider they
know and with whom their children are comfortable.
while sorting through their responsibilities to the person using substances, to them-
selves and to other family members. A woman typically has many questions—around
how to cope with ongoing relapses, find treatment services that are a fit and deal with
stigma and shame, and about what recovery means.
Women who have a history of problematic substance use and mental health issues
often speak about their fear that their children will have substance use problems as a
result of learned behaviour, genetics or both. A woman may blame herself and feel guilty
for family problems. Concerns about judgment from family members, friends and col-
leagues, and financial dependency on partners may cause a woman to try to figure out
these issues on her own. She may not know what counselling and support are available.
Treatment programs do not always welcome family members, and issues of con-
fidentiality can make the woman feel disconnected when her loved one is seeking help.
In many systems, being a family member trying to find resources puts that person into
the role of client. As a family member, a woman may be ignored and silenced. Many
women may need help to navigate the treatment system and find resources that are a fit
for themselves and their loved ones.
When supporting women, service providers need to explore common issues
women confront, such as how a loved one’s substance use is affecting the woman finan-
cially, emotionally and physically, and whether she feels safe. Women can experience
exhaustion and burnout caring for others, while letting go of their own self-care, daily
routines and goals. These women may be at risk for neglecting their own health issues,
using substances and food to cope with the isolation and struggles of family members
who relapse. When partners are using, there may be an expectation that the woman also
continues to use substances. As a woman decreases or stops using, she may feel pres-
sure and anger from her partner for making changes.
Many women like the sense of connection they get from self-help groups such as
Al-Anon, where they can join together to deal with a similar situation. A Family Guide to
Concurrent Disorders (O’Grady & Skinner, 2007) addresses recovery, relapse, understand-
ing and negotiating the treatment system, and stigma. This program is facilitated using
an in-person group format, as well as an online group. Online groups may allow women
the anonymity they are looking for, as well as the option to seek help from home, at a
time that fits their schedule without needing to travel or pay for child care.
A Trauma-Informed Approach
One of the opening vignettes of this chapter involves a 50-year-old Asian woman who
takes antidepressant and anti-anxiety medications, and drinks heavily to manage symp-
toms of posttraumatic stress disorder. We also introduced a 30-year-old mother with two
preschool-aged children who is trying to leave an abusive partner and reduce her drink-
ing, and who has been asked to leave a transition house because she did not comply with
its rules about abstinence. These are but two examples of how trauma and gender-based
violence affect the lives of women, and are connected to their use of substances.
Chapter 21 Working with Women 531
counsellor learning and also provide useful client handouts. Such trauma-informed
practice is discussed in more detail in Chapter 17.
Addiction counsellors need to incorporate trauma-informed approaches in their
practice, given the high number of women with histories of trauma and violence who
access services. When working in a trauma-informed way, it is also important to know
about resources and services to which you can refer women for trauma-specific support.
Being part of a community-based network of service providers will enable you together to
build a system of care that assists women at all stages of readiness to heal from trauma
and substance use problems.
Two of this chapter’s opening vignettes introduced a young homeless woman who uses
cocaine and is engaged in sex work, and a middle-aged woman working in government who
takes antidepressant medication. Both women may have mental health issues, as well as sub-
stance use problems. Wherever women come for treatment (e.g., mental health, substance
use counselling or outreach services), it is critical to provide support for both concerns.
As with concurrent trauma and substance use problems, it is important to
acknowledge how common it is for mental health and substance use concerns to coexist
for women. As substance use counsellors, we need to be well informed about mental
health symptoms, medications and treatments if we are to help women determine
which services may best address their needs and goals. (See Chapter 16 for a discussion
of concurrent disorders.) Symptoms of anxiety and depression may not only interfere
with optimum outcomes from substance use treatment; they are often also triggers for
relapse (Health Canada, 2001).
In integrated treatment programs, the same clinician (or team of clinicians) pro-
vides treatment for mental health and substance use disorders concurrently. Although
some staff may not feel confident to address mental health and addiction issues, the
interconnectedness of these issues needs to be explored. Our job as counsellors is to dis-
cuss the connections between substance use, mental health problems and trauma with
women, and to let them know that these issues are likely influencing their life and their
recovery process. By acknowledging the connections, we decrease stigma and women’s
fear of sharing their experiences. This means working collaboratively with a woman to
explore how these issues are interdependent in her recovery; for example, how her feel-
ings of depression trigger thoughts to drink and binge on food. The Women’s Service
Strategy Work Group (2005) describes the connections:
One of this chapter’s opening vignettes described an adolescent girl of Métis descent
who took up smoking cigarettes and drinking alcohol when she was 10 years old.
Another vignette involved a pregnant woman who uses cocaine, diet pills and alcohol.
As these examples illustrate, it is common for girls and women to use multiple
substances and not understand their health impacts. It is important to discuss the
sex-specific physical health impacts of substances with women coming to treatment,
as this can be important information for their relapse prevention, harm reduction and
recovery plans.
Given that girls, Aboriginal girls in particular, have the highest rates of smoking
in Canada, we need to be concerned about the short- and long-term implications of
smoking on their health. Often as substance use counsellors, we do not stress enough
the serious health impacts of smoking for women (Office of the Surgeon General,
2001). Women’s hormones and reproductive systems are affected, leading to problems
with fertility and menstruation, increased risk of cervical cancer and early menopause.
Smoking also greatly increases a woman’s risk of stroke and heart attack. A number of
web-based resources are now available that can help girls understand and reduce or stop
their tobacco use.1
There are also many ways we can support girls and women to understand the
sex- and gender-specific impacts of alcohol; for example, we can discuss how women
metabolize alcohol differently. Given the same amount of alcohol, women get more
intoxicated, faster and for longer than their male counterparts. This difference is due to
factors such as:
• percentage of body fat: women have a higher percentage and therefore have less body
water to dilute the alcohol (Romach & Sellers, 1998)
• hormonal differences
• metabolism, including differing activity of the stomach enzyme that breaks down
alcohol (Frezza et al., 1990).
We can also provide education on how the long-term effects of drinking differ
for women. Women, as compared to men, experience serious health problems after
a shorter period of drinking, often referred to as “telescoped” effects. These health
problems include liver disease; cancer (particularly of the breast, tongue, pharynx and
esophagus); heart disease; and brain damage. Knowing that it is not a level playing field
can help motivate women to reduce their drinking.
We also need to stay up to date with and convey information about the health
effects of alcohol that may be of particular interest to women; for example, about the
impact of heavy episodic drinking on belly fat. At the 2009 meeting of the European
Society of Cardiology, Martin Bobak of University College London reported that this type
of binge drinking (large amounts consumed in a single session—a bottle of wine, six
1 One example of a web-based resource to help girls understand and reduce or stop their tobacco use is www.expectingtoquit.ca.
534 Fundamentals of Addiction: A Practical Guide for Counsellors
beers or six 1.5 oz shots of spirits) results in increased abdominal fat independent of the
amount of alcohol consumed over a year. The health consequences of abdominal fat are
increased risk of heart disease and diabetes (Schenck-Gustafsson, 2009).
Substance use counsellors can also play an important role in educating women
about the withdrawal effects of certain medications, particularly given the fact that
treatment programs often make abstinence a requirement for admission: as a result,
women may decide to go off benzodiazepines, opioids or antidepressants, not realizing
the medical and psychological risks of withdrawal (Currie, 2007). Women need expert
medical support for tapering when trying to stop using these medications, and we need
to support them in finding this assistance.
Gender-informed treatment programs are now delivering interventions that spe-
cifically address the health impacts of substances for women. For example, programs are
including discussions of sex differences in the impact of substance use to help women
make informed choices and develop goals for themselves. They are supporting girls
and women in getting thorough medical assessments by physicians who specialize in
addiction medicine, arranging for nutritional assessments with dietitians and teaching
positive health practices such as walking, tailored aerobic exercise, introductory yoga and
making low-budget, nutritional meals.
Gender-informed programs also devote significant attention to mothers to ensure
they have accurate, non-stigmatizing information about the impact of substance use in
pregnancy, and help them work through guilt and shame about the effects of their sub-
stance use on their children. The Effects series, produced by the former Alberta Alcohol
and Drug Abuse Commission (2003), is a helpful resource that explains how various
drugs affect women, with special focus on how drug use may affect pregnancy, birth and
child development.2
Substance use counsellors are also working closely with primary care provid-
ers, who may not be effectively screening women for excessive substance use. Given
all the health consequences of alcohol and other drugs for girls and women, as well
as the increased risk of blood-borne diseases, particularly from intravenous drug use
and unprotected sex, a thorough health assessment should routinely be offered as a
component of beginning treatment. Liaising with primary care providers means that
counsellors—on their own or in partnership with health care providers—are better
equipped to recommend and ensure linkages to other interventions that will support
recovery, for example, physical activity programs, nutritional counselling, stress manage-
ment programs such as yoga and meditation, and massage.
2 Fact sheets from the Effects series are available from the Alberta Health Services website at www.albertahealthservices.ca.
Under “Health Information,” see “Addiction & Substance Abuse,” then go to “Information for Women” and “Fact Sheets.”
Chapter 21 Working with Women 535
Treatment
This section discusses evidence-based intervention models that may be particularly well
suited to address the treatment needs of women.
Recovery model
In recent years, the recovery model has taken on new meaning and significance in the
addiction and mental health fields. It has come to signify empowerment as a guiding
principle for an individual’s journey of healing and transformation. This philosophy or
framework is particularly relevant to women in recovery, as it counterbalances the nega-
tive journeys of stigma, barriers and inflexibility in programming that women have often
experienced. Mary Ellen Copeland and Shery Mead (2004) write about peer support in
their book Wellness Recovery Action Plan and Peer Support. Through peer support, people
in recovery learn from one another in a non-hierarchical relationship and are responsible
for their own recovery. Mutual learning is part of the process of sharing strengths and
resources, and shedding labels like “addict.”
536 Fundamentals of Addiction: A Practical Guide for Counsellors
Motivational interviewing
Many women have been silenced, or told what to do to “recover.” By contrast, the moti-
vational interviewing approach helps the counsellor attend to the client’s readiness and
her reasons for wanting change. The counsellor helps the woman assess the level of
importance of and confidence about making change. Acting as a guide, the counsellor
draws out the woman’s unique pathway to change. Consider the 20-year-old woman
in our opening vignettes who engages in survival sex to pay for food and crack cocaine
for herself and her pimp. For her, a motivational interviewing approach is likely to be
experienced as non-threatening when space is created for her to realistically consider
what is feasible for her, exploring her ambivalence, examining her values and elicit-
ing her ideas about moving toward her goals. Research shows the effectiveness of
motivational interviewing for women who use substances in a range of life circum-
stances. For example, several U.S. studies have found this approach to be effective in
helping female college students reduce their alcohol consumption and the negative
consequences of drinking (Ingersoll et al., 2005; LaBrie et al., 2007). (Motivational
interviewing is discussed in Chapter 5.)
Cognitive-behavioural therapy
Cognitive-behavioural therapy is designed to help women explore the function of the
substance use, understand their thoughts and feelings leading to triggers and focus
on developing alternative coping strategies. According to Covington (2002), women’s
treatment needs to be based on the premise of the whole person, incorporating the
holistic model of addiction and emphasizing affective, cognitive and behavioral
change in various areas, not simply substance use. The affective aspect is especially
important for women, who often see their substance use in the context of their emo-
tional lives.
Mindfulness
Jon Kabat-Zinn (1994) defines mindfulness as paying attention in a particular way: on
purpose, in the present moment and non-judgmentally. Women who use substances
have often had their thoughts and feelings invalidated by others, and thus have learned
to invalidate themselves. The practice of mindfulness teaches acceptance of one’s
thoughts and feelings, helping women to let go of judgments, and listen with compas-
sion to their needs. “This practice may help one to become more aware of the emotion
that drives the cravings, such as fear and loneliness, and have compassion for one’s own
suffering rather than a reactive need to fix or escape it” (Bowen et al., 2011).
Chapter 21 Working with Women 537
Women-specific groups
Women-specific groups can allow women to explore personal, behavioural and attitudi-
nal changes, as well as express difficult feelings such as anger and shame; discuss the
social determinants of their problems such as poverty, experience of violence and lack of
social support networks; and learn to trust and value women. For many women, these
groups also provide the safety they need to take risks (an exception may be women who
have been abused by their mothers or lesbian partners). While the findings are mixed,
some studies point to the benefits of same-sex counsellors and gender-specific program-
ming (Greenfield et al., 2008; Koch & Rubin, 1997; Wintersteen et al., 2005).
Technology-supported interventions
Given the barriers women often confront in accessing treatment services, technology-
supported substance abuse interventions may be an important support. Many years ago,
Sanchez-Craig and colleagues (1996) showed the effectiveness of telephone interven-
tion for rural clients, particularly females. Now studies of gender-specific web-based
treatment are showing comparable benefits to standard treatment for women (Finfgeld-
Connett & Madsen, 2008). A recent exploratory study showed promise in expanding
access to treatment, particularly for women and parents, through technology-assisted
interventions (VanDeMark et al., 2010). Recent studies by Schinke and colleagues
(2009) lend support to the potential of gender-specific, parent-involved and computer-
ized approaches to preventing substance use among adolescent girls.
538 Fundamentals of Addiction: A Practical Guide for Counsellors
Women with substance use problems have historically been perceived as sicker and
harder to treat; yet studies published over the past 15 years demonstrate that this is not
the case. When women come for treatment, they are likely to be experiencing more prob-
lems as a result of their substance use, but they recover as well as, if not better than, men
when provided with appropriate treatment. Sometimes they struggle because of envi-
ronmental factors and barriers, such as pregnancy, child or elder care responsibilities,
a spouse who uses substances heavily or is abusive, or posttraumatic stress symptoms.
Any provider within the helping system may unconsciously stigmatize women.
We are affected by the society in which we live. We need to begin by asking ourselves:
Do I have a positive regard for women, or have I internalized negative societal attitudes
toward them? We need to ask ourselves specific questions related to situations we will
likely face in working with women. Could you work effectively with a woman who:
• told you she had abused her children, either physically or verbally?
• revealed heavy drinking and/or other drug use during pregnancy?
• wishes to end her marriage and has school-aged children?
• insists on staying in an abusive relationship?
• talks about the difficulties in her relationship with her same-sex partner?
• tells you she has had or is contemplating an abortion?
• makes sexual advances toward you?
• earns money as a sex-trade worker?
• is often angry in interviews?
• is obese?
Visualize yourself working with a woman in one of these situations. Could you
be supportive and create a therapeutic environment conducive to her growth? Or do you
recognize personal values or biases that would affect your work with her? Explore these
issues or judgments in clinical consultation or supervision so they do not get played
out with your clients and cause them harm. Attitudes and empathy are the two key
ingredients for effective recovery when working with women who have substance use
problems—they lay the foundation for all other knowledge and skills.
System-Level Change
Front-line workers can be informed advocates for change, but often do not have the
authority to make and implement decisions about policy development or program deliv-
ery. For example, a counsellor may well recognize the problems endemic to an agency
Chapter 21 Working with Women 539
policy requiring a woman to get help for her substance use problem and become absti-
nent before she can get treatment for a co-occurring mental health problem. However,
the decisions to change policy and to try innovative service delivery, like partnering
between addiction and mental health service providers or integrating these aspects of
treatment, can only be made by people with the authority and mandate to do so.
Groups such as the Ad Hoc Working Group on Women, Mental Health, Mental
Illness and Addictions (2006), convened by the Canadian Women’s Health Network and
the Centres of Excellence for Women’s Health, serve as role models for continued vigi-
lance to improve women’s health by bringing research on sex and gender differences in
health into the policy realm. Everyone must work toward sex- and gender-based analysis
of research, programs and policies in order to best address the needs of women and
men, boys and girls.
Conclusion
Research is demonstrating key gender differences in the physical effects of substance
use for women, their pathways to treatment and support, and how interconnected issues
such as parenting, experience of violence and mental health concerns interact with sub-
stance use. In this chapter we have highlighted some of this research, considered the
practice implications and pointed to the need for supportive systems of care.
Practitioners in Canada are achieving promising work in individual programs.
Yet we still have much to do to integrate support on issues that affect women (and sub-
groups of women) disproportionately. For example, programming that addresses the
needs of mothers and pregnant women is shockingly scarce. Integrating our support on
trauma, mental health and substance use problems will attract more women who need
treatment to treatment, and ensure positive outcomes once they are there. We still have
much to do to bring the evidence for gender-informed practice into intensive treatment
settings and to link treatment with other tiers of treatment and support.
We have come a long way toward better understanding the needs of women with
substance use problems, and there is tremendous potential for practitioners to apply this
understanding in individual practice and system-wide collaborations.
540 Fundamentals of Addiction: A Practical Guide for Counsellors
Practice Tips
• Consider the way mothers and pregnant women with substance use
problems are treated within the health and social service systems. It is
important to pay attention to our own values, thoughts and feelings, and
how our judgments may affect the way we work with individual women.
• Consider your program, practice and policies from the perspective of a
mother with a substance use problem. We need to think about how our
programs welcome mothers and pregnant women. When difficult deci-
sions are being considered, include mothers in decision making as much
as possible.
• Notice the links among women’s experience of violence/trauma, mood
“disorders” and substance use problems. Learn about the connections
and share information about the connections as a universal practice. By
sharing how common these connections are, we help normalize symp-
toms and acknowledge coping strategies.
• Assume that violence has played a role in female clients’ lives, even if
they haven’t immediately identified this as a source of difficulty. Support
women in examining their safety and help them make safety plans. Offer
tools, strategies and support for reducing stress and increasing safety and
self-determination.
• Make linkages with other agencies that support women’s health and
reduce harms related to substance use. Encourage women to learn about
resources in their community and how to access them. Women need to
know they have the right to interview potential health care providers and
choose for themselves about what services meet their needs.
• Involve women in program planning specific to your service. Women who
are making changes or are in recovery can play a key role in providing
feedback, being involved in program development, acting as mentors and
guiding service improvement as alumni.
• Consider how your service works to address the stigma and barriers
women face in accessing services. Explore the physical environment of
your agency. It is important to think about confidentiality when enter-
ing the building, the physical environment (do the pictures on the walls
reflect the diversity of the women who are seeking support?) and feelings
of safety. Discuss with your colleagues how stigma and discrimination are
acknowledged to the women seeking help. Explore whether the services
are inviting for diverse women–such as those who are pregnant, women
in conflict with the law, older women, lesbian and bisexual women and
women caring for others who are coping with concurrent disorders.
Chapter 21 Working with Women 541
Resources
Publications
Poole, N. & Greaves, L. (2007). Highs & Lows: Canadian Perspectives on Women and
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Substance Abuse and Mental Health Services Administration. (2009). Substance Abuse
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(TIP) series 51. Rockville, MD: Author. Retrieved from http://kap.samhsa.gov/
products/manuals/tips/pdf/TIP51.pdf
Internet
Canadian Centre on Substance Abuse—women’s topic section
www.ccsa.ca/Eng/Topics/Populations/Women/Pages/default.aspx
Centre for Addiction and Mental Health Knowledge Exchange website—working with
women section
http://knowledgex.camh.net/amhspecialists/specialized_treatment/women/Pages/
default.aspx
Coalescing on Women and Substance Use
www.coalescing-vc.org
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Chapter 22
Anja is a 17-year-old teen who has grown up in a small town with her parents
and two younger sisters, age 12 and 14. Her parents have had a long-stand-
ing conflictual relationship and a couple of brief separations, mainly related
to her father’s drinking and related job losses. Anja’s mother works evenings
at a local diner as a waitress. She is always tired and stressed, but does her
best to keep the family together and feed and clothe the girls. With little time
to watch out for the younger children, she has tried to count on Anja, as the
oldest, to supervise her sisters.
Anja had her first drink at age 10, taken from her father’s supply, and
started using cannabis at 13. Since then, she has also been experimenting
with “whatever is in town,” available at “pill parties” or in the family medi-
cine cabinet.
Anja has a history of skipping school, not doing homework and getting poor
grades. When she was much younger, the school advised her parents to have
her tested, as she was inattentive and her school performance was incon-
sistent. Anja was put on a wait-list but never did get tested. Over the past
couple of years, she has been hanging out with a group of older youth and
has been brought home several times by the police. The resulting conflicts
at home between Anja and her parents, and between her parents about her,
have become “unbearable.” Anja’s mother wants her to go into a residential
treatment program where she could “be taken care of.” Her mother imagi-
nes that this will “change” Anja and that when she returns home, their lives
will be different.
and turbulence of adolescence. Heightened family conflict and the view that all problems
rest with the troubled teen are also not unusual.
Youth, including adolescents age 12 to 17 and transitional-aged youth (or “emerg-
ing” adults) age 18 to 24, are in a process of cognitive, emotional and biological change
and transition. Although we may expect youth to be “grown up” and to be proficient in
problem solving and decision making, it is now known that physiological change, includ-
ing brain development, continues well into a person’s twenties. These changes account
for behaviour that may appear impulsive and erratic and demonstrate ongoing “adoles-
cent experimentation,” but that can also be mitigated by resilience, learning and change.
As youth strive to discover who they are and define themselves along their devel-
opmental path, they are more likely to experiment with various roles and ways of coping
and interacting, sometimes before they have mastered self-regulation strategies to man-
age the situations they encounter. As a result, they are more likely than people at other
life stages to engage in risk-taking behaviours. Prevalence of traffic accidents, homicides
and sexually transmitted infections is highest among youth (Statistics Canada, 2008,
2012). They are more likely to initiate substance use and to experience the emergence of
mental health concerns; however, behaviours and trajectories for young men and young
women may vary, and gender needs to be considered when assessing risk and resiliency
(Arrington & Wilson, 2000; Bava & Tapert, 2010; Schulenberg et al., 2001; White et al.,
2005). Young women report higher levels of physical and sexual abuse, and are therefore
more likely to require intervention that addresses substance use and trauma (Najavits
et al., 2006).
Historically, youth substance use was addressed with the same principles, tools
and approaches used with adults. Although there is still much work to be done in under-
standing the unique needs of youth and developing effective youth-specific interventions,
it is clear that the same patterns of use and behaviour do have different consequences
and meanings for youth than they do for adults. This chapter provides an overview of
youth-specific strategies and considerations in engaging, assessing and treating youth
with substance use issues, as well as youth with co-occurring mental health and other
concerns. A “harm reduction” perspective provides the overarching framework. The aim
is to engage youth in a process of change that minimizes the consequences of risk-taking
behaviours and conceptualizes change as an evolving journey, with ups and downs and
changes of direction along the way.
Engaging Youth
Working with Youth in Context
Substance use is rooted in a biological, psychological, social, cultural and political con-
text. To engage and assess youth, it is essential to understand each youth’s substance use
problem within his or her unique context. As populations, particularly in urban areas,
Chapter 22 Working with Youth and Their Families 551
become increasingly diverse, the counsellor must be sensitive to issues related to gender
and sexual identity and culture, among other determinants of health.
The counsellor must be aware of his or her own biases, beliefs and values and
how they interface with those of individual youth. Youth need to feel accepted and safe
in order to trust enough to engage in the assessment and treatment process. Power
is inherent in the counsellor’s role, and this must also be considered. Open and hon-
est sharing of what the counsellor knows, and genuine interest in and curiosity about
what he or she does not know, can help engage youth in a process of investigation and
potential change.
A Developmental Perspective
Certain factors can help youth navigate this life stage. Some factors may naturally
be part of the context that youth encounter; others may be facilitated by parents, teachers
or treatment providers. These factors include:
• opportunities to develop coping strategies and life skills
• minimal transitions (school changes, moves)
• balance between parents and schools nurturing and monitoring youth, and providing
them with opportunities to seek independence and self-expression
• developmentally appropriate challenges and experiences
• social networks that discourage risky behaviour.
Despite stereotypes, jokes and lore to the contrary, most youth navigate the
stage between adolescence and adulthood without undue conflict and upheaval. They
experiment, develop skills, use the challenges of this period of transition as opportu-
nities, and are able to successfully take on adult roles and responsibilities. Youth are
resilient; they are often able to navigate developmental challenges by having significant
“protective factors” in their lives, starting with healthy infant-caregiver attachment and
growing up with a strong bond with a parent or other adult. It is important for youth
552 Fundamentals of Addiction: A Practical Guide for Counsellors
to have caregivers who provide pro-social role modelling and who set and monitor
limits and expectations that are age appropriate. Protective factors also include success
in school or work; involvement in appropriate community, recreational and leisure
activities; delayed experimentation with substances and other risky behaviours; and
of course, throughout the life span, having basic needs met (i.e., food security, safe
housing, access to health care).
On the other hand, exposure to risk factors is associated with substance use
and related problems in youth. Simply being male is a primary risk factor. More
male youth become involved in problematic substance use than any other popula-
tion group; they represent more than half of the total treatment population. Parental
substance use, a history of physical or sexual abuse and observing violence are also
risk factors. The younger the age of first substance use, the more likely a youth is to
develop problematic use. Identity issues, self-esteem, socio-economic factors, family
stress and poor coping skills are other risk factors (Health Canada, 2001). Youth with
mental health problems are also at higher risk for substance use problems. Later in
this chapter, we discuss the interaction of substance use and mental health, known
as concurrent disorders.
A certain amount of risk taking in youth can be considered a normative part of success-
fully negotiating the transition between adolescence and adulthood. Smoking, drinking
and experimenting with other drugs are a way to test social and family limits, as well
as personal boundaries. Young people often engage in risk-taking behaviour or experi-
mentation as a way to gain autonomy from parents, explore alternative identities and
ultimately form a new adult identity. It is therefore important to thoroughly assess and
address these behaviours: while substance use may have a minimal or transitory impact
on the lives of youth, it may also have tragic results in the short term or result in ongo-
ing, chronic concerns.
It is helpful to understand the trends and patterns of youth substance use and
to review the most current data available in your locale so you have a sense of what to
expect and what to ask about. Data specific to population groups, such as young men and
young women and urban or rural youth can be useful. A Canadian Centre on Substance
Abuse (n.d.) report summarizes provincial and national studies of youth substance use,
including studies of substance use patterns among youth in school, as well as among
street-involved youth (although there is limited data on the latter).
Chapter 22 Working with Youth and Their Families 553
The Canadian Centre on Substance Abuse (n.d.) reports that youth sub-
stance use, excluding alcohol and tobacco, is currently at levels near the
historic highs found in the late 1970s. However, on average, one-third to one-
quarter of Canadian high-school students (age 12–19) reported abstinence
from all substances in the past year. The most commonly used substances
continue to be alcohol, cannabis (marijuana, hash, hash oil) and tobacco;
about two-thirds report alcohol use; approximately one-third used cannabis
and one-quarter used tobacco in the past year. The fourth most commonly
used drug class is hallucinogens (e.g., LSD, psilocybin, mescaline). Fewer
Canadian students (5–10 per cent) use other substances, such as inhalants
and stimulants (both medical and non-medical), and fewer than five per cent
report using cocaine, methamphetamine, heroin and PCP, and non-medical
use of other medications. There is less information on “club drugs” such as
ecstasy, Rohypnol, GHB and ketamine. Injection drug use by students is rare,
reported by two to 2.5 per cent.
Harm reduction has been described as “reduction and/or elimination of the harms to
individuals and communities . . . associated with the use and/or distribution of illicit
drugs” (Toronto Harm Reduction Task Force, n.d.).
Harm reduction strategies provide an excellent framework for working with youth
at all stages along the substance use continuum.
Harm reduction is an accepting, youth-centred approach that fits well with the
Stages of Change model (see Chapter 4) and with a motivational enhancement approach
using motivational interviewing strategies (see Chapter 5). Many of the youth who come
to a clinical setting are in the pre-contemplative or contemplative stage, and are under
pressure from school, parents or even a legal mandate. Working with youth to set goals
that are appropriate to their stage of change within a harm reduction framework can
help keep them in treatment. For youth in the early stages of change, an initial goal may
simply be to engage them in dialogue about their use, and to explore the possibility that
such use may have negative consequences, whereas initiating change may have some
benefits. Over time, as trust builds or the problem worsens, the young person may be
willing to engage in further treatment and goal setting.
Youth generally present for treatment with multiple, complex concerns. Those in
the early stages of change are often not willing to set any type of substance use goal at first.
Using a harm reduction approach sets the stage for empowering youth to identify their
concerns and priorities for change. This holistic approach to engaging youth can help to
establish an alliance and facilitate work with them on a goal they define as important. For
example, youth may be unhappy about the pressure they are receiving at school or at home
regarding their substance use behaviour or other issues. They may be willing to get support
on ways to reduce this pressure, and may then be more open to seeing links between their
use and other problematic areas. Youth who use several substances, which is common,
may be willing to set a goal of abstaining from or reducing use of one of the substances,
but not others. They may also be willing to consider change in certain areas of their lives,
such as abstaining while at school or during the week. Or they may choose to work on a
separate but related goal, such as improving school attendance that may be incompatible
with their current substance-using pattern. The potential reluctance around setting a goal
that is too far outside the norm for their peer group should be considered when working
on goal setting. Once youth have experienced success in an initial or harm-reducing goal,
they may be more willing to go further in reducing or even abstaining from use.
When engaging and assessing young people, a holistic approach that incorporates a
strengths-based perspective is the most helpful. A holistic approach looks at all aspects
of the young person’s life; a strengths-based perspective highlights his or her strengths,
skills and personal assets, unlike traditional approaches, which focus on and highlight
Chapter 22 Working with Youth and Their Families 555
Inviting Context
On a more practical level, it is important to ensure that the agency setting is youth and
family “friendly.” Flexible hours and an accessible location can be helpful. Ease of com-
munication, including e-mail, texting and prompt phone response can also be important.
For staff, a flexible mandate that includes family work, co-therapy, peer and formal
supervision, team support and consultation can all be useful. A staffing complement that
allows for separate workers for the young person and the family is ideal, but not always
possible. As with any ongoing clinical work, training and education are critical.
Screening
Start with a valid and reliable screener and screening process. The Center for Substance
Abuse Treatment (CSAT) defines screening as a “formal process of testing to determine
whether a client does or does not warrant further attention at the current time in regard to a
556 Fundamentals of Addiction: A Practical Guide for Counsellors
particular disorder” (CSAT, 2005, p. 66). Ideally, such processes provide an opportunity for
youth to talk about their concerns with an engaging service provider, as well as to identify
their concerns by completing relevant questionnaires. Rush and colleagues (2009) recom-
mend a two-stage screening process that uses standardized measures, followed by further
assessment if required. A first-stage screener is generally a very sensitive tool that identifies
red flags across a range of possible disorders. These red flags suggest there may be a concern,
without specifying exactly what the concern might be, and indicate the need for more in-
depth screening or assessment. A second-stage screener provides more in-depth screening
to identify the likelihood of a specific substance use or mental health disorder. A full assess-
ment is required to confirm the existence of the problem and to understand its nature and
extent (i.e., impact and severity, as well as the broader context in which the problem occurs).
A number of valid, reliable youth-specific measures have been developed (CSAT,
2005; Rush et al., 2009). When choosing a screening tool, consider:
• validity and reliability
• cost
• qualifications and training required for administration and scoring
• time required to administer the screener
• fit with agency mandate
• suitability for population served (i.e., age, gender, cultural factors).
1 Information and licensure for the Global Appraisal of Individual Needs—Short Screener can be found at www.chestnut.
org/li/gain.
2 The Problem-Oriented Screening Instrument for Teenagers can be found at http://eib.emcdda.europa.eu/html.cfm/
index4439EN.htm.
Chapter 22 Working with Youth and Their Families 557
Assessment
Over the years, the category of medical concerns has expanded to include mental
health and trauma history. More recently, many settings have added questions about
ethnicity, cultural identification and spirituality. In Ontario, addiction treatment agencies
are required to gather minimal data on gambling and behaviours such as injection drug
use and safer sexual practices (e.g., condom use). Some agencies ask questions designed
to encourage disclosure of gender identity and sexual orientation (Barbara et al., 2002).
Although agency mandate, service provider training and interests, and the young person’s
presentation may focus attention on specific or limited areas, a thorough assessment should
be comprehensive and explore all domains of functioning to ensure nothing is missed.
With youth, the questions in each area of assessment need to be adapted and
considered through the lens of “developmental tasks” or the concept of “age-appropriate”
behaviour. Counsellors need to be aware of normative developmental tasks and expec-
tations, know what to look for in each area of assessment and understand how all the
information fits together in order to develop a helpful service or treatment plan. In addi-
tion, the questions and approach should be tailored as much as possible to address the
unique issues of adolescents and transitional-aged youth. For immigrant or newcomer
youth, counsellors should make sure the young person understands the process and
questions; ideally, they also would be able to access an interpreter if needed.
drinking, and substances commonly used by adolescents (e.g., cannabis, club drugs,
cocaine) are illegal, some level of use is to be expected. It is helpful to place youth sub-
stance use along a continuum from non-use to dependent use (see Table 22-1). Although
“harmful use” appears at the end of the continuum, keep in mind that harm can occur
at any point on the continuum, other than non-use, depending on individual circum-
stances and context. For example, one episode of binge drinking may result in death
due to risky behaviour, such as driving under the influence or diving into an empty
swimming pool. It is essential for the counsellor to assess the potential and actual harm
related to the young person’s level of use.
table 22-1
Substance Use Continuum
COURSE OF
STAGE DESCRIPTION GOAL ACTION
COURSE OF
STAGE DESCRIPTION GOAL ACTION
Youth between age 16 and 21 are most likely to use substances experimentally and
recreationally, and may be more likely to binge at parties and on weekends. Polysubstance
use is common. Youth who use substances may experiment with whatever is available,
whether in their family’s medicine cabinet or at a party, often using several substances at
once or a variety of substances at different times. Young people tend to experience fewer
withdrawal symptoms than adults and tolerate them more comfortably; as a result, they
may develop tolerance to substances over a shorter time.
560 Fundamentals of Addiction: A Practical Guide for Counsellors
Create: Substance use can create psychiatric symptoms (e.g., using crystal meth may
result in a psychotic episode).
Trigger: Substance use can trigger the emergence of some mental health disorders if a
youth is predisposed to mental illness (e.g., cannabis use may trigger earlier onset of
schizophrenia).
Exacerbate: Symptoms of mental illness may get worse when a young person uses alco-
hol or other drugs (i.e., alcohol may increase symptoms of depression).
Mimic: Substance use can look like symptoms of a psychiatric disorder (e.g., a young
person’s behaviour while using ecstasy may look like a manic episode).
Mask: Symptoms of mental illness may be hidden by alcohol or other drug use (e.g., cocaine
may improve concentration in a young person with attention-deficit/hyperactivity disorder).
Independent: Substance use and mental health problems may have a common underlying
cause that has created vulnerability, such as experiencing trauma or witnessing violence.
While the causality and links between substance use and mental health disorders
may not be fully understood, the evidence points to a need for a comprehensive approach
to concurrent problems. Youth is a time of crucial developmental transitions, risks and
opportunities. Treatment providers need to identify and address issues affecting develop-
ment, such as mental health and substance use problems; when they cannot provide the
interventions required, they must make appropriate, timely referrals. Depending on the
problems, interventions may be sequential or concurrent.
Assessment considerations
In addition to addressing both substance use and mental health, a comprehensive
assessment may cover a variety of areas. Table 22-2 summarizes some of these areas and
looks at the issues from the perspective of younger teens and older youth.
The assessment should also identify potential safety concerns for each client
before treatment is recommended, particularly group and family modalities.
562 Fundamentals of Addiction: A Practical Guide for Counsellors
table 22-2
Youth Assessment Domains
ASSESSMENT DEVELOPMENTAL
AREA ISSUES TO CONSIDER PERSPECTIVE
Family (as Substance use and mental health Family involvement may
defined by the issues in other family members be particularly critical
young person) are a risk factor for youth. for younger clients who
are living with their
Collateral information may be
family of origin.
critical to the assessment process
and can broaden understanding Older youth may
of the young person’s situation. be struggling with
individuation from
Family may be an important
family, whose support
support and factor for treatment
may still be very
planning.
important.
Impact of substance use on
siblings, including increased risk
for use themselves.
Gender identity LGBT youth may face additional Younger teens may face
and sexual challenges around identity in growing awareness of
orientation adolescence. their sexual orientation
and/or gender identity
Fear of stigma, discrimination
and may struggle with
and concern over acceptance by
this.
peers and family may be present
and may increase vulnerability to Youth may face issues
problematic substance use. related to acceptance
as they “come out”
Feeling safe in assessment and
(Barbara et al., 2002;
treatment may be particularly
Hershberger & d’Augelli,
important.
2000).
Chapter 22 Working with Youth and Their Families 563
ASSESSMENT DEVELOPMENTAL
AREA ISSUES TO CONSIDER PERSPECTIVE
ASSESSMENT DEVELOPMENTAL
AREA ISSUES TO CONSIDER PERSPECTIVE
Legal history Use may put youth at risk for Younger teens may
involvement in illegal activities benefit from education
related to illicit substance use or on underage drinking or
associated illegal behaviour. consequences of illegal
drug use.
Older youth may seek
treatment related to
charges or probation
orders.
ASSESSMENT DEVELOPMENTAL
AREA ISSUES TO CONSIDER PERSPECTIVE
Treatment
Because youth usually present for service with multiple complex issues, an integrated,
“ecologically grounded,” systems-oriented treatment approach has been found to be
most helpful (Bender et al., 2006). Treatment may be required to address various con-
cerns at the same time, possibly using many resources and engaging the client, along
with significant people in his or her life, such as family members, peers and school per-
sonnel. Ideally, treatment includes individual and/or group interventions for the young
person, parent or family education and support, and joint sessions for the young person
and family together.
Current evidence supports a number of integrated treatment models, largely
based in cognitive-behavioural therapy (CBT) and trauma-informed care (see Chapters 1
and 17 for further discussion of these approaches).
566 Fundamentals of Addiction: A Practical Guide for Counsellors
Meeting youth “where they’re at” is the hallmark of youth-centred work. Approaches
that use various levels of coercion have their proponents, but they are not considered
to be best practice (Health Canada, 2001). Youth-specific programs need to provide a
youth-friendly, safe environment. Features that help to retain youth in treatment include
a harm reduction philosophy; a flexible, open-ended approach; a holistic perspective; and
cultural appropriateness (Health Canada, 2001; National Treatment Strategy Working
Group, 2008; Ontario Youth Strategy Project, 2008).
A key principle of treatment matching is to consider and recommend the least
intensive, least intrusive treatments that the service provider can expect to be effective.
This is particularly important with youth because, during this formative stage of life, it
is important to emphasize strengths and help young people regain balance so they can
move on with their life tasks. Since many young people require assistance at various
points along their developmental journey, their early experiences of the treatment system
must be helpful and appropriate, so they are more likely to re-engage later if necessary.
The National Treatment Strategy (National Treatment Strategy Working Group,
2008) provides a framework for considering pathways to care and the continuum of care
for individuals, including youth.
greater
specialization
Tier 5: Specialized Inpatient and intensity
of services
and supports
population-informed
Tier 3: Outreach & Direct Access & population specific
Every door is
the right door
greater
Tier 1: Community Support integration of
services and
supports with
community life
Source: National Treatment Strategy Working Group. (2008). National Treatment Strategy report [PowerPoint slides].
Chapter 22 Working with Youth and Their Families 567
enhancement therapy and CBT (Dennis et al., 2004) and an adolescent community
reinforcement approach (Harrington et al., 2006).1 Some treatments were designed
initially for adults but have been successfully adapted for youth. Examples include
Seeking Safety for concurrent substance use and trauma (Najavits, 2002; Najavits et
al., 2006), dialectical behaviour therapy for concurrent substance use and self-harming
behaviour (Miller et al., 2007) and multi-systemic therapy for young offenders with con-
current substance use and mental health issues (Henggeler et al., 1999). In addition,
the American Academy of Child and Adolescent Psychiatry ([AACAP], 2005) practice
parameter states that 12-step approaches such as developmentally appropriate Alcoholics
Anonymous or Narcotics Anonymous groups may be helpful as an adjunct to profes-
sional treatment for youth who have chosen an abstinence goal.
1 Free manuals for these specific treatment approaches are available at http://store.samhsa.gov.
Chapter 22 Working with Youth and Their Families 569
family and/or supportive others (i.e., peers, partners). In the absence of any available
family, or in the event that meeting with family may create an unsafe situation for the
young person, the AACAP practice parameter (2005) supports addressing family issues
with the young person alone.
Although, historically, dealing with substance use issues was considered an
“individual problem,” it is logical—particularly with youth—to involve and work with
families. Young people, especially adolescents, are often involved and living with their
families of origin, and parental authority and care are expected. The family milieu and
relationship dynamics can have a significant effect on youth substance use (i.e., a strong
bond with a caring adult and healthy role models are protective factors, and family stress
and parental substance use and mental health issues are risk factors). The AACAP prac-
tice parameter (2005) and the Alberta Alcohol and Drug Abuse Commission (2006)
recommend family involvement at every stage of assessment and treatment, particularly
with adolescents, because including family work has been shown to be most effective in
treating substance use disorders in adolescents.
A number of specific approaches have empirical support for addressing youth sub-
stance use and concurrent disorders. These approaches include multi-systemic therapy
(Henggeler et al., 1999), family behavioural therapy (Donohue et al., 2009), ecologically
based family therapy (Slesnick & Prestopnik, 2005), multidimensional family therapy
(Liddle, 2002) and the adolescent community reinforcement approach (Godley et al.,
2009). All of these approaches are ecologically based and systems oriented. They include
individual and/or group sessions, generally using a cognitive-behavioural approach;
individual and/or group psychoeducational and support sessions for caregivers; and
joint sessions with the young person and caregivers. Interventions that involve other
significant people in the young person’s life (e.g., peers, teachers and school personnel,
probation officers) are also backed by empirical support.
Family approaches work best if the family can be involved at the start of ser-
vice involvement, as part of the assessment. For youth who are reluctant to have their
families involved, it may be helpful to discuss the purpose of including families so the
young person can appreciate how family involvement can benefit them. Explaining that
their privacy and confidentiality will be protected even if their families are involved can
be reassuring. Young people need to understand that they will be able to decide what
information can be shared with their family, and that the therapist will not share infor-
mation about their substance use or anything else without their consent. Families, too,
need to understand this, in order to feel comfortable themselves and be clear about the
treatment process.
It is not uncommon for families to be reluctant to participate in treatment, partic-
ularly with older youth, where there is a history of treatment attempts that the family has
perceived to be unsuccessful and where there is a history of significant conflict, anger
and resentment. In these situations, it can be helpful for the service provider to offer
outreach to these families by explaining the purpose and process of the intervention,
using motivational enhancement strategies that create a sense of hope and possibility.
Chapter 22 Working with Youth and Their Families 571
However, it is not always feasible, given resource and mandate constraints, to pro-
vide these types of comprehensive intervention packages. They are not appropriate for all
families, and some families may not be able to commit to such involvement. Table 22-3
outlines the different levels of family involvement that benefit families.
table 22-3
Categories of Family Involvement
LEVEL OF
INTERVENTION ACTIVITY OBJECTIVES
level of service, and may need to be addressed to enable involvement. Barriers include
child or elder care obligations; requirements for translation and interpretation services
so the young person and/or family members are not required to provide the service;
proximity to treatment and transportation (i.e., in rural and remote settings and in urban
settings where travel time and/or costs may be prohibitive); and workplaces that make it
difficult for parents or other caregivers to miss work to attend appointments.
Educating families about the stages of change can help them understand how to
match their interactions with their child to the stage of change their child may be in. For
example, in the “precontemplation” phase, education and discussion can help the young
person perceive his or her parents as responsive and understanding, and may facilitate
communication and decrease conflict. Table 22-4 lists tasks for youth and family mem-
bers, considering the young person’s stage of change.
TABLE 22-4
Stages of Change: Tasks for Youth and Family Members
Harm Reduction
Once family members understand the concept of stages of change, the idea of harm
reduction also makes more sense. Families can begin to accept the notion of change as
a process and let go of unrealistic expectations, for example that a young person in the
precontemplation stage will commit to abstinence. Understanding the stages of change
helps families support changes the young person is ready to make, which facilitates
improved outcomes.
If conjoint work does not seem appropriate, or parents and/or the young person
are not willing, there are still ways to maintain a family-oriented approach. Individual or
group treatment for the young person, with education or support groups for parents, as
described earlier, can be very helpful. The family models referred to earlier have compo-
nents or modules for parents alone.
A note about prevention: given the relationship between family-related risk and
protective factors and youth substance use and mental health, it is important to provide
families with the skills and resources they need to create nurturing, resilience-building
environments. Programs such as Strengthening Families (Kumpfer et al., 2003) offer
skill-building groups for parents and children, followed by a joint group where parents
and children practise their skills together. Strengthening Families includes a family
574 Fundamentals of Addiction: A Practical Guide for Counsellors
inner before the group session to build family and group cohesion and provide a
d
forum for supported skill practice. There are groups tailored for parents with children of
various ages. In Ontario, Strengthening Families programs are available in some juris-
dictions for families with children age 7 to 11. A pilot adaptation is currently underway in
Toronto for families with youth age 12 to 16. Strengthening Families has been shown to
be effective in building resilience among youth, demonstrated by delayed and decreased
involvement with substance use.
Conclusion
As Anja’s situation illustrates, flexibility, a broad perspective and a holistic approach are
among the most important aspects of treatment for youth. A harm reduction framework
helps to reach young people “where they are” and facilitates the change process by offer-
ing goal choices, including non-abstinence, in all areas of young people’s lives. By being
accepting and non-judgmental, and recognizing developmental challenges characteristic
of adolescence and emerging adulthood, therapists were able to engage Anja in treat-
ment. They addressed both her difficulties and obvious strengths, while also reaching
out to her family, and including them in the treatment and recovery process.
Early screening and comprehensive assessment are important for treatment
planning, and can provide opportunities to engage youth in setting goals and increase
their motivation for change. Service providers in systems that encounter youth must be
Chapter 22 Working with Youth and Their Families 575
trained to identify substance use and mental health issues and related problems, and
must ensure that young people receive comprehensive care. This includes reaching out
to family, peers and community supports, and working collaboratively across services
and sectors to ensure that young people have access to the broad range of services,
resources and supports they require.
As with most youth, Anja’s situation was multi-faceted and complex. While the
young person’s response and the treatment provider’s service may not be as ideal as in
Anja’s case, her example illustrates the importance of comprehensive assessment and
treatment. By starting to address several areas of difficulty and taking a flexible approach,
the change process can begin.
Practice Tips
1. Use a two-stage screening approach at the point of entry into the service
system to facilitate early identification of substance use and mental health
issues and related concerns.
2. Provide a thorough assessment that identifies and highlights strengths
and protective factors and considers the impact of the determinants of
health (e.g., gender, income security, ethnicity) to understand the unique
needs of each young person.
3. Engage youth in a process that allows them to identify things they would
like to change, and work with them at their pace.
4. Use motivational enhancement strategies, which are effective in facilitating
youth engagement in a process of change.
5. Determine what is developmentally appropriate given the age and stage
of the young person you are working with. For example, consider the
degree of supervision required and the degree of responsibility that can
be expected.
6. Working with families is integral to working with youth and may include
parenting education and support, joint sessions with youth and family
members and working with youth on family issues without the family
present. Families may need help identifying and addressing barriers to par-
ticipating in treatment, such as the need for child or elder care, translation
and interpretation services and work schedule accommodation.
7. Collaborative, cross-sectoral service plans are most effective in addressing
the breadth of youth needs.
576 Fundamentals of Addiction: A Practical Guide for Counsellors
Resources
Publications
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Review of the Literature on Current Science and Practice. Edmonton, AB: Alberta Centre
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nosed adolescents: A systematic review. Brief Treatment and Crisis Intervention, 6,
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Centre for Addiction and Mental Health. (2004). Youth & Drugs and Mental Health: A
Resource for Professionals. Toronto: Author.
Internet
Canadian Centre on Substance Abuse
www.ccsa.ca
Centre for Addiction and Mental Health Knowledge Exchange portal for professionals
http://knowledgex.camh.net
Chestnut Health Systems
www.chestnut.org
Toronto Harm Reduction Task Force
http://canadianharmreduction.com
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Arrington, E.G. & Wilson, M.N. (2000). A re-examination of risk and resilience during
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Chapter 22 Working with Youth and Their Families 577
Bender, K., Springer, D.W. & Kim, J. (2006). Treatment effectiveness with dually diag-
nosed adolescents: A systematic review. Brief Treatment and Crisis Intervention, 6,
177–205.
Boudreau, R., Chaim, G., Pearlman, S., Shenfeld, J. & Skinner, W. (1998). Working with
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Breslin, F.C., Kathy, S.J., Tupker, E. & Pearlman, S. (1999). First Contact: A Brief
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Health.
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Center for Substance Abuse Treatment (CSAT). (2005). Substance Abuse Treatment for
Persons with Co-occurring Disorders. Treatment Improvement Protocol (TIP) series
42. Rockville, MD: Substance Abuse and Mental Health Services Administration.
Retrieved from www.ncbi.nlm.nih.gov/books/NBK64197/pdf/TOC.pdf
Centre for Addiction and Mental Health. (2004). Youth & Drugs and Mental Health: A
Resource for Professionals. Toronto: Author.
Chaim, G. & Henderson, J. (2009). Innovations in Collaboration: Findings from the
GAIN Collaborating Network Project, A Screening Initiative Examining Youth Substance
Use and Mental Health Concerns. Toronto: GAIN Collaborating Network.
Connor, D.F. (2002). Aggression and Antisocial Behaviour in Children and Adolescents:
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Dennis, M., Godley, S.H., Diamond, G., Tims, F.M., Babor, T., Donaldson, J. et al.
(2004). The Cannabis Youth Treatment (CYT) study: Main findings from two ran-
domized trials. Journal of Substance Abuse Treatment, 27, 197–213.
Donohue, B., Azrin, N., Allen, D.N., Romero, V., Hill, H.H., Tracy, K. et al. (2009).
Family behavior therapy for substance abuse: A review of its intervention compo-
nents and applicability. Behavior Modification, 33, 495–519.
Godley, S.H., Smith, J.E., Meyers, R.J. & Godley, M.D. (2009). Adolescent commu-
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580 Fundamentals of Addiction: A Practical Guide for Counsellors
Appendix
Best Practices Recommendations
The Ontario Youth Strategy Project (2008) developed the following best practices recom-
mendations for organizations that serve youth with substance use problems.
Orientation to youth
• Be individualized, client centred and client directed.
• Trust and respect the young person’s inherent motivation for treatment.
• Involve the family, as defined by the young person.
• Consider youth within their system of relationships, including peers, family, com-
munity and others.
Approach to practice
• Have an explicit framework that directs practice and leads to demonstrable outcomes.
• Use a holistic, biopsychosocial approach.
• Use a harm reduction approach.
• Be strength based and experiential, and focus on skill building.
References
Ontario Youth Strategy Project. (2008). Best Practices in Treating Youth with Substance
Use Problems: A Workbook for Organizations That Serve Youth. Retrieved from www.
addictionsontario.ca
Chapter 23
Mr. Bo is a 65-year-old man living alone in a boarding house, who has a long
history of excessive drinking. His children have little to do with him, but
are occasionally in contact. They are concerned that, although he has been
abstinent for several years, he has begun drinking again, is not eating well
and seems increasingly depressed. Mr. Bo says he feels unwell at times and
is very lonely, but he is not keen on accepting help.
this age group, illicit drugs. Some people will experience chronic substance use prob-
lems that continue as they age, whereas others will develop substance use problems as
a consequence of age-related stresses. Mrs. Ray and Mr. Bo, presented in the opening
vignettes, represent these two situations—the losses of aging precipitating relapse or
new substance use problems.
Addiction services are beginning to notice the “greying” of their clientele. Data
from the Ontario Drug and Alcohol Treatment Information System (personal commu-
nication, 2012) shows a steady increase in the number of older adults being admitted
for treatment over the last several years.1 Most of this increase has occurred among
people age 55 to 64. In fact, experts are raising concerns about the potential increase in
the number of older adults needing help with substance use problems. One U.S. study
estimates that the number of adults age 50 and older who require substance abuse treat-
ment will more than double by 2020, driven not simply by the proportionate increase
in the number of older adults, but also by an increase in the non-medical use of pre-
scription drugs and illicit drug use associated with the aging baby boomer generation
(Gfroerer et al., 2003).
The purpose of this chapter is to provide clinicians with an understanding of older
people’s special issues, their exciting and proven potential for change and best practices
for improving access to care and supporting that change. We discuss the prevalence of
substance use problems in this population, in particular highlighting the fact that today’s
older adults are more likely to be current drinkers who, like Mrs. Ray, often take prescrip-
tion drugs that can interact with one another, and that lower tolerance and physiological
changes that come with age can exacerbate these effects. We also discuss considerations
for screening and assessing substance use problems in older adults, and implications
for treatment, which vary depending on whether the person’s substance use began early
in adulthood and is more chronic, or developed later.
We hope this introductory chapter will inspire clinicians to respond to what is
considered a clinical and demographic imperative by developing comfort, proficiency
and enthusiasm for working with older adults.
An Underserved Group
1 For women, the number of individual admissions rose from 1,444 in 2003–2004 to 2,354 in 2009–2010. The number for
men increased from 2,801 to 4,077 over the same period.
Chapter 23 Older Adults and Substance Use 583
be typical signs of aging. Some presentations are atypical, most are complex, and many
physical and mental health conditions mimic one another, making it difficult to screen,
assess and accurately diagnose substance use problems (Menninger, 2002; O’Connell
et al., 2003).
Failing to recognize problems in this age group is exacerbated by the fact that
older adults themselves may be unaware that they have problems or may be reluctant
to ask for help. Substance use problems carried even more shame and stigma for previ-
ous generations, particularly women. Older adults may minimize problems and have
poor information about the harmful effects of alcohol or other drugs (Menninger 2002;
O’Connell et al., 2003).
Last Pleasures
Professional attitudes toward aging have also been linked to overlooking problems in
older adults. These attitudes are reflected in the stereotype that older adults cannot
change or improve, and the belief that they are entitled to their alcohol as a “last plea-
sure” or an “earned privilege.” Clients report feeling there is a prevailing belief that older
adults should be able to have a few drinks if they want (Ruth, 2008). This reveals ageism,
or negative and discriminatory attitudes about older people and their abilities, which
directly affects the individual, as well as the availability and design of programs and ser-
vices. These attitudes suggest that the older person’s quality of life is not as important as
that of a younger person (Ontario Human Rights Commission, 2001).
Other professionals have described not wanting to pry, perceiving alcohol use as a
private matter or considering substance use an understandable coping mechanism given
the losses of aging (O’Connell, et al., 2003). These attitudes lead to what O’Connell calls
“therapeutic nihilism,” which results in a tendency not to refer older adults to addiction
treatment, creating an under-representation in the treatment service system (Menninger,
2002; O’Connell et al., 2003) and the self-fulfilling prophecy that older adults do not
seek help.
Family members may share the attitudes of professionals. They may also seek
help institutionalizing their loved one, because they are concerned about the person’s
safety, rather than seeking addiction treatment for their loved one, as they might for a
younger person.
These factors can combine to create serious barriers for older people in finding
and accessing appropriate treatment and care. Without encouragement to seek help on
the part of the family doctor and family members, and without accessible addiction ser-
vices well-attuned to the nuances of working with older adults, it is unlikely that Mr. Bo
or Mrs. Ray would receive the help they require.
584 Fundamentals of Addiction: A Practical Guide for Counsellors
Improved Outcomes
Research has demonstrated that older adults do as well as, if not better than, their younger
counterparts in addiction treatment, and that reducing substance use can improve their
health-related quality of life. Recovery for those with serious problems has led to overall
improvements in activities of daily living, and in a reversal of alcohol-related and alcohol-
exacerbated cognitive impairment (Oslin, 2004). The improvement in health and quality
of life from reducing or stopping alcohol use, and the knowledge that older adults are
able to succeed with the help of addiction treatment, form a supremely sound argument
for encouraging older adults to enter treatment.
Prevalence of Problems
Alcohol
Compared to younger adults, older adults are generally less likely to drink, and they
consume smaller amounts if they do drink, although even one or two drinks a day can
be problematic for some. A recent Ontario survey found a significant upward trend in
older adults’ reported alcohol use in the past 12 months, from 58.8 percent in 1997 to
73.5 percent in 2007 (Ialomiteanu et al., 2009). Similar results have been found nation-
ally (Health Canada, 2008).
Older adults who are current drinkers are more likely than younger adults to drink
daily or several times a week, although in smaller amounts. In Ontario, the percentage of
people who drink daily increases with age and is highest among those age 65 years and
older (Ialomiteanu et al., 2009). Nationally, compared to other age groups, more than
80 per cent of past-year drinkers age 65 and older report drinking one to two drinks on
a typical drinking day, while having the lowest reported rate of drinking five or more
drinks on a typical drinking day (Adlaf et al., 2005).
Older adults generally have low rates of exceeding low-risk drinking guidelines
or drinking hazardously compared to younger people (Ialomiteanu et al., 2009). For
example, across Canada, 10.9 per cent and 13.6 per cent of people age 65 to 74 years,
and 75+ years, respectively, report exceeding low-risk drinking guidelines compared to
38 per cent for people in their early 20s (Adlaf et al., 2005). However, between 2006
and 2007, Ontarians age 50 to 64 years had a significant increase in hazardous or high-
risk drinking (8.3 per cent to 13.5 per cent), as measured by the Alcohol Use Disorders
Identification Test (AUDIT)2 (Ialomiteanu et al., 2009).
Compared to men, women in general are less likely to be current or daily drink-
ers, and more likely to be lifetime abstainers. Women consume less on average per
2 The AUDIT was developed by the World Health Organization to screen for hazardous or harmful alcohol use in primary
care settings and includes items that identify hazardous drinking (quantity/frequency), dependence symptoms and harm from
alcohol use. The pattern of responses to the AUDIT items as well as the overall score will determine whether a brief interven-
tion or referral for more in-depth assessment and treatment is required (Babor et al., 2001).
Chapter 23 Older Adults and Substance Use 585
week, and are also less likely to exceed low-risk drinking guidelines and drink hazard-
ously. However, among Ontario women across all age groups, a number of measures
indicate that more women are drinking, and they are drinking more. Survey results
indicate a significant increase in the prevalence of women drinking between 2006 and
2007 (Ialomiteanu et al., 2009). Other measures of women’s drinking show increases
in daily drinking between 1996 and 2007, estimated number of drinks consumed over
the past year and hazardous drinking as measured by the AUDIT, where rates almost
doubled between 1998 and 2007 (Ialomiteanu et al., 2009). These findings suggest that
as younger cohorts age, there will be more similarity in drinking patterns between men
and women.
Prescription Drugs
Older adults report high rates of medication use. Data from the 2003 Canadian
Community Health Survey found that 92 per cent of adults age 65 years and over
reported taking at least one type of medication in the previous month (Statistics Canada,
2006). The survey also found that 27 per cent of older women and 16 per cent of older
men reported taking at least five types of medication, most commonly non-narcotic pain
relievers, blood pressure medication, heart medication, diuretics and stomach remedies
(Statistics Canada, 2006).
The variety of prescribed and over-the-counter medications used by older adults
may have additive effects when used together and with other substances. For example, an
older adult may be simultaneously using several drugs that depress the central nervous
system (CNS), such as alcohol, a prescribed sleeping medication and an over-the-counter
painkiller containing codeine, such as 222s. Taking many substances together that
have similar effects on the CNS may produce a stronger effect and increase the risk
of becoming dizzy and confused, falling or experiencing other negative consequences
(Simoni-Wastila & Yang, 2006).
Overmedication, particularly in the case of CNS depressants, can lead to problems
with motor function, falls and injuries, co-ordination problems, confusion and forget-
fulness (CAMH, 2008). Older adults may also unknowingly develop a dependence on
certain types of prescription medication. A recent study of community-dwelling French-
speaking older adults in Quebec found that 25 per cent were using benzodiazepines,
and 9.5 per cent met the Diagnostic and Statistical Manual of Mental Disorders (American
Psychiatric Association, 2000) criteria for dependence (Voyer et al., 2010).
Illicit Drugs
To date, few older adults report lifetime or past-year use of illicit drugs. However the
most recent survey of Ontario adults (Ialomiteanu et al., 2009) found a significant
increase in past-year use of cannabis by people age 50 and older, from 1.4 per cent in
586 Fundamentals of Addiction: A Practical Guide for Counsellors
1998 to 4.6 per cent in 2007. A similar trend of greater reported use by the boomer
cohort compared to people now age 65 years and over was found nationally, with 0.3 per
cent, 1.1 per cent and 4.4 per cent of older adults age 75+, 65–74 and 55–64 years, respec-
tively, reporting past-year cannabis use (Adlaf et al., 2005). Geriatric addiction services
in Ontario also report an increase in rates of illicit drug use among clients.
Although older adults in Ontario have lower rates of smoking compared to other age
groups (only 8.9 per cent report smoking) those older adults who do smoke smoke on
average more cigarettes per day than other age groups (Ialomiteanu, 2009). Regular
smoking is also associated with heavy drinking (Selby & Els, 2004; Sullivan & Covey,
2002), and smoking exacerbates the health consequences of heavy drinking (Hurt et al.,
1996; Selby & Els, 2004).
The expansion of legal gambling is not confined to casinos, but can take many
widely accessible forms, including buying inexpensive lottery tickets. As well as the vul-
nerability of older adults to gambling, there are concerns about combining drinking and
gambling: a recent study found that among older adults, higher levels of alcohol use are
associated with at-risk problem gambling (Wiebe et al., 2004). Similarly, McCready and
colleagues (2008) found that dependence on alcohol or other drugs increased the risk of
developing a gambling problem.
Diversity Issues
Older adults are a spectacularly diverse group, spanning more than 40 years (age
55–100+). Older adults are much more unique than any stereotype might portray.
Ethnocultural Diversity
In 2001, 28 per cent of older adults in Canada were immigrants (41 per cent in Ontario).
While in the past most immigrants came from western or northern Europe or the United
States, new immigrants are increasingly from Asian countries (Turcotte & Schellenberg,
2007) and are progressively representing a greater proportion of the older adult popula-
tion. While most immigrants can speak one of Canada’s two official languages, about
five per cent of those age 75 and older speak neither, and this proportion is increasing—
as is the proportion of those speaking a language other than French or English at home
(Turcotte & Schellenberg, 2007). Older immigrant women are somewhat less likely than
older immigrant men to speak an official language. Rates of substance use problems, as
well as awareness, acceptance and approaches to problems, vary greatly within cultural
groups; therefore, providing culturally competent care is essential.
Chapter 23 Older Adults and Substance Use 587
Aboriginal People
Sexual Orientation
Lesbian, gay, bisexual and transgendered (LGBT) older adults may have struggled to
hide their sexuality their entire lives, having grown up as part of a generation where
homosexuality was socially unacceptable, considered a criminal offence and classified as
a mental health disorder. Alcohol or other substances may have played a role in helping
LGBT people cope with shame and the fear of being discovered. Many suppressed their
true identities and lived the accepted heterosexual norm. Many who decide to “come
out” to their families and friends may face challenges that include losing significant
relationships.
Few services exist for older LGBT people, and even those services and retire-
ment and long-term care resources that people can access may leave them vulnerable
to further discrimination. Providing a sensitive, accepting therapeutic environment is
essential, as is advocacy for older LGBT adults: open dialogue and collaborative problem
solving are encouraged, respecting the autonomy of the older adult.
Issues of Aging
Physiological Changes
Older adults who continue the same pattern of drinking from their younger years may
not be aware that they have less tolerance as they age. Physical changes associated with
aging include less alcohol dehydrogenase available to break down alcohol before it
reaches the bloodstream, reduced body water and lean body mass, and increased body
fat. Thus, water-soluble drugs, such as alcohol, can be more concentrated in the body,
and drugs such as benzodiazepines that are stored in the fat stay in the body longer
(Centre for Addiction and Mental Health [CAMH], 2008). Older people may also expe-
rience a decline in kidney and liver function, resulting in higher concentrations and
slower elimination of some drugs from the body. Some medical conditions that are
common among older adults, such as diabetes, hypertension or dementia, can increase
sensitivity to alcohol.
588 Fundamentals of Addiction: A Practical Guide for Counsellors
As a result, older adults can have a higher blood alcohol concentration than
younger people after consuming the same amount of alcohol (Barnes et al., 2010;
National Institute on Alcohol Abuse and Alcoholism, 1998; Simoni-Wastila & Yang,
2006). Because women are generally smaller and have less body water and more fat than
men, they are even more vulnerable to the effects of substances.
This greater sensitivity among older adults can result in problems, such as
adverse reactions when a medication is used with alcohol or overmedication even within
therapeutic doses. Because of the daily or almost daily drinking pattern of many older
adults, there is a high potential for combining alcohol with medications: more than 150
prescribed and over-the-counter drugs interact with alcohol (CAMH, 2008). When older
people are prescribed medication by a physician, they generally assume the drug is safe,
without necessarily realizing its potential interactions with other medication or the haz-
ards of long-term use, particularly with benzodiazepines and opioids.
It is important for older adults to understand the increased risks associated with
using medication and other substances. Older adults should avoid driving or using machin-
ery and must be particularly careful negotiating unfamiliar tasks or situations when they
are using alcohol, CNS depressant medications or illicit drugs. Older adults who use illicit
drugs such as cannabis, heroin and cocaine are also at risk for physical health problems,
particularly if these substances are mixed with prescribed medications (Boddiger, 2008).
Concurrent Problems
Substance use problems are associated with an increased risk of mental health prob-
lems, particularly depression and dementia, in older adults (Bartels et al., 2005; Dar,
2006; Oslin, 2004; Tjepkema, 2004). Rates of substance use problems are reported
to be higher among people in psychiatric and general medical settings, with U.S. stud-
ies reporting prevalence rates from 18 to 44 per cent (Center for Substance Abuse
Treatment, 1998). Depression is both a precursor and a consequence of heavy drink-
ing (Tjepkema, 2004). It can increase the risk of suicide and in general complicate
recovery from substance use problems, with poorer health outcomes and more service
use (Bartels et al., 2005; Dar, 2006; Oslin, 2004). Alcohol can directly and indirectly
increase the risk for dementia. Longstanding use may lead to cognitive impairment and
head injuries. Furthermore, people with Alzheimer’s and other dementias may inadver-
tently over-consume alcohol or double dose on medications simply because they cannot
remember how much they have already taken.
Three typologies of substance use problems appear in older persons, based on patterns
of use and age of onset: “early onset,” “late onset” and “intermittent” problems are use-
ful typologies in helping to increase identification and understanding, and facilitate
Chapter 23 Older Adults and Substance Use 589
the development of appropriate treatment plans. Early onset refers to alcohol or other
drug problems that develop early in life and continue into old age. For people with long
histories of chronic substance use problems, alcohol and other drug use habits may be
manifested in significant health problems, cognitive impairment, few material or social
resources and risk of homelessness.
Late onset refers to problems that develop later in life, often in reaction to stresses
associated with aging, which are usually losses or illnesses. Many older adults begin
to have problems with substance use in times of transition or loss (e.g., forced retire-
ment, bereavement, new or escalating health concerns, loss of independence). Their
relationship to the substance can be based on an emotional need to feel better or deal
with loss. Usually late onset means there are more resources and supports in place. The
third typology, intermittent problems, refers to substance use issues that occur periodi-
cally throughout adult life but that become more serious or consistent as a person ages.
Previous problem use is a risk factor for problems occurring later in life.
Treatment Approaches
Geriatric Addiction Best Practice
Older adults with alcohol and other drug problems will enter treatment when it is tai-
lored to meet their needs. Generalist treatment services can inadvertently pose barriers
or provide treatment that is ill suited to the special needs of older adults. Clients have
reported that they felt unsafe in generalist programs, that younger group participants
were dismissive of them, and that they did not feel welcome. They had the impression
that staff found older people difficult and tiring to work with (Ruth, 2008).
If you are an addiction service provider or are referring a client to an addiction
program, it is important to ensure that the program’s content, pace and delivery are
compatible with the client’s abilities, needs and life circumstances, and that the service
is accessible. Identifying clients’ achievements and strengths, and reminiscing about the
past are appropriate therapeutic tasks, as is future life planning. Planning for the future
could involve determining new ways of spending time, rather than setting out employ-
ment or other goals.
The following best practices help to remove barriers to treatment, address age-
specific issues and ensure the best outcomes. These core principles have emerged from
clinical experience, formal evaluations and qualitative research of client feedback (Health
Canada, 2002).
prior to entry. Also, some programs may not allow clients to use certain medications,
particularly if they are mood altering, even if they are medically required. According to
the harm reduction philosophy, there is no requirement that the client admit to having
an alcohol or other drug problem. In the initial stages of treatment, the client may only
be willing or able to change the use of one substance, or none at all while addressing
other more immediate concerns. Treatment needs to focus not necessarily on the sub-
stance use, but on what the client identifies will make life better and more comfortable,
and make him or her more content.
Identifying a substance use problem can be challenging. While some older adults do not
connect their drinking or other substance use to their current problems, families and
even health care professionals often interpret this as “denial.” It is important to reframe
“denial” and understand that reluctance to recognize a problem can be related to fears
that revealing substance use will result in a loss of independence, or to feelings of shame
or stigma, which are especially strong in older generations. Identifying a problem may
be hampered by the attitudes of those around the older person; for example, family,
friends and even health and social service professionals may feel that substance use is a
private matter. As well, cognitive changes can affect insight, and some people may not
be used to thinking about or analyzing themselves. Ageism can be a factor when family
or care providers do not see the benefit harm reduction can play in enhancing an older
person’s life, and when they make comments like “What is it going to hurt at this stage?”
592 Fundamentals of Addiction: A Practical Guide for Counsellors
When possible, screening for at-risk alcohol use is best done by using the concept
of a standard drink and including questions about frequency of drinking; how much is
consumed on a typical drinking day; the circumstances of use (e.g., to help with sleep
or anxiety); whether there are days of the week when the person consumes more than
usual; whether the person may be driving, operating machinery or engaging in other
risky behaviour after drinking; and whether the person has experienced any negative
consequences that might be associated with alcohol use.
Several alcohol screening instruments may be used with older adults—most
commonly the Short Michigan Alcoholism Screening Test—Geriatric version
(SMAST-G), and the Alcohol Use Disorders Identification Test (AUDIT) (Oslin,
2004). However, these screening tests can have some limitations when used with
older adults, even if they have been validated with this age group (CAMH, 2008; Dar,
2006). Limitations include difficulty responding to items because of memory prob-
lems or cognitive impairment; not detecting binge drinking (Blazer & Wu, 2009);
and not having high validity with older adults, particularly older women (Adams et
al., 1996). Several other alcohol screening tests for older adults exist, including the
Alcohol-Related Problems Survey (ARPS) and a shorter version, the Short ARPS
(SHARPS) (see CAMH, 2008).
The Senior Alcohol Misuse Indicator ([SAMI], Busto et at., 2003) has been found
to work well as a more subtle health-focused approach.3 It asks the following questions:
1a. Have you recently (in the last few months) experienced problems with any of the
following:
changes in sleep?
drowsiness?
falls?
changes in appetite or weight?
dizziness?
difficulty remembering things?
poor balance?
1b. Have you recently (in the last few months) experienced problems with any of the
following:
feelings of sadness?
loneliness?
lack of interest in daily activities?
feelings of anxiety?
feelings of worthlessness?
2. Do you enjoy wine/beer/spirits? Which do you prefer?
3. As your life has changed, how has your use of (selected) wine/beer/spirits changed?
4. Do you find you enjoy (selected) wine/beer/spirits as much as you used to? Yes/No
3 Information about using and scoring the SAMI and other screening tools can be found in Improving Our Response to Older
Adults with Substance Use, Mental Health and Gambling Problems (CAMH, 2008).
Chapter 23 Older Adults and Substance Use 593
5. You mentioned that you have difficulties with______ (from answers to questions
1a and 1b). I am wondering if you think that (selected) wine/beer/spirits might be
connected? Yes/No.
There are few standardized instruments for screening problems related to using psy-
choactive medications (Health Canada, 2002). However, the following questions may be
helpful in determining whether a medication problem exists. Let the client know that
these questions refer to prescription, over-the-counter and health food supplements and
herbal remedies.
• Can you tell me the names of medications you are taking?
• What was [name or indicate the medication] prescribed for?
• How long have you been taking these medications?
• Do you take them regularly (at the recommended time)?
• Do you skip days or forget days?
• Do you ever have difficulty remembering when to take your medication?
• Does the pharmacy provide you with your medications in a dosette or bubble pack?
• Do you have difficulty opening medication containers?
• Do you ever use medications from another person?
• Do you have any difficulty reading the written directions on how to take the medication?
• Can you tell me the names of the medications (or pills) you are taking that were not
prescribed by a doctor?
Assessment
The purpose of an assessment is to help the client and the practitioner determine next
steps for treatment and assess risk. When an assessment is appropriate, the context will
help guide the process, such as the reason for the assessment, who has requested it,
where it is taking place, whether the client is a willing participant and whether he or she
is aware that the concern is substance use.
An in-depth assessment provides a critical opportunity to establish a trusting and
therapeutic relationship. The desired outcome may be simply that the older person will
continue with the service offered, enabling change to evolve based on his or her needs.
The initial presenting problem, or in some cases a crisis, may have to be dealt with
first. Often, this is not related to substance use, but to another health problem, a crisis
in the family or a change in living situation (e.g., loss of a spouse, impending eviction).
The counsellor should attend to the most immediate concern in order to engage the cli-
ent in a process of change. The substance use issue is best introduced when the client
is most receptive—preferably after the initial concern is attended to and a therapeutic,
caring relationship has developed.
594 Fundamentals of Addiction: A Practical Guide for Counsellors
While it is critical to be up front with the client and explain the treatment model,
sometimes clients are reluctant to engage with an addiction treatment agency. If this is
the case, request that the client meet with you once so you can explain the approach and
that you will focus on the issues most pressing to the client to start with, and will discuss
substance use later if he or she is comfortable doing so.
Older adults may find the assessment process intrusive or tiring, although they
may comply because they perceive the health care professional as being in a position
of authority. Some older adults may not be willing or able to complete forms or other
structured tests and will need time to “tell their stories.” Here are some suggestions for
simplifying and enhancing the process:
• Allow time to conduct an assessment over a number of contacts, rather than in one
structured, time-limited interview.
• Access information (with required consent) from other involved health professionals
to avoid repeating a questioning process that may feel invasive or tiring
• Listen closely to the client’s story, as you can gain much information that can be
applied to the formal assessment, including information that indicates a client’s
self-perception and coping abilities, and identifies areas that may require further
investigation.
• Be aware of language: some older adults may not have a high level of education; some
terms that may be common for a practitioner may be unfamiliar to an older genera-
tion; cognitive changes or impairment may affect the person’s ability to understand
complex sentences or longer words; and clients may lose the ability to understand
English if they learned it as a second language.
• Avoid common pitfalls such as “talking down” to clients, speaking to them as if they
are children, or ignoring them and conducting the interview through other caregivers
who may be present.
Sensory function: How well does the person see (e.g., read labels on medication con-
tainers, books, newspapers)? This knowledge reflects the person’s communication and
comprehension. How long since the last prescription for glasses? Has sense of taste
been lost? This could result in a loss of interest in diet. Assume some age-related hearing
loss: have hearing aids been prescribed?
Mobility: Can the person move about inside and outside, walk without aids, bathe and
dress independently, shop for himself or herself? Lack of self-care may be a physical
problem, not a self-esteem indicator. Living environment and lifestyle: Is the person
Chapter 23 Older Adults and Substance Use 595
happy in his or her living situation? Have there been housing problems because of
substance use? Can the person maintain his or her living environment? Are there fire
hazards or sanitation problems? Does the person live close enough to stores, buses, etc.?
Does the person go out? How often does he or she see other people?
Diet and nutrition: What are the person’s eating habits (e.g., does he or she eat alone)?
Does the person have a good appetite and enjoy food? How is food prepared and stored?
Does the person know the importance of good nutrition and its effect on daily living?
Losses: Has the person lost family, friends, physical health (hearing, sight), a job, role
in life or home?
Useful screening and assessment tools include the Beck Depression Inventory (Beck et
al., 1961) and Folstein’s Mini Mental Status exam (Folstein et al., 1975). The Geriatric
Depression Scale (GDS) is a commonly used tool for assessing depression in older
adults and is available in English, French and other languages (Yesavage et al., 1983).
Substance use counsellors can add these and other tools to their assessment protocols to
help identify the early stages of an underlying depression or dementia.
Physical health: Ask about sleeping patterns, weight change, disabilities and illnesses,
dizziness, foot care, digestion/elimination and dental problems, or difficulty with eating
596 Fundamentals of Addiction: A Practical Guide for Counsellors
because of dentures. Has there been a recent hospital admission? Has the person had
recent surgery? Is there a physical problem that has not been addressed? Is the person
in regular contact with a doctor?
Social support: Does the person have contact with family and friends? How much con-
tact does he or she have with other people? Does the person have close support or only
acquaintances? Knowing how the person’s support has changed will help identify strate-
gies to replace missing supports.
Alcohol and other drug use: How often and how much does the person drink alcohol?
Has the pattern of drinking changed (increased, decreased, periods of abstinence)?
Has drinking affected other areas of functioning? What medications (prescribed,
over-the-counter or herbal remedies) are being used? Has the person ever experienced
withdrawal? How did he or she cope with withdrawal? Is the person afraid to stop using
alcohol or other drugs? Does he or she smoke?
Abuse: Physical, emotional, financial or other forms of abuse may need to be assessed.
Is neglect a factor? Drinking problems can affect self-determination, and the ability to
assess personal risk can be a problem for both the victim and the perpetrator of the
abuse.
Finances: Is the person managing his or her finances? Is there concern about the
person’s ability to manage finances (competence to manage finances where there is
evidence of cognitive decline)?
Risk: Assess the level of immediate risk. Does the person drive? Is he or she at risk of
fire due to careless smoking habits? Is there a risk of suicide? Risk of falls? Is the person
extremely frail? Does he or she wander or get lost?
Literacy and speech: Does the person have reading or writing problems? Are the
problems a result of limited education or loss of ability? Is the person comfortable com-
municating in English or French? As memory problems develop, people tend to revert
to their original language. Are there other issues that might limit the person’s literacy or
speech pattern, such as a stroke?
Culture: Being sensitive to cultural diversity helps build trust. Be especially attentive to
cultural values around age, gender, education, social time and position in the family.
Communication may be a challenge depending on language and literacy levels. Stigma
and shame of addiction may have a greater impact in some cultures and can affect self-
esteem and the ability to make changes. Cultural differences may make it very difficult
to meet with a person individually, or may mean that there is close familial support to be
drawn on. Culture should be understood in the broadest sense: all of us are influenced
by factors such as our beliefs, ethnicity, age, sexual orientation and religion.
Chapter 23 Older Adults and Substance Use 597
Treatment
Older people may represent a wide range of ages and stages of problem use in treatment.
In spite of this remarkable diversity, people whose substance use problems are classified
as early onset or late onset form two fairly distinct groups. They share some similarities
in terms of the developmental tasks of aging, but also have different needs and require
different treatment approaches.
For people whose substance use problems are intermittent, or who have relapsed,
treatment must be tailored to the person and will depend on his or her symptoms. It is
encouraging to note that there is no difference in treatment outcomes between chronic
and late-onset drinkers (Graham et al., 1995).
When working with older adults with concurrent disorders, the approach will also
depend on their symptoms, and will mean addressing the substance use and mental
health issues at the same time or over time, once the most pressing issue is stabilized.
Withdrawal
Some older people may be abstinent for one reason or another when they enter treat-
ment, often in response to an acute injury or illness associated with their substance use.
Signs and symptoms that may indicate a drug withdrawal in a younger person do not
necessarily apply to an older person. For example, among older adults, falls, tremors,
memory problems and hallucinations may not be symptoms of withdrawal. Acute confu-
sion, behavioural changes, fluctuating levels of consciousness and changes in cognition
indicating delirium may be in response to withdrawal from alcohol or other substances
such as benzodiazepines. Withdrawal is better tolerated with gradual tapering unless the
person is experiencing a health crisis.
Withdrawal in older people, particularly with early onset, is more severe and
protracted and can last up to 10 days rather than the more usual three days. Seizures
may be more likely. Psychoactive substances can harm the physical system, so it is
important to be aware of the client’s physical condition while also focusing on with-
drawal from the drug. The older person may have to withdraw from alcohol and other
substances under the supervision of a physician with appropriate medication avail-
able, rather than in a non-medical detoxification setting. For older people, very slow
tapering off mood-altering medications is recommended, as it causes less distress and
allows the person to plan for coping without the substance. It is invaluable to have the
support of the doctor who has prescribed the medication and who can provide consul-
tation and oversee other medical needs. If the doctor does not recognize the substance
use as a problem, it may be necessary to seek other medical advice and support for the
process of withdrawal.
Due to post-acute withdrawal effects, it can take weeks or even months for
confusion to clear, which will affect the pace of treatment and make it necessary
to repeat information and provide it in different formats. Many of the physical,
598 Fundamentals of Addiction: A Practical Guide for Counsellors
sychological and social problems associated with long-term substance use will still
p
be active. These problems range from physical illnesses such as diabetes, arthritis,
digestive disorders, heart disease, cancer and respiratory diseases (many who drink
also smoke) to the social and psychological problems of depression, isolation, loneli-
ness and low self-esteem.
Early Onset
People with early onset substance use problems may enter treatment in their 50s, but
have problems more often associated with older people (e.g., chronic illnesses, isolation,
multiple losses). For this reason, most addiction programs for older adults accept clients
as young as age 55.
The early onset client usually presents for treatment in the chronic stage and often
presents with major problems, such as poor health, chronic illness, mobility issues,
loneliness, low self-esteem, poor coping mechanisms, isolation, depression and loss of
meaning in life. These problems often create a sense of helplessness and hopelessness
and require a specialized holistic intervention that responds to the person’s physical,
psychological, emotional and spiritual needs, as well as to the alcohol or other drug use
issues.
Older adults who still use addictive substances often use less than they did when
they were younger. But this can mislead the client and others to believe that the severity
of the problem has decreased, when in fact the person is still using at hazardous levels
for his or her age and physical condition.
Clinicians may find that the client’s income is spent on alcohol, that he or she
is not eating properly, is neglecting self-care or is not paying the rent, therefore risking
eviction. It is helpful to know whether the client with early onset problems has tried
treatment before, what was and was not helpful, and whether the person has concerns
and fears about trying treatment again.
Physical needs
Alcohol affects every system of the body. It adversely affects appetite and digestion,
sleep patterns, and nerve, muscle and joint functioning. Poor nutrition, inadequate
sleep and lack of exercise over many years weaken the person’s physical condition and
predispose him or her to chronic illnesses. Long-term alcohol use can cause or exacer-
bate diseases such as hypertension, diabetes and disorders of the digestive system, as
well as cognitive changes.
Psychological needs
If the client has had drinking problems most of his or her adult life, the drinking may
have interfered with or prevented the person from completing earlier developmental
tasks, such as pursuing his or her life’s work, becoming productive in a job, developing
Chapter 23 Older Adults and Substance Use 599
Social needs
Social isolation is a major problem for clients with early onset problems. The physical
and psychological limitations mentioned above affect the person’s ability to form and
maintain friendships. Compounding this is the loss of family and friends because of
past behaviour.
600 Fundamentals of Addiction: A Practical Guide for Counsellors
Social isolation can be a problem for many older people as they lose the company
of work colleagues, children who have left home and partners or other close friends who
have died. For the person with early onset substance use problems, these changes often
occur earlier in life and are more extensive than for others of a similar age. Friends
and family have been replaced with “drinking friends” and places, and drinking friends
may have died. The long-term effects of substance use may have decreased the ability to
actively participate in relationships, and communication skills may be underdeveloped.
The person may have limited energy for social activities, and underlying depression can
affect the ability to be an active participant.
Relationships may be limited to those who also drink or use other drugs. Find out
how the person obtains the substances if he or she is not able to get out, as this reliance
on others may increase susceptibility to financial and other forms of abuse.
Social isolation promotes feelings of loneliness and fear, as well as anxiety when
with people. The person must be helped in treatment to gradually rebuild those social
skills—skills that are easily lost when they are not actively used. A relationship with one
caring person is often a good place to start, followed by encouraging the client to gradu-
ally extend his or her circle of contacts. Encourage the client to join a group for older
adults. Access to the community offers important opportunities for socializing.
Financial needs
Older adults may be affected by low income and poverty and the additional challenges
that face low socio-economic groups. Pensions and disability insurance are not always
sufficient to cover the increasing costs of rent, food or medication. Help with budgeting,
connecting with community resources such as food and transportation programs, and
ensuring the client receives all applicable financial supplements is an important aspect
of a holistic approach to treatment.
Spiritual needs
The spiritual issues associated with long-term use of alcohol and other drugs usually
concern the meaning of life and feelings of guilt and remorse. Older clients may feel
they have wasted their lives, that life was particularly hard on them, or that they deserve
their hardship because of things that have happened related to their substance use.
Freedom to talk about these issues is a necessary part of treatment. Understanding
and accepting their substance use problem can help older clients feel less guilty and
accept the personal strengths that have allowed them to survive the negative conse-
quences of substance use. This might also be the opportunity the person needs to forgive
others who brought them pain and sadness.
Finally, it is important to consider the effect of other people’s attitudes toward the
person with a substance use problem. Frequently this attitude is extremely pessimistic.
Family and caregivers have observed many years of substance use, promises made
and broken, efforts to stop using followed by even greater use. Attempts to control the
Chapter 23 Older Adults and Substance Use 601
s ubstance use are often brief, and then the cycle begins again. The family reaches the
end of its coping ability and moves away in an effort to reclaim its own health. Eventually,
friends and colleagues look on from a distance, and it is left to the professional caregiver
to offer support and try once again to inspire hope.
Without understanding and accepting the chronic relapsing nature of the
problem, even the health care professional may give up. If this happens, the client’s
feelings of hopelessness and helplessness are reflected by others. Using creative
interventions to engage the person in a process of change will break this impasse.
It is essential to find areas of change that are important to the client and in which
he or she feels some confidence for success. As previously discussed, the focus of
change initially is often not substance use. However, as people become stronger, both
physically and emotionally, and with support, they can change their use of alcohol
and other drugs.
Late Onset
People with late onset problems usually enter treatment at a later age than early onset
clients, commonly 65 to 75 years or older, with fewer years of substance use problems
and fewer associated losses. Thus, these clients present quite a different picture than
people with early onset problems. Often, they have lived a full life, having successfully
602 Fundamentals of Addiction: A Practical Guide for Counsellors
managed a career and family. The person has developed skills and interests during the
adult years, and family ties are more likely to be intact.
A late onset substance use problem can develop through two routes. Some people
may have been social drinkers all their lives. After retirement, with more leisure time
and drinking-related social activities, and fewer work-related constraints, their drinking
may escalate. Increased use, combined with greater physical sensitivity to the effects of
alcohol and other drugs as people age, is sufficient to initiate major health and possibly
other problems related to substance use.
The other route to late onset problems is when an older person self-medicates
with alcohol or other psychoactive drugs, or is prescribed psychoactive drugs to alleviate
stress caused by a crisis, physical ill health, the loss of someone close or other age-related
stresses. Benzodiazepines are frequently prescribed to help people, particularly older
women, cope with these losses or stressors, putting them at risk of psychological and
physical dependence over time.
Like early onset problems, late onset problems may affect many dimensions of
people’s lives—physical, psychological, social and spiritual. However, late onset prob-
lems may present somewhat differently.
The person finds it hard to recognize and accept that he or she has crossed the
line from social to harmful use, as is the case with younger people. In addition, symp-
toms or problems associated with heavy alcohol or other drug use (e.g., confusion,
disorientation, recent memory loss, tremors, inflammation of joints, gastritis, hyperten-
sion, depression, heart disease, sleep disturbances) are often erroneously accepted as
“normal” signs of aging. Thus, the client, family and professional caregivers may fail to
identify the problem in its early stages.
Important treatment approaches for older adults include providing education
about substance use, attending to the presenting crisis, fostering healthy ways of dealing
with distress and providing support.
If the client is dealing with a crisis, it is important to identify the stressor and
attend to it along with the substance use problem. Crises in later years most often per-
tain to loss (e.g., of a life partner, friends, pets, health, independence, autonomy, status).
As one client aptly described it after reading about the stages of grief, “I am perpetually
in several stages of grief at the same time. I never get out of it.” Feelings of acute fear,
anger, sadness and anxiety often accompany the experience of loss. Cognitively, the per-
son may fluctuate between preoccupation with the object of loss and denial of it. Multiple
losses and consequent grief are best responded to by providing support and social con-
tact, and by offering opportunities to reflect, reminisce and openly grieve without the
use of medication. Careful listening with empathetic responses allows the person to feel
and express grief safely.
Chapter 23 Older Adults and Substance Use 603
Case management
Agencies that provide services to older adults benefit their clients by connecting and
collaborating with one another because the complexity of the issues older adults face
usually requires links with a variety of resources. Building partnerships between service
providers, and consulting on behalf of individual clients greatly improves services and
limits the possibility of misdiagnosis. Helping with the practical aspects of a client’s
situation and supporting the person’s understanding of the different services available
builds trust and enhances engagement with the client.
A program that focuses on substance use problems may not meet all of the client’s
needs, in which case referrals to other agencies may be appropriate. For example, you
may need to refer someone for grief counselling.
Concurrent disorders
Clients can be helped to achieve stability using a collaborative approach between men-
tal health and addiction services and, where possible, involving the client’s physician.
Addressing the most urgent issues first will allow for stabilizing one area, then moving
on to address other areas, for example stabilizing alcohol use before addressing under-
lying depression. Applying a holistic approach that addresses many aspects of lifestyle
change means that change in one area will affect other areas of the client’s life.
Integrated services
A push toward integrating services allows a much greater opportunity for clients of any
age to access services and for service providers to benefit from one another’s expertise.
Innovative partnerships can be created. In one local example,4 a full-time geriatric addic-
tion specialist (a social worker who has clinical training and expertise working with older
adults) has been embedded into a specialty community-based geriatric mental health
outreach team consisting of geriatric psychiatrists and other transdisciplinary workers.
Clients receive a full geriatric mental health assessment, including addiction screening,
followed by treatment and case management in a harm reduction model. Services are
provided to clients in their own environment (e.g., house, retirement home, long-term
care home) and at a pace that meets their needs. Working in close partnership, the men-
tal health outreach program and the addiction program collaborate to enhance the local
continuum of services and supports available to older adults and their families affected
by concurrent disorders. They also facilitate geriatric addiction and mental health cross-
training within and beyond the program.
4 This partnership involves the Halton Geriatric Mental Health Outreach Program (St. Joseph’s Healthcare Hamilton) and
Halton ADAPT (Alcohol, Drug and Gambling, Assessment, Prevention and Treatment Services). For information about each
program, visit www.hgmhop.ca and www.haltonadapt.org.
604 Fundamentals of Addiction: A Practical Guide for Counsellors
Conclusion
With a burgeoning older adult population, the new face of substance use problems in
aging baby boomers, and the fact that older adults with substance use problems have
long been underserved, addressing substance use problems with this population has
become a clinical imperative. Addiction counsellors need to prepare to serve older adults.
In addition to understanding the unique treatment needs of older adults and applying
606 Fundamentals of Addiction: A Practical Guide for Counsellors
long-honed best practice approaches, this also means consulting and collaborating with
the many community-based organizations that serve older adults in order to address the
needs of individual clients.
We hope this introductory chapter has sparked an interest and passion in serving
older adults and will inspire you to develop comfort, proficiency and enthusiasm for
working with this population.
Practice Tips
Resources
Publications
Center for Substance Abuse Treatment. (2012). Substance Abuse among Older Adults.
Treatment Improvement Protocol (TIP) series 26. Rockville, MD: Author. Retrieved
from www.ncbi.nlm.nih.gov/books/NBK64419/pdf/TOC.pdf
Chapter 23 Older Adults and Substance Use 607
Centre for Addiction and Mental Health. (2008). Improving Our Response to Older Adults
with Substance Use, Mental Health and Gambling Problems. Toronto: Author.
Health Canada. (2002). Best Practices: Treatment and Rehabilitation for Seniors with
Substance Use Problems. Ottawa: Author. Retrieved from www.hc-sc.gc.ca/hc-ps/pubs/
adp-apd/treat_senior-trait_ainee/index-eng.php
Registered Nurses’ Association of Ontario. (2003). Nursing Best Practice Guideline: Screening
for Delirium, Dementia and Depression in Older Adults. Toronto: Author. Retrieved from
http://rnao.ca/sites/rnao-ca/files/Screening_for_Delirium_Dementia_and_Depression_
in_the_Older_Adult.pdf
Internet
Alzheimer Knowledge Exchange Resource Centre—Mental Health, Addictions and
Behavioural Issues
www.akeresourcecentre.org/MentalHealth
Canadian Coalition for Seniors Mental Health
www.ccsmh.ca
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Chapter 24
When Anthony was three years old, an Indian Agent (an official representa-
tive of the federal government to First Nations communities) removed him
from his birth home in a First Nations community in northern Ontario. He
later attended a residential school for 10 years, where he was physically and
sexually abused by his caretakers. He was regularly reminded of the primi-
tive nature of his culture, customs and language. When the school closed,
Anthony was placed into the care of the Children’s Aid Society because his
family was deemed incapable of providing for his needs. Until he was 18, he
remained in care and lived in numerous group homes and foster homes. He
did not complete high school and was regularly in conflict with the law due
to his substance use issues. At age 47, after several periods of incarceration,
Anthony has decided he no longer wants substances to control his behaviour
and has begun addiction treatment.
There is growing evidence that problem substance use among Aboriginal people
is symptomatic of broader systemic issues. As this case scenario suggests, the coloniza-
tion of Aboriginal people has resulted in personal, familial and community trauma, and
substance use may be one manifestation of this trauma. Substances are often used as
“self-medication” to mask such mental health problems as depression and anxiety aris-
ing from experiences of colonization.
Both Aboriginal and mainstream service providers are recognizing that these
issues can be addressed by implementing holistic treatment strategies. An Aboriginal
holistic approach can also be considered in combination with western intervention
strategies. Such efforts build on indigenous healing methods and help both the person
and the community to sustain long-term health. Culturally congruent service delivery
requires the counsellor’s commitment to learning about a client’s cultural history,
values, beliefs and norms, and to joining him or her in a change process. This process
may involve engaging other community members, including Elders, in the healing
process. Healing thus becomes not just an individual process, but a community devel-
opment effort.
612 Fundamentals of Addiction: A Practical Guide for Counsellors
The term Aboriginal generally refers to the original inhabitants of North America and
their descendants. However, while most people or communities define themselves as
belonging to a particular ethnic group based on place of birth or residence, language,
cultural practices and beliefs, the definition of Aboriginal has largely been imposed by
government statute.
Chapter 24 Colonization, Addiction and Aboriginal Healing 613
Statutory designations
Métis
Métis was another designation under the Indian Act. It refers to people of mixed
Aboriginal and European descent. In order to reduce the number of people labelled
“Indian,” by 1880, people of mixed blood no longer met the criteria to be registered
as Indians (Frideres, 1998). The federal government relinquished responsibility to the
provinces for all Métis people. As a result, many Métis formed their own distinct com-
munities and developed political and economic institutions reflecting their distinct
heritage (Frideres, 1998).
However, on January 8, 2013, the Federal Court of Canada ruled that Métis and
non-status Aboriginal people are considered to be “Indian” under the Constitution Act,
1867, and fall under federal jurisdiction. The decision did not address whether the fed-
eral government has a fiduciary responsibility to the two groups, but the assumption is
that such responsibilities would flow through the ruling (Daniels v. The Queen, 2013).
Inuit
Inuit people (historically referred to as “Eskimo”) form the fourth group of Canada’s
Aboriginal people. Although they are referred to collectively as Inuit, language, cultural
practices and belief systems are distinct within many Inuit communities. Although after
1867 the Inuit were placed under federal jurisdiction, they continue to be distinct from
those defined as “Indian” under the Indian Act.
Increasingly, Canada’s Aboriginal people are asserting their right to identify mem-
bership from within their own communities, rather than allowing membership to be
imposed. As this new millennium unfolds, Aboriginal people are increasingly renewing
ties with their families of origin and developing links to their historical roots.
1 In 1985, Bill C31 amended the Indian Act to allow women with non-Aboriginal husbands and their children access to
benefits, with the consent of the band. It also restored the rights of those who had been considered “enfranchised” through
post-secondary education, employment or participation in a federal election.
614 Fundamentals of Addiction: A Practical Guide for Counsellors
table 24-1
Size and Growth of the Population by Aboriginal Identity, Canada, 1996 and 2006
% CHANGE
FROM 1996
ABORIGINAL IDENTITY 2006 TO 20063
Métis1 389,785 91
Inuit1 50,485 26
The social conditions described above exist as a result of the historical relationship
between Aboriginal people and the federal government. The Indian Act established
the federal government as the “guardian” of regulated status Indians; Inuit were not
included because they were not considered “Indian” at the time the Act was created. The
Act established a power relationship between the government and Indians; for example,
the Act:
• established where Indians could live
• determined what traditional ceremonies they could practise
• prevented them from leaving or travelling off the reservations without written approval
• determined what support they would receive from government agencies
• prescribed how they could interact with others outside of the community (Mawhiney,
1994).
Residential schools
The Act also allowed for the institutionalization of Aboriginal people in a manner
unrivalled in Canadian history. Recognizing the importance of education in the trans-
mission of social values, the government used various religious institutions, including
the Roman Catholic, United, Presbyterian, Salvation Army and Anglican churches,
616 Fundamentals of Addiction: A Practical Guide for Counsellors
to force widespread social change on Aboriginal communities. From 1870 until the
last residential school closed in 1996, an estimated 150,000 Aboriginal people were
placed in residential schools across Canada (Commission to Promote Sustainable
Child Welfare, 2011).
An estimated 80,000 residential school survivors are still living (Truth and
Reconciliation Commission of Canada, 2012). The Assembly of First Nations (1994)
chronicled the role of residential schools in relation to changing government policy
concerning Aboriginal people. It found that the government used the schools, over time,
for three different purposes: assimilation, segregation and integration. The 1996 Royal
Commission on Aboriginal Peoples (RCAP, 1996a, 1996b, 1996c) and the more recent
Truth and Reconciliation Commission (2012) chronicled the abuses experienced by stu-
dents and the resulting impact on individuals, families and communities.
In 1969, the federal government withdrew from its partnership with the churches
in residential schools. The last residential school in Canada—the Gordon Residential
School in Saskatchewan—closed in 1996 (Claes & Clifton, 1998). With the integration of
Aboriginal children into the public school system, child welfare became the new instru-
ment of government assimilation policies.
Child welfare
Many studies indicate that a disproportionate number of Aboriginal children were taken
into care by provincial child welfare authorities (Canadian Council on Children and
Youth, 1978; Hepworth, 1980). Other studies identify how the child welfare system deci-
mated Aboriginal communities across Canada (Johnston, 1983).
From 1951 until the late 1960s, the federal government negotiated with the prov-
inces over the cost of providing child welfare services to First Nations communities. The
interim agreement struck between the two levels of government provided that the needs
of Aboriginal children would be met only if the government staff involved reported a
life-or-death situation (Timpson, 1990).
No preventative measures were implemented to minimize the impact of this
funding vacuum, and families faced a plethora of social issues without resources. In
response, the provincial governments adopted a crisis intervention approach to child
welfare. Johnston (1983) introduced the term “the ’60s scoop” to describe the period
when an overwhelming number of Aboriginal children were permanently removed from
their homes and communities and placed in foster care or made Crown wards (Andres,
1981; Johnston, 1983; Richard, 1989; Timpson, 1990).
The 1996 Royal Commission on Aboriginal Peoples concluded that First Nations
children are six times more likely to be placed in care than children from the general
population. To compound this situation, the Commission found that placement of
children in non-Aboriginal foster care homes has been as high as 90 per cent in some
provinces (RCAP, 1996a). Children sent for adoption to the United States and Europe
felt even more intense isolation from their families and their Aboriginal identity (Bagley
et al., 1993). Lederman (1999) observes:
Chapter 24 Colonization, Addiction and Aboriginal Healing 617
Intergenerational Trauma
If you subject one generation to that kind of parenting and they become
adults and have children, those children become subjected to that treatment
and then you subject a third generation to a residential school system the
same as the first two generations. You have a whole society affected by isola-
tion, loneliness, sadness, anger, hopelessness and pain. (p. 17)
Gagne (1998) identified the residential school experience as a key component within
the cycle of trauma. In a discussion of the sociological causes of intergenerational trauma
among First Nations people, he concluded that the effect of the residential school experi-
ence has been felt beyond the generation that attended the school: “At least two subsequent
generations were also ‘lost.’ The children of these students became victims of abuse as
their parents became abusers because of the residential school experience” (Gagne, p. 363).
Both mainstream and Aboriginal health practitioners have challenged the
Diagnostic and Statistical Manual of Mental Disorders (American Psychiatric Association,
2000) diagnosis of posttraumatic stress disorder (Waldram, 1997), which ignores the
role of culture and intergenerational or community trauma and does not connect a
person’s experience to broader, systemic conditions that perpetuate and exacerbate the
problem. According to Waldram (2004), “Approaching trauma through DSM by and
large precludes a meaningful discussion of culture, and virtually excludes notions of
history and collective, community or cultural trauma” (p. 235). Similarly, Root (1992)
suggests that racism and discrimination compound the impact of direct or personal
trauma by allowing for the oppression of a community. This insidious trauma becomes
“normalized” to the point that the group does not realize that social conditions continue
to be oppressive. Rather than focusing on a single event that makes the person feel
unsafe, this insidious trauma leads to a view that the world is an unsafe place for a whole
group of people (Root, 1992). Kirmayer and colleagues (2000) concur that the focus on
individual trauma does not adequately reflect the Aboriginal experience:
Chapter 24 Colonization, Addiction and Aboriginal Healing 619
Cultural Competence
Braveheart-Jordan & De Bruyn (1995) discuss the need for cultural competence in work-
ing with women in Aboriginal communities across North America. Their work has
demonstrated that effective therapeutic relationships require knowledge of the history
and values of a community. The counsellor must not only understand the nuances of a
person’s cultural background, but must also actively explore the client’s cultural com-
munity—both with the client, and by approaching members of the community.
To work effectively in Aboriginal communities, it is important to find out how
closely individuals, families or communities identify with Aboriginal values. Morrissette
620 Fundamentals of Addiction: A Practical Guide for Counsellors
and colleagues (1993) have developed a practical framework for working with Aboriginal
people; they suggest asking clients to identify themselves on a cultural continuum that
describes their cultural awareness, ranging from “traditional” to “neo-traditional” to
“non-traditional.”
On this continuum, traditional Aboriginal people closely regard the teachings
of Elders and acknowledge a strong interdependence between people and the earth or
nature. For a client who identifies as traditional, referral to an Elder or other traditional
expert may facilitate that client’s personal development. Counsellors can also help by
facilitating access to traditional healing methods such as the pipe ceremony, storytelling,
traditional medicines, sweat lodge ceremonies, vision quests, shaking tent ceremonies
and teaching circles.
Neo-traditional Aboriginal people identify with a blend of traditional spirituality
and practices that reflect the dominant society and Christian beliefs. Counsellors can
support clients who identify as neo-traditional through a blend of traditional teachings
and conventional approaches to substance use treatment. The role of the counsellor is
to facilitate the person’s healing and recognize his or her need to become a more “bal-
anced” community member.
Non-traditional Aboriginal people have adopted most of the norms and practices
of the dominant society. They may experience ambivalence as a result of internal conflict
between dominant values and exposure to Aboriginal values, and may feel culturally
alienated because they do not fit into either the dominant or Aboriginal society. The
client may need the counsellor’s help to discover his or her culture and heritage, which
could involve working with an Elder. However, some Aboriginal people may not identify
a role for their traditional culture in the treatment process. The treatment choice always
rests with the client. Following what the client wants from treatment reflects a strong
traditional value, as well as a mainstream one.
Traditional healing strategies are gaining recognition in mainstream health care and
social service settings. Waldram (1997) notes that Aboriginal people are regaining
control of the healing process in mainstream treatment through the use of traditional
approaches that include the medicine wheel (to guide the process), sweat lodge ceremo-
nies, healing circles and sweet grass ceremonies. Healing centres, such as Poundmaker’s
Lodge in Alberta, affirm the value of Aboriginal people controlling their own healing
processes.
Role of Elders
Increasingly, Elders and traditional healers are being recognized for their critical role as
part of a client’s treatment team; their respected place in their communities means that
their participation sanctions the healing process (Cross, 1986). The traditional role of
Chapter 24 Colonization, Addiction and Aboriginal Healing 621
Community empowerment
In their work addressing abuse in Aboriginal communities in northern Manitoba, Duck
and colleagues (1997) recognized the need for a community-based approach to healing
in Aboriginal communities. They entrenched their work in community empowerment:
“A key aspect of healing communities is the recapturing of community values: rebuilding
the family, respecting the wisdom of the Elders in sharing essential teachings, allowing
women and children to voice their opinions, and recreating a strong nation” (p. 2).
Stories
It is also important to be able to take other teachings, such as those of Nanabush, a
character in an Ojibway tale, and explore the client’s problems through these teachings.
In Ojibway teaching, Nanabush was sent to the people to teach about the mystery of life
through his adventures. It is through such stories that Ojibway people learn about our
values and place within creation.
When these teachings are incorporated into therapy, the client not only receives
the therapeutic interpretation; he or she also learns about the cultural teachings. But
in order to use these teachings, the clinician must know how particular ones might
apply to the client’s situation. The clinician gives the client the teaching as a “gift” and
encourages the person to meditate over the teaching and how it might apply to his or
her life. The client can then choose whether or not to share his or her interpretation or
understanding of the teaching.
This approach may seem at odds with the therapeutic intervention, but by forcing
the client to give an interpretation, the clinician would be interfering, and potentially
putting his or her own values or reflections on the teaching, rather than deferring to
what it means for the client. (See the table in Appendix A under the section called “non-
interference.”) The client most likely has thought about the teaching and may not be
ready to discuss it. In my practice, I have found it best to assess the client in terms of
culture readiness before using Nanabush teachings.
622 Fundamentals of Addiction: A Practical Guide for Counsellors
The blending of traditional healing and western assessment and treatment processes is
gaining recognition in mainstream institutions, such as the Centre for Addiction and
Mental Health (CAMH) in Toronto. CAMH’s urban Aboriginal Services links western
approaches to assessing and treating substance use and mental health concerns with tra-
ditional healing strategies. The services are provided under the guidance of a community
advisory committee, which consists of Aboriginal agencies and non-Aboriginal services
that have many Aboriginal clients. A team of therapists and an Elder visit both mainstream
and Aboriginal agencies to provide intensive therapy and help link Aboriginal people to ser-
vices in the community. CAMH offers healing circles, talking circles, one-on-one support
from an Elder, individual therapy sessions (pre-treatment and aftercare), a 21-day inpatient
treatment cycle for men and women and sweat lodge ceremonies. The team also shares
information about traditional healing strategies and cultural norms and values with other
CAMH staff, as well as developing culturally congruent assessment and treatment skills.
In partnership with First Nations communities, the northern Aboriginal team
provides clinical mentorship and capacity building, facilitates access and transitions to
CAMH programs and supports training and research strategies and applications.
Depending on where the client identifies on the cultural continuum, the therapist
needs to consider with the client other programs, including non-indigenous ones, that
may support the client’s healing journey. Broadening the client’s choices allows both
cultural reintegration and rediscovery of the positive aspects of the client’s identity as
an indigenous person, linked to centuries of tradition and wellness based on balance
and wholeness. It also facilitates access to the full diversity of conventional and comple-
mentary healing and health approaches, while respecting and encouraging the client’s
potential for continuing change and growth. Rooted in these foundations, recovery
becomes an ongoing and constructive process.
This range of treatment approaches is important not just for Aboriginal people,
but also for families and communities, and for the systems of care and support that are
designed to support them. System building has been recently manifested in important
work led by a partnership of Aboriginal, government, community and academic agencies
across the country. Together, they produced Honouring Our Strengths (Health Canada et
al., 2011), which offers a holistic model of integrative care, starting with health promo-
tion and including early identification, secondary-risk reduction, active treatment and
specialized interventions, all joined by care facilitation. (The model is presented graphi-
cally in Appendix C.) Such a model provides a template against which current systems
resources and gaps can be identified, and a map on which systems growth and develop-
ment can be planned and evaluated.
All too often, clinicians must help change happen one case at a time, usually with-
out a broader system of support to draw from. Even if change can only happen for one
person, one family or one community at a time, the ability to do change work successfully
is radically enhanced if the system supports are there to empower and facilitate that action.
Chapter 24 Colonization, Addiction and Aboriginal Healing 623
Conclusion
A growing number of Aboriginal people are moving into urban centres, seeking both
health care and new life opportunities. Given the high rates of mental health and addic-
tion issues within Aboriginal communities, health care providers must be prepared
to support Aboriginal people in a way that recognizes their unique history within the
Canadian experience. In order to effectively meet the needs of Aboriginal people with
substance use and/or mental health issues, counsellors and health care agencies must
understand the Aboriginal world view. History has played a critical role in the experi-
ences of Aboriginal people: intergenerational trauma is rooted in public policies related
to the Indian Act, and experiences with the residential school system and child welfare
authorities. These experiences have left a legacy of individual, family and community
distress. Assessment and treatment strategies must be based on this knowledge and pro-
vide choices to Aboriginal people around their own healing processes. These indigenous
processes must form the root of any healing strategy, and cannot be employed simply as
an adjunct to western healing methods.
624 Fundamentals of Addiction: A Practical Guide for Counsellors
Practice Tips
Resources
Internet
Aboriginal Canada Portal
www.aboriginalcanada.gc.ca
Aboriginal Healing Foundation
www.ahf.ca
Aboriginal Nurses Association of Canada
www.anac.on.ca
Commission on First Nations & Métis Peoples and Justice Reform
www.justice.gov.sk.ca/justicereform/
First Nations Child and Family Caring Society
www.fncaringsociety.com
Chapter 24 Colonization, Addiction and Aboriginal Healing 625
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Chapter 24 Colonization, Addiction and Aboriginal Healing 629
Appendix A
table 24-2
Cultural Value Conflict Areas
MAINSTREAM ABORIGINAL
Family
The person is perceived as a separate The person is perceived in the context
entity. of his or her family.
Individual responsibility is considered Involvement and dependence on family
important. is encouraged.
Decision making must involve the Decision making must involve the
person affected as much as possible. older, respected members of the family.
Family is usually defined as biological Family consists of biological parents,
parents and their offspring (nuclear their children, grandparents, aunts
family). and uncles (extended family). A child’s
cousins may be viewed as sisters and
brothers.
Acceptance of others
People relate to others in terms of their Native people usually relate to other
roles (e.g., their job). people in terms of the whole person.
People do not need to like or agree People tend to accept or reject others
with someone to use his or her completely and have difficulty working
services (e.g., student and teacher). with those they have rejected.
Assertiveness, directness, eye contact Directness and assertiveness are
and a firm handshake are signs of a offensive. In interpersonal relations, a
confident, trustworthy person. person must be patient, humble, quiet
and respectful, especially toward older
people.
Social relations
Differences in status and rank are Differences in status are minimized to
noted and stressed. make others feel comfortable.
Communication follows predictable, An informal style of communicating is
formal steps to make others feel used to make others feel comfortable.
comfortable.
630 Fundamentals of Addiction: A Practical Guide for Counsellors
MAINSTREAM ABORIGINAL
Relationship to nature
Humankind is rational and can Nature guides and rules humanity.
construct machines and develop Humans must be accepting of such
techniques to solve problems. things as disease and suffering. Nature
is the Creator. Nature is us. Nature is
everything.
Time
Time is perceived in terms of the clock Time is perceived in terms of the right
(e.g., supper is at 5:00 p.m.). time to do something (e.g., supper is
Time moves quickly from past to when you eat.)
present to future; one must keep up Time moves slowly; people must
with time and use it to change and integrate themselves with the
master one’s environment. environment and adapt to it rather
than change it.
Children
Some children are “planned,” while All children are gifts from the Creator
others may be viewed as an “accident” and are valued, regardless of the
or unwanted. circumstances of their birth.
Children belong to the biological Children are members of the
parents, who take primary community, and all members are
responsibility for their care. responsible for them.
Young adults are expected to leave Adult children feel little pressure
home and become independent. to leave home and establish an
Corporal punishment is often used independent household.
in an attempt to control a child’s Children learn through direction and
behaviour. instruction.
Shaming and teasing are commonly Children learn through modelling and
used to control a child. observation.
Older adults
Because older people are no longer Elders are held in high esteem and are
economically productive, they are not often asked for advice and guidance.
highly valued. They are expected to be wise and
understanding.
Non-interference
Giving advice, exerting influence and People are allowed to explore their
providing direction are important roles environment and make decisions
for people as they mature. without direction and interference.
A person receiving advice is expected Any interference is perceived as rude,
to accept it in good grace. bad behaviour. Power or dominance
over another is not acceptable.
Chapter 24 Colonization, Addiction and Aboriginal Healing 631
MAINSTREAM ABORIGINAL
Competition
Competition between people or groups Non-competition is valued, as it avoids
is seen as healthy and good for the intra-group rivalry, prevents “showing
person’s development, as well as for off” and promotes the family, clan or
society. tribe over the individual.
Sharing
Acquiring material goods is a sign of Sharing with others is a sign of honour
success and power. and respect for the person and the
The status of a person or family is group.
enhanced in the community by the Survival of the family, clan and tribe
accumulation of goods and wealth. is promoted. No person is better off
or more powerful than others in the
group.
Language patterns
Speech is loud and fast with frequent Speech is slow and soft with few
interruptions. interjections.
Responses to others are quick, using Responses to others are delayed, with
direct eye contact. very little eye contact.
Verbal skills are highly valued. Non-verbal communication is highly
regarded.
Self
A person learns to control himself or A person participates only when
herself through trial and error. certain of his or her ability.
Aggressive use of self and competition People allow others to go first to learn
with others are strengths. from them.
Value is placed on controlling the Individual privacy and non-interference
environment and other people, as well are highly regarded.
as one’s own behaviour.
Adapted from Brant, C. (1990), Horejsi & Pablo (1993) & Sanders, P. (1987).
References
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35, 534–539.
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U.S. society: A comparison. Human Services in the Rural Environment, 16 (3), 24–27.
Sanders, P. (1987). Cultural conflicts: An important factor in the academic failures of
American Indian students. Journal of Multicultural Counseling and Development, 15,
81–90.
632 Fundamentals of Addiction: A Practical Guide for Counsellors
Appendix B
The medicine wheel represents traditional spirituality, philosophy and psychology for
Aboriginal people, and presents a way of understanding and assessing the progress of
the therapeutic relationship from a cultural perspective. The path suggested by the four
directions of the medicine wheel can help identify tasks or strategies the counsellor can
use with the client. The wheel must be used in conjunction with the core values as a
guide to action and in relating to other people.
1 Based on Coggins, K. (1990), Cross, T. (1986), Morrisseau, C. (1998), Morrissette et al. (1993) & Native Council of Canada
(1990).
Chapter 24 Colonization, Addiction and Aboriginal Healing 633
her goals. It is a time of healing and an opportunity to regain balance and harmony. This
opportunity for introspection requires that the counsellor support the person, family or
community as they attempt to regain balance in their lives and respect for themselves.
References
Appendix C
figure 24-1: Systems Model
Spirit-centred Connected
Accreditation Workforce
Development
Resiliency- ELEMENT 1 ELEMENT 2 Holistic
focused Community Early Supports
Development, Identification,
Prevention, and Brief Intervention,
Health Promotion and Aftercare
INDIVID
UA
ELEMENT 6 ELEMENT 3
UNITY
Shared Community-
FA
Balanced Respectful
Performance Addressing
Measurement Mental Health
and Research Needs
Culturally Culturally
LEGEND Competent Safe
Foundation
Elements of Care
Supporting Components
Guiding Principles
Source: Health Canada. (2011). Honouring Our Strengths: A Renewed Framework to Address Substance Use among First Nations
People in Canada (p. 16). http://publications.gc.ca/collections/collection_2011/sc-hc/H14-63-2011-eng.pdf. Reproduced with
permission of the Minister of Public Works and Government Services Canada, 2013.
Chapter 25
In this case scenario, what strengths does Abhay bring to the counselling relationship?
What are some of the key issues he is struggling with, and how would you respond if he
were your client? What are the issues you imagine having to triage first in a care plan?
What overarching struggles do you think will need to be addressed in the support you pro-
vide? Finally, do you feel competent to provide addiction treatment to Abhay? If not, how
and where would you get the support you need to better understand and provide service?
This case scenario highlights the complexity of working with individuals and
communities with diverse sexual orientations and gender identities. As the transsexual/
transgender community becomes more visible and attempts to access service, clinicians—
even those who are comfortable providing care and treatment to gay, lesbian or bisexual
clients—may need additional training to work effectively with both transgendered or
transsexual clients, and clients who cannot or will not be “compartmentalized” into
* With special thanks to Farzana Doctor, the original author of this chapter.
636 Fundamentals of Addiction: A Practical Guide for Counsellors
c ategories or boundaries of specific gender identities. The ability to integrate macro (i.e.,
social-structural-political) perspectives with micro (i.e., individual clinical) perspectives in
providing care can also present challenges to clinicians and treatment services alike.
The clinician may grapple with such questions as:
• What is the difference between gender identity and sexual orientation?
• How can I construct a treatment plan for clients with multiple, co-occurring issues?
• Do I need to be a member of the (lesbian, gay, bisexual, transgendered, transsexual,
two-spirit, intersex, queer (LGBTTTIQ) community to work effectively with clients?
• Are certain treatment approaches more relevant for people of varying genders and
sexualities?
People working in the addiction treatment field who want to develop and expand
their clinical skills may face challenges in understanding specific clients or populations
of clients. This can be particularly true for clients who have diverse and wide-ranging
gender and sexual identities. Challenges can also arise when trying to translate research
findings into clinical practice, as well as in using practice to inform research studies.
This chapter shares that knowledge with people working with diverse communities.
Clinicians who work in the substance use field still receive little education and
training around working with people from LGBTTTIQ communities. As a result, clini-
cians may not understand the unique issues, concerns and needs of clients from these
communities, and may even stereotype, stigmatize or discriminate against certain cli-
ents. Perhaps for this reason, LGBTTTIQ people have historically been underserved by
substance use treatment agencies (Craft & Mulvey, 2001; Finlon, 2002; Senreich, 2010).
With higher rates of substance use among LGBTTTIQ people, developing appro-
priate and relevant services is important. This chapter discusses the unique needs and
concerns of LGBTTTIQ people with substance use problems to increase clinicians’
understanding, skill and competence in working with these clients. (For definitions of
relevant terms, see the glossary at the end of the chapter.)
lesbians, or excluded from analyses due to low numbers. One exception is a large U.S.
study that compared drinking habits among bisexual, homosexual and heterosexual
groups: 25 per cent of bisexual women reported heavy drinking, the highest rate of any
other group in the study, including homosexuals (McCabe et al., 2009). However, over-
all, more research is needed. Sell and Becker (2001) describe this lack of quality research
as “one of the greatest threats to health” for LGBTTTIQ communities (p. 876).
Various studies have found that, overall, LGBTTTIQ communities have dispro-
portionately higher rates of substance use problems. McKirnan and Peterson (1989)
compared a large sample of Chicago gays and lesbians with an earlier study of men and
women from a general rural and urban population. Among their findings:
• Lesbians were less likely than heterosexual women (15 per cent vs. 35 per cent) to
abstain from alcohol, but were more likely to be moderate drinkers (76 per cent vs.
59 per cent). Lesbians and heterosexual women had similar rates of heavy drinking
(9 per cent vs. 7 per cent).
• Despite similar rates of heavy drinking, lesbians reported higher rates of alcohol-
related problems than heterosexual women (23 per cent vs. 8 per cent).
• Lesbians and gay men had similar rates of marijuana and cocaine use.
• Gays and lesbians showed less age-related decline in alcohol and other drug use than
is typical in the general population.
• Gay men were less likely than heterosexual men to abstain from alcohol (13 per cent
vs. 23 per cent) and less likely to report heavy drinking (17 per cent vs. 21 per cent),
but were more likely to report alcohol-related problems (23 per cent vs. 16 per cent).
• Gay men were more likely than heterosexual men to report lifetime use of marijuana
and cocaine, but the two groups did not differ in how frequently they used these
substances.
• Gay men and their heterosexual counterparts in the same age group reported different
use of substances. For example, gay men over age 35 were more likely to use cocaine
frequently.
• 14 per cent of gay men reported using amyl nitrate (poppers) regularly, and 7 per cent
reported daily use.
Hughes and Wilsnack (1997), whose study involved lesbian and heterosexual
women in Chicago, New York and Minneapolis-St. Paul, reported these findings:
• Lesbians were more likely than heterosexual women to abstain from alcohol (24 per
cent vs. 17 per cent), a finding that contrasts with that of McKirnan and Peterson (1989).
• Most lesbians (73 per cent) and heterosexual women (82 per cent) reported light to
moderate drinking (fewer than two drinks per day on average).
• Only 3 per cent of lesbians and 1 per cent of heterosexual women reported heavy
drinking (more than two drinks per day on average).
• More lesbians than heterosexual women reported participation in 12-step programs
(14 per cent vs. 6 per cent).
• The incidence of an age-related decline in drinking, commonly found with hetero-
sexual women, was lower among lesbians.
638 Fundamentals of Addiction: A Practical Guide for Counsellors
Hughes and Wilsnack (1997) also found that alcohol use among lesbians may
be declining. They suggest that this may be due to increased awareness of health and
substance use issues, decreased stigma of gays and lesbians, and changing norms in the
gay and lesbian communities.
Aaron and colleagues (2001) compared the prevalence of smoking and alcohol use
among lesbians and women in the general population and found that:
• More lesbians than general population women currently smoked (35.5 per cent
vs. 20.5 per cent).
• Fewer lesbians than general population women abstained from alcohol (42.5 per cent
vs. 55.4 per cent).
• More lesbians than general population women indicated that they drank heavily
(4.7 per cent vs. 1.1 per cent).
In a study of circuit parties (dance parties that can attract up to 20,000 mostly gay
men) in the San Francisco / Bay Area, Mansergh and colleagues (2001) found that 25 per
cent of attendees reported having “overused” drugs, along with engaging in unprotected sex.
Clements-Nolle and colleagues (2001) studied male-to-female (MtF) and female-to-male
(FtM) transgendered people in San Francisco and found that lifetime use of intravenous
drugs was prevalent among both MtF people (34 per cent) and FtM people (18 per cent).
Reback and Lombardi (1999) studied MtF people in West Hollywood, 35 per cent
of whom were sex-trade workers, and found that:
• In the past month, 37 per cent reported drinking alcohol, 13 per cent reported mari-
juana use, 11 per cent reported crack use, 11 per cent reported methamphetamine use,
7 per cent reported cocaine use and 2 per cent reported heroin use.
• More of the sex-trade workers than the general MtF group reported methamphet-
amine use (21 per cent vs. 5 per cent) and crack use (25 per cent vs. 3 per cent).
Kelly and Parsons (2010) found that prescription drug use was prevalent among
men who have sex with men (MSM). They also found that white MSM, HIV-positive
MSM, gay-identified MSM and MSM over age 40 are more likely to have recently used
a range of prescription drugs than straight men in general.
Various explanations have been suggested for these high prevalence rates. Some
people working in the field theorize that while the bar, rave and circuit party cultures
in LGBTTTIQ communities are important because they provide safe places to socialize
without fear of discrimination, these cultures also normalize substance use (Collins &
Howard, 1997; Kauth et al., 2000).
Most, however, explain the higher rates of substance use in LGBTTTIQ communities
in relation to the experiences of marginalization and oppression (Doctor, 2003; Ghindia &
Kola, 1996; Hughes & Eliason, 2002). It is not being LGBTTTIQ, but rather, coping with
oppression that may increase the risk of substance use. These experiences may also cause
higher rates of mood and anxiety disorders, and thoughts and plans of suicide (Gilman et
al., 2001). New international evidence links high prevalence rates of mental health prob-
lems among LGBTTTIQ populations to social stressors (Chakraborty et al., 2011), which
Chapter 25 Diverse Sexual Orientations and Gender Identities 639
make these communities highly vulnerable to substance use problems. With a greater
awareness of the concurrence of substance use and mental health problems among the
LGBTTTIQ population, interventions should be comprehensive (Swendsen et al., 2010).
When you think of Abhay, the client whose case scenario begins this chapter, how do
you imagine that genderism and heterosexism may have affected his life, and how would
you provide care? Recall the multiple forms of oppression Abhay experienced from the
trauma of growing up in a heterosexist and transphobic environment; for example,
Chapter 25 Diverse Sexual Orientations and Gender Identities 641
Abhay was rejected by his family and friends when he came out first as a lesbian. He
was also stigmatized as a drug user living with depression. Of equal importance was
his experience transitioning from female to male in a world with rigid gender roles.
The clinician needs to be empathic and willing to explore whether there is a correla-
tion between Abhay’s sexual orientation and/or gender identity and his depression and
crystal meth use. The clinician can begin by validating Abhay’s experience, challenging
the dominant discourse of male/female constructs, and allowing him to reflect on the
impact heterosexism and transphobia have had on him and how they are influencing his
current substance use and mental health concerns. This kind of exploration can provide
a solid foundation to building the therapeutic relationship.
In a society that supports genderism and heterosexism, it can be difficult for us
as clinicians to identify and change our own biases. However, we must recognize and
challenge our homophobia, biphobia and transphobia to become more competent in this
area. Clinicians must also learn more about their local LGBTTTIQ community, and its
specific needs, challenges, resources and strengths. To do this, they can:
• access print, electronic and visual media to expand awareness
• attend workshops and conferences on LGBTTTIQ issues
• encourage discussion with colleagues and members of local LGBTTTIQ communities
• reflect on their own pre-existing areas of bias, privilege and marginalization, life expe-
rience and history, and assumptions.
decision about how or whether to label himself or herself may be connected to factors
such as geographical location, degree of “outness” (openness about sexual orientation),
political beliefs and the relative safety of the person’s situation, age or culture (Hughes
& Eliason, 2002; Liu & Chan, 1996; Savin-Williams, 1996; Stone & Women’s Survey
Group, 1990). Furthermore, each LGBTTTIQ community uses terminology differently,
depending on its size and culture. Given the variety of labels and ways in which people
may identify their gender and sexual orientation, it is wise to ask LGBTTTIQ clients how
they prefer to be described and identified. This may include asking transgendered, inter-
sex, transsexual and two-spirit clients which gender pronoun(s) they want you to use to
refer to them (Pazos, 1999). The glossary at the end of this chapter may be a helpful
guide to understanding and using appropriate language.
To better understand LGBTTTIQ clients, one must first understand key concepts and the
meanings of “gender identity” and “sexual orientation.”
“Gender identity” refers to how individuals identify and understand their core or
innate sense of maleness or femaleness (Mallon, 1999). Society generally views gender
as a binary construct, in which people are either male/masculine or female/feminine,
with little tolerance for those who conform to neither. Manifestations of this binary con-
struct are found in many cultural norms (e.g., our custom of asking whether a newborn
is a boy or a girl). As a result, transgendered, transsexual and intersex people are often
pathologized for their gender variance or diversity (Cooper, 1999; Raj, 2002), although
some clients may accept a binary construct and reject a more fluid notion of gender.
Some transsexuals, for example, who hope to live as the opposite gender, may view gen-
der identity in a more traditional way (Raj, 2002).
An alternative to the binary construct of gender is to view identity as a continuum
(Feinberg, 2001) that contemplates genders along a spectrum of gender expression,
where particular expressions are not favoured or seen to be normal or abnormal.
This is a challenge for many of us. We are trained from a very young age to under-
stand gender in a rigid, “either/or” way. In the English language, there are no gender
pronouns for people who do not see themselves as “he” or “she.” But what if we were not
to assume that a newborn’s genitals would necessarily predict its gender identity? What
if a parent said, “I can’t wait to see what gender my child becomes”?
Feinberg (1998) has coined the gender neutral pronouns hir (pronounced “here”)
and sie (pronounced “see”) to replace “him”/“her” and “he”/”she.”
“Sexual orientation” is a term for the emotional, physical, sexual and sometimes
spiritual attractions a person has for others. This attraction may be experienced through
fantasy, desire or behaviour, and may or may not be acted upon. Sexual orientation is
distinct from sexual behaviour; the former is a way of identifying attraction and the lat-
ter is a way of identifying what we do. For example, a person may be gay, but celibate.
A woman may be in a long-term, monogamous relationship with another woman, but
Chapter 25 Diverse Sexual Orientations and Gender Identities 643
consider herself bisexual. Some people may not label their sexual orientation at all. As
with gender identity, it can be useful to consider sexual orientation as a continuum,
where sexuality is fluid and changeable over time (Broido, 2000).
Sexual orientation is distinct from gender identity, although the two are often
confused. A transgendered, transsexual, two-spirit person may identify as heterosexual,
gay, lesbian, bisexual, transensual (sexually attracted to a transgendered person) or poly-
sexual. These two dimensions of identity overlap in crucial ways for many LGBTTTIQ
people. It is often gender non-conformity that schoolyard bullies identify when they tease
a child they perceive to be gay. Identifying where sexual orientation and gender identity
intersect is important for many clients. For example, some lesbians identify as “butch,” a
gender expression that does not conform to gender norms of how women are supposed
to look and act. These women, as they “come out” and begin to understand themselves,
affirm both same-gender desire and non-conforming gender expression. A transsexual
man who, pre-transition, identified as a lesbian, may need, post-transition, to re-evaluate
his sexual orientation. Partners of transitioning transsexual people may also face this re-
evaluation process themselves in relation to their partner’s gender transition.
Figure 25-1 shows the relationships among biological sex, gender identity, gender
expression and sexual orientation in the predominant ways most people and cultures
have constructed and thought about them (e.g., born female, identify as a woman, dress
in “female” clothes, take on gender-specific roles or jobs, attracted to men). This norma-
tive construct leaves out many variations. Figure 25-2 illustrates the complexities and
interrelations of biological sex, gender identity, gender expression and sexual orientation.
Source: Reprinted with permission from Rebecca Hammond and Jordan Zaitzow.
644 Fundamentals of Addiction: A Practical Guide for Counsellors
Intersex
Biological Sex
(DSD)
Male Female
Trans
Gender Identity
2Spirit Cis
Genderqueer
Man Woman
Trans
Gender Everyone! Femme
Expression
Masculine Androgynous Feminine
Sexual
Orientation Gay/Lesbian MSM/On the DL
Source: Reprinted with permission from Rebecca Hammond and Jordan Zaitzow.
Coming Out
ferent gender identity. A transition process may involve a name change, or hormonal,
aesthetic or surgical treatments. However, not all transgendered or transsexual people
wish to transition:
A young person in this situation might benefit from waiting until he or she is
more independent before coming out to parents, and might first seek allies in the family
and community to provide a support network.
Some people of colour may choose not to come out to their families for fear
of losing an important support that affirms their ethnoracial identity (Fukuyama &
Ferguson, 2000). Liu and Chan (1996), referring to the specific cultural context of Asian
Americans, state:
Racism within the larger society and within LGBTTTIQ communities (Ridge et
al., 1999) can make a connection with their family and their ethnoracial community
even more important to LGBTTTIQ people of colour (Diaz et al., 2001; Kanuha, 1990).
Interestingly, recent studies suggest there is greater acceptance from families
of gay and lesbian people of colour than from families of white gay men and lesbians.
Washington (2001) suggests that although the former do not necessarily celebrate their
LGBTTTIQ children, fewer families of colour tend to disown their children in these
circumstances.
Families and other loved ones of LGBTTTIQ people appear to go through a pro-
cess themselves during which their attitudes and beliefs change as they become more
aware of, and comfortable with, their loved one’s coming out. One family response to
coming out model includes the following eight stages: repulsion, pity, denial, tolerance,
acceptance, support, celebration and activism (Charania & Surani, 2002). Family mem-
bers may need to come to terms with their loved one’s changes and grieve for perceived
losses. For example, some parents may initially worry that they won’t have grandchildren
(even though LGBTTTIQ people can and often do have children). Families of transgen-
dered and transsexual people may also need time to adjust to new pronouns, names and
expectations associated with their loved one’s transition (Cooper, 1999).
Chapter 25 Diverse Sexual Orientations and Gender Identities 647
1. Can you tell me about any particular problems you have faced because of
discrimination based on your sexual orientation/gender identity?
2. Can you tell me about your coming out and/or transitioning process?*
3. How open are you about your sexual orientation/gender identity? At work?
At school? At home? With new acquaintances?
4. Tell me about your family. How has your sexual orientation / gender identity
affected your relationship with your family? Do you have support from your
family?
5. How are you involved in the LGBTTTIQ communities?
6. Do you have concerns about body image? Do you have concerns about
aging? Do body image pressures and ageism in the LGBTTTIQ communi-
ties affect you?
648 Fundamentals of Addiction: A Practical Guide for Counsellors
7. HIV is a big concern for a lot of people. Can you tell me in what ways this
may be true for you?
8. Do you use alcohol and/or other drugs to cope with any of these issues we
mentioned? Are your mental health concerns related to any of these issues
we mentioned? If yes . . . in what ways?
*Authors’ note: You may also choose to ask: At what age did you first realize
you were ___? What has it been like for you after coming out or transitioning
to yourself and to others?
The clinician can help the client understand the process of coming out by empha-
sizing its ongoing, developmental nature, and that it is unique for each person. Clients
may not understand that it is normal to experience many different feelings during this
time, including joy, fear, loss of heterosexual or gender privilege, awkwardness around
other LGBTTTIQ people, freedom and anger at societal oppression. On this last point,
clinicians should help clients understand that the coming out process is not only a
personal issue, but also one that is affected by community and societal oppression. A
clinician can play an important role by advocating for a client within the social service
agency, or when the client’s family, school or community is involved (Burgess, 1999;
Reynolds & Hanjorgiris, 2000). Clients may also need help with what Reynolds and
Hanjorgiris (2000) call “the process of identity management,” in which the clinician
helps clients understand how their “identity intersects with and affects other aspects of
their life such as career, relationships with family of origin, religion or faith, and coming
out to others” (p. 50).
LGBTTTIQ people often encounter verbal assaults, violence and other forms of dis-
crimination because they challenge dominant sexual orientation and gender norms
(Swigonski, 2001). The harm caused by such encounters can manifest in hypervigilance,
fear, lack of trust and decreased self-worth (Walters et al., 2001). However, despite the
harm caused by discrimination, LGBTTTIQ people can also develop resilience and
strength by living with adversity (Shernoff, 2002). Social activism can be an important
strategy for a client who, by creating change, may cope better with oppression (Diaz et
al., 2001; Jones, 2002). Counselling that acknowledges the existence of oppression and
allows clients to explore its impact is also helpful.
A study of experiences of homophobia, racism and poverty among gay and bisex-
ual Latino men in the United States found links among all three forms of oppression and
suicidal thoughts (Diaz et al., 2001). Most striking was the presence of suicidal ideation
among those who “as a child heard that gays are not normal” (Diaz et al., 2001, p. 930).
Some LGBTTTIQ people may use alcohol and other drugs to feel more empowered
when enduring discrimination. For example, a lesbian client who at work encountered
daily teasing, put-downs and threats about her lesbian identity would often cope by
drinking before and after her shift. Another client with gender identity issues felt more
confident in public in masculine clothing, and used amphetamines to make himself less
aware of people’s reactions to him.
Internalized Oppression
Internalized oppression refers to how people internalize negative messages, beliefs and
myths about their identities (Chen-Hayes, 2003; Mascher, 2003). Internalized oppres-
sion can affect a person’s self-esteem and health, which can result in increased substance
use (Cabaj, 2000; Diaz et al., 2001; Hughes & Eliason, 2002). Addressing internalized
oppression and teaching clients how to affirm their identity (or identities) may lead to
more successful treatment (Craft & Mulvey, 2001). Here are some points to consider
when working with LGBTTTIQ clients:
• Internalization of oppression is a normal reaction to societal discrimination. Internalized
homophobia, biphobia and transphobia may become apparent through a person’s nega-
tive statements about, discomfort with or isolation from LGBTTTIQ communities.
• Clinicians, whether they belong to the LGBTTTIQ communities or not, need to be
aware of their own heterosexism and genderism when working with clients. Given
that oppression is prevalent in society, if a clinician does not have this self-awareness,
negative beliefs about LGBTTTIQ people can be easily transferred to the client. This
is particularly the case for LGBTTTIQ clinicians who may be seen as role models to
clients who are coming out or transitioning.
• Many tools are available for clinicians to help clients understand how these pres-
sures can affect identity. Allan Downs’ The Velvet Rage (2006) uses a staged model to
650 Fundamentals of Addiction: A Practical Guide for Counsellors
c apture the pain of growing up gay in a straight world. The first stage, “Overwhelmed
by shame,” most often occurs in childhood; the child feels, or knows, that he is differ-
ent from his friends who are perceived as straight and learns to hide his true self to
gain acceptance and validation. This leads to internalized anger and rage because he
is hiding his authentic self. This is followed by the second stage, “Compensation of
shame”; in his quest not to feel inferior, he seeks acceptance and validation by becom-
ing an overachiever or by becoming successful in his personal and professional life.
In the final stage, “Discovering authenticity,” he has accepted his true self and is able
to cultivate relationships and activities that are genuine and fulfilling.
Body Image
Body image and eating disorders are concerns for LGBTTTIQ people. Negative body
image relates to substance use in different ways. Some substances, such as cocaine
and crystal methamphetamine, can be used to reduce appetite. Other substances help
a person cope with negative perceptions about his or her appearance. It is useful to ask
LGBTTTIQ clients to assess how, for them, community and societal pressures, sub-
stance use and body image intersect with one another (Barbara et al., 2002).
Chapter 25 Diverse Sexual Orientations and Gender Identities 651
Some studies suggest that lesbian and bisexual women are less affected by nega-
tive body image than heterosexual women and gay men. Explanations for this include:
• an appreciation for larger body sizes
• less concern with appearance
• more satisfaction with their bodies (Kauth et al., 2000; Lakkis et al., 1999).
Yet lesbians, as women, remain affected by societal messages that emphasize the
“relentless pursuit of thinness” (Szekely, 1988) and are likely to internalize them to some
degree.
Gay and bisexual men face greater body image challenges (Barbara, 2002; Kauth
et al., 2000; Lakkis et al., 1999) because of both pressure to conform to the “ideal body”
image prevalent in gay culture—that of a young, white, muscular, masculine male
(Ayres, 1999)—and internalized homophobia (Pytluk, 2003). LGBTTTIQ people with
disabilities may have additional trouble developing a positive self-image because of the
stereotype that people with disabilities are asexual (Schneider, 2003).
Ayres (1999) describes his experience as a gay Chinese man in Australia, and how
body image pressures have race and age dimensions:
Aging
Older LGBTTTIQ people are largely invisible to mainstream and LGBTTTIQ communi-
ties because of society’s obsession with youth, and because it is often wrongly assumed
that older people are non-sexual (Van Wormer et al., 2000). Penny Coleman’s (2000)
photodocumentary of older LGBTTTIQ people is an example of this group’s efforts
to become more visible. It includes an interview with “Gerry,” an older lesbian, who
describes the ageism in the lesbian community:
These days, Gerry spends much of her time alone. It’s a little quieter than
she would like. The last time she walked into a gay bar by herself was to
meet some friends on her seventieth birthday. “The whole wall was lined
with leather jacketed kids, and I heard somebody say, ‘Geez, did you see
what just walked in?’” Gerry got off a well-aimed rejoinder, but it stuck and
it stopped her. . . . “But really, the only difference between me now and me
thirty years ago is I ain’t getting laid. Go find me another ninety-year-old
lesbian who wants to go to bed with me! That’s my problem now.” (pp. 4–5)
According to a report from the 519 Church Street Community Centre in Toronto,
which serves LGBTTTIQ communities, services for older adults, including LGBTTTIQ-
positive housing, geriatric care and social activities need great improvement (Harmer,
2000). The report also suggested that LGBTTTIQ organizations include older LGBTTTIQ
people in leadership roles and advocate efforts to change how the community views, rec-
ognizes and celebrates its elders. When working with LGBTTTIQ older adults who have
substance use concerns, it is important to be aware of the issues of ageism and invisibil-
ity. Do they affect the ability of older adults to access appropriate services and supports?
Do they identify any impact on self-esteem? In what ways does substance use help them
cope with ageism and invisibility?
HIV/AIDS
Research into HIV/AIDS and its risk factors has focused mostly on men who have sex
with men (MSM), a term that includes:
• gay or bisexual men
• men who may not identify as gay or bisexual but who engage in same-gender sex
• transgendered and transsexual people who identify as male and who have sex with
other men (Hughes & Eliason, 2002).
HIV/AIDS affects both those infected and their loved ones (Kauth et al., 2000;
Van Wormer et al., 2000). Highly active antiretroviral therapy (HAART) has decreased
HIV/AIDS–related mortality, but it is costly and the side-effects make it difficult to
maintain (Wolitski et al., 2001). The availability of these medications may also lead some
MSM to believe they can be less vigilant about safer-sex behaviour.
Chapter 25 Diverse Sexual Orientations and Gender Identities 653
In recent years, an increasing number of people have been charged and convicted
for not telling a sexual partner that they are HIV positive. While this is not an issue
unique to LGBTTTIQ people, it is something to consider when having conversations
about sex with clients—either individually or in group sessions (confidentiality within
LGBTTTIQ groups is discussed below). The clinician’s place of employment should
implement policies and procedures to address situations where clients who are HIV
positive disclose risky behaviours (e.g., unprotected sex with other clients). Some situ-
ations may warrant a “duty to warn” (e.g., reporting a client to public health), but this
needs to be weighed against breaking a client’s confidentiality. More often, the clinician
can talk directly to clients, reminding them of legal precedents (which indicate the need
for HIV-positive people to disclose their status before engaging in high-risk behav-
iours), or facilitate conversations between clients and their partners, thus maintaining
client confidentiality.
Studies with MSM have shown that substance use often precedes unsafe sex (Calzavara
et al., 2003; Halkitis & Parsons, 2002). In a Washington, DC–based survey of MSM,
66 per cent of men reported having had sex while under the influence of alcohol or other
drugs during the previous year, and 58 per cent stated they were more likely to engage in
unprotected sex when drinking (District of Columbia Department of Health & Whitman-
Walker Clinic, 2002). The respondents also reported using the following substances:
• alcohol (79 per cent)
• poppers (amyl nitrate) (39 per cent)
• marijuana (30 per cent)
• ecstasy (28 per cent).
Substance use also helps gay and bisexual men and transpeople cope with the loss,
due to HIV/AIDS, of others in their social and support networks; it can also help people
cope with an uncertain HIV status or a new diagnosis (Halkitis & Parsons, 2002).
Substance use plays a role in HIV infection in transgendered and transsexual peo-
ple as well. Because HIV risk increases with sex work, the transgendered and transsexual
people who do this work (due to limited job options and employment discrimination)
are at greater risk (Clements-Nolle et al., 2001; Hughes & Eliason, 2002; Reback &
Lombardi, 1999). Namaste (1999), in her study of female-to-male people in Quebec,
found that many did not believe they were at risk for HIV/AIDS. However, she did find
that in areas of Quebec where new needles were not readily available (for the injection of
hormones), there was a higher HIV rate in the female-to-male population.
In our clinical experience, lesbian and bisexual women report not being affected by
HIV/AIDS, but they do discuss the impact of caring for or losing gay and bisexual male
friends with the disease. There is a perception that lesbians are at a low risk for HIV/
AIDS because woman-to-woman contact has not shown conclusive risks of transmission.
654 Fundamentals of Addiction: A Practical Guide for Counsellors
However, sexual orientation does not necessarily match with sexual behaviour; some lesbi-
ans and bisexual women have had or do have sex with men. Some may use injection drugs,
which can also increase their risk (Kauth et al., 2000).
More recent studies have begun to address the gap in research about the trans-
gender community and the intersection of risky sexual behaviour and substance use.
Operario and colleagues (2005) highlight that within these communities, cultural
minorities such as Asian Pacific Islanders are at even greater risk.
See Chapters 4 and 7 for more discussion about HIV/AIDS and other blood-borne
diseases.
Family Issues
The role of the family is often different for LGBTTTIQ people than for heterosexual or
gender-conforming people, and presents different issues.
Coping with estrangement, alienation and rejection from one’s family of origin
after coming out or transitioning can cause distress. Fear of rejection may cause some
LGBTTTIQ people to avoid disclosure (Barbara, 2002). This may also be true when
already “out” LGBTTTIQ people raised in adoptive families are reunited with their bio-
logical families.
Substance use may help one cope with this distress. From our clinical experience,
some clients find that a visit (or even anticipation of a visit) with a homophobic, trans-
phobic or biphobic family member who seems not to accept them can trigger substance
use. Relapse prevention planning and education about boundaries can help a client
resist turning to substance use in these circumstances. Family therapy may also be
appropriate (Anderson, 1996). If this is not possible, a “chosen family” (a close network
of, for example, friends, ex-partners, lovers and some biological family members) may
provide much-needed support (Siegel & Walker, 1996). Parents and Families of Lesbians
and Gays (PFLAG) offers support to families coming to terms with loved ones’ gender
identity or sexual orientation, and has chapters all over North America. Although couples
therapy is often not considered in traditional substance use treatment due to heterosex-
ist bias (Anderson, 1996), it can be appropriate because it addresses issues of trust,
intimacy and support; it may also be useful for a couple where one or both partners are
reducing or stopping substance use, or to investigate whether the substance use of one
partner has influenced the other to use (Hughes & Eliason, 2002).
While the role of family is increasingly being recognized as an important compo-
nent in recovery, incorporating the “family” or “chosen family” into treatment is often
overlooked in addiction settings. This oversight is occurring despite significant evidence
that family involvement plays an important role in recovery. CRAFT (community rein-
forcement and family training approach) is one model in which including family or
“chosen family” in treatment improves outcomes (Meyers et al., 2005).
For Abhay, who was presented in this chapter’s opening case scenario, offering
sessions to him and his family of origin may not be realistic or desirable, given the
Chapter 25 Diverse Sexual Orientations and Gender Identities 655
family’s unwillingness to accept Abhay’s sexual orientation and subsequent gender tran-
sition. However, collaborating with Abhay’s chosen family creates the potential to build
care teams that reinforce behavioural changes Abhay can make when he leaves clinical
care and returns to the community.
LGBTTTIQ people are also affected by issues involving children, including:
• having children and/or coming out to them (Van Wormer et al., 2000)
• beginning a relationship with someone with a child or children (Hollingsworth &
Didelot, 2003)
• coping with societal discrimination toward LGBTTTIQ parents and their children
(McLean, 2003).1
Sexuality
Substance use may help men and women feel less inhibited about same-gender sexual
activity. Lesbians and bisexual women are more likely to use alcohol for this purpose,
whereas gay and bisexual men are more likely to use drugs such as:
• methamphetamine (to increase sexual potency)
• amyl nitrate (poppers) (to prolong orgasm and relax the anal sphincter)
• Viagra (to enhance sexual performance) (Hughes & Eliason, 2002).
Gay social venues such as community events, dances, bathhouses, circuit par-
ties, sex clubs and dance clubs, while providing havens from homophobia, normalize
substance use. The link between sexuality and substance use in these venues is prob-
lematic because, as discussed earlier, there is a higher risk of unprotected sex. These are
often also sexualized environments, where LGBTTTIQ people flirt, cruise or have sex
(Barbara, 2002; Halkitis & Parsons, 2002).
LGBTTTIQ people in urban centres might have a range of other social venues
available to them (e.g., sports, social, support, spiritual and hobby groups), and it is
important to encourage clients to explore these alternatives (Cooper, 1999). But many
clients choose to socialize at venues where substance use occurs; these venues are
central to LGBTTTIQ communities, and their historical importance as the “first gay
community centres” lives on. The clinician can help the client develop a plan to avoid
high-risk behaviours at these venues. This plan might include:
• learning and exercising refusal skills
• going with a “buddy”
• going late and leaving early to reduce exposure to triggers
• taking very little money to avoid impulsive substance use.
Some clients also use substances to relieve shyness or discomfort with their bod-
ies (physical pain or poor body image) or to block intrusive traumatic imagery (related
to past sexual abuse) during sex. A number of lesbian clients we have worked with who
1 The LGBT Parenting Network, created in 2002, provides a newsletter, activities and a website dedicated to these issues. Visit
http://familypride.uwo.ca.
656 Fundamentals of Addiction: A Practical Guide for Counsellors
had had heterosexual relationships reported that they first used substances while hav-
ing non-pleasurable heterosexual sex, hoping this would improve the experience. These
women were later unable to break the habit when having pleasurable sex with women.
Intersex children, who often have scarred, insensitive or painful genitals as a
result of intrusive surgeries, can have difficulty exploring their sexuality. Support groups,
where intersex people can meet others with similar experience, can help (Cooper, 1999).
Like their gender-conforming queer counterparts, transgendered and trans-
sexual people (and their sexualities) have been portrayed as exotic, repulsive or
immoral through pornography and popular media (Cooper, 1999). For them, forg-
ing a healthy sex life requires examining and challenging internalized transphobia.
With more and more transgendered and transsexual clients presenting for service,
it is vitally important that we understand the distinction between sexual orientation
and gender identity.
Clinicians, too, should consider the messages they have internalized about
sexuality in general and LGBTTTIQ sexualities in particular. Most of us have personal
beliefs about what types of sexual behaviour are “normal.” These beliefs are socially con-
structed, and challenging them is necessary when working with the diversity of human
sexuality. Ask yourself how you feel about non-monogamy or S/M (sado-masochism), or
how you would react to seeing two men kissing on the street? Where did you learn these
beliefs, and how do you think they might affect your work with clients? Our beliefs about
sexuality are likely a creation of our social norms, which in many cases (and not just in
relation to sexuality) tend to marginalize those who do not fit within them.
A careful psychosocial assessment should be provided to support the client
around interpersonal relationships if this is a concern for him or her; the assessment
could include determining both the client’s strengths and areas that may require further
discussion and support. In Abhay’s case, the therapist could support him around issues
of disclosing or not disclosing his trangendered identity, as this is clearly triggering and
anxiety-provoking when Abhay is seeking sexual partners.
Physical Space
The office, group rooms, agency hallways and waiting areas can communicate to mar-
ginalized people that they are in a safe and sensitive environment. You can do this by:
• putting up posters that communicate anti-oppression and appreciation of diversity
• displaying pamphlets, magazines and newspapers from diverse communities in wait-
ing areas
• installing unisex bathrooms in your organization (GLMA, 2002a).
LGBTTTIQ-Positive Forms
Heterosexist and genderist questions on intake forms (e.g., “Are you married?” or those
that limit gender to “M” and “F”) communicate very quickly to LGBTTTIQ clients that
they are not welcome. Ensure that your forms encourage clients to disclose their sexual
orientation and gender identity.2
Services
LGBTTTIQ-specific services
For some clients, LGBTTTIQ-specific services are more appropriate than generic ser-
vices (Hicks, 2000; Senreich, 2010). Group counselling can help LGBTTTIQ clients
address life issues and transitions, behaviour change and the intersection of substance
use with coming out, internalized oppression and other issues mentioned in this chap-
ter (Gillespie & Blackwell, 2009). LGBTTTIQ-specific groups create an environment in
which people feel safe addressing these issues (Debord & Perez, 2000; Barbara, 2002).
Without these specific services, clients attending generic programs might “closet” them-
selves; they might avoid discussing personal issues or lie about a same-gender partner
(Cullen, 2004). In smaller communities, there may not be enough people to offer an
2 See Asking the Right Questions 2 (Barbara et al., 2007) and MSM: Clinician Guide to Incorporating Sexual Risk Assessment in
Routine Visits (GLMA, 2002b) for more information about creating LBGTTTIQ-positive intake forms.
658 Fundamentals of Addiction: A Practical Guide for Counsellors
LGBTTTIQ group. Depending on the comfort level of the client, individual counselling
may be the best alternative, or group facilitators must provide a “safe space” for clients
to participate in a generic group.
Confidentiality issues, particularly with LGBTTTIQ-specific groups, need to be
considered further. The nature and realities of smaller, more tight-knit, LGBTTTIQ com-
munities and sexual networks may factor into discussions, group dynamics, boundaries
and confidentiality issues among participants and between participants and profession-
als. For example, if Abhay is in an LGBTTTIQ-specific group, he may have had sex with
someone else in the group, “chatted” to another group member on an Internet site or
used drugs with another member. Seeing that person in the group may be triggering or
may prevent the person from fully disclosing. Confidentiality outside the group could
also be compromised regardless of group guidelines around this.
Clinicians can make their generic or mixed groups safer for all marginalized groups,
including LGBTTTIQ clients, by being intentionally inclusive. For example, during a first
session, when guidelines and group norms are discussed, the clinician can review some
common differences among people (the group can generate a list through brainstorming
or a pairs exercise) and remind clients that discriminatory remarks will not be tolerated.
The facilitator might begin a session on a specific topic by reminding clients that the
discussion will include diverse experiences and opinions. A discussion about relationship
issues, for example, could start with a reference to the variety of relationships that exist,
including opposite-gender and same-gender relationships; this reference invites clients to
raise issues and sets a group norm of openness to, and affirmation of, difference.
Clinicians should address and challenge discriminatory remarks as they arise dur-
ing groups (Bush & Sainz, 2001). They can do this by:
• asking clients to clarify the meaning of statements
• reminding them of group guidelines
• asking group members to share their feelings about the statements being made.
A clinician who does not address discriminatory statements lowers the safety
level of the group. However, a therapy group with a particular purpose such as addic-
tion treatment is not the place to process one member’s long-held prejudicial attitudes.
Turning the group’s focus away from its purpose in order to devote multiple sessions
to homophobia may only further alienate the LGBTTTIQ member from the rest of the
group. You can often control behaviour in a group, but attitudes and prejudice require
much longer interventions. Therefore, it is essential that anti-discrimination policies be
backed with consequences for a person who makes the group unsafe. Depending on the
circumstance, removing that person is often the best clinical intervention if the situation
presents an ongoing issue.
Chapter 25 Diverse Sexual Orientations and Gender Identities 659
In the example of Abhay, part of the treatment plan may involve referring him to
a generic skills group. Let’s say that in the course of group, Abhay outs as a transgen-
dered man while disclosing his triggers for substance use, and one male group member
reacts by calling him a freak. The clinician then intervenes, reminding the group of the
discrimination policy. Discussion then ensues, as Abhay tries to explain his identity,
family and community rejection. After some time, the clinician gently brings the group
back to the triggers discussion. However, the offending client continues to mumble
under his breath, staring angrily at Abhay for the rest of the session. The clinician faces
this conundrum:
If you remove the offending client, do you lose an opportunity because that client,
through the group, may be in contact with an LGBTTTIQ person for the first time in his
life? This contact could help reduce the client’s ignorance and prejudicial feelings as he
gets to know Abhay as a human being struggling with issues of addiction similar to his.
If you allow the offending client to stay (depending on the behaviour), do you
run the risk of Abhay dropping out of service because he feels unsafe? You can see the
complexity of this scenario. There is no easy answer. A culturally competent clinician
may ask to speak separately with Abhay and the client after the group has ended or dur-
ing a requested group break. Always meet first with the person who has experienced
the discrimination to ensure he or she is okay. Tell the person that you will not tolerate
any forms of homophobia, biphobia or transphobia, and that the purpose of the group
is to provide peer support, not reinforce past traumatic events. You may also wish to
check in with Abhay mid-week. Then meet with the offending client, outline the anti-
discrimination rules of the group or agency, and emphasize that those comments and
behaviours will not be tolerated. Perhaps the client has never met an LGBTTTIQ person
before, or is unwilling to challenge his own prejudices, and a referral to another group
or agency may be the only alternative. The overriding principle, however, must always
be emotional and physical safety for all members in the group.
We are often asked if non-LGBTTTIQ clinicians should work with the community. The
answer is an absolute yes! Being an ally to communities that are oppressed and face dis-
crimination is a significant way to change how society functions. It does require more
effort than simply being well meaning. Clinicians who wish to work with the community
(including clinicians who are LGBTTTIQ) need anti-heterosexism and anti-genderism
training, as well as information about LGBTTTIQ communities. Such training can be
facilitated in various ways:
• Ask (and pay) local LGBTTTIQ groups to help train your staff.
• Subscribe to journals and listservs that keep your staff up to date (see the Resources
section for ideas).
• Recruit LGBTTTIQ staff to work at your organization, listening carefully to them and
seeking their advice, and encourage all staff to be LGBTTTIQ positive.
660 Fundamentals of Addiction: A Practical Guide for Counsellors
• Become allies to LGBTTTIQ staff, making it safe for them to come out to other
staff and clients; don’t expect them to do all the work to make your organization
LGBTTTIQ-positive.
• Ensure that human resources forms and practices are not genderist and heterosexist
(Clark et al., 2001).
• Ensure that staff, whether LGBTTTIQ or not, are comfortable talking about sex, sexu-
ality and drugs. Self-reflection exercises may be a helpful way for staff to examine their
own attitudes and values.
Outreach
Outreach is crucial to ensure the involvement of LGBTTTIQ people from the wider com-
munity. Consider in your outreach plan:
• where and how you advertise your services
• whether your flyers indicate that LGBTTTIQ people are welcome and that your ser-
vices reflect their needs
• contacting LGBTTTIQ services and groups in your area by accessing a local paper,
listserv or community bulletin board, or leaving flyers in bars or coffee shops
• participating and, if possible, hosting LGBTTTIQ community events in a way that is
visible and meaningful
• involving past clients who are LGBTTTIQ (either as volunteers or as paid peer mod-
els) to do outreach to the community
• reaching out or even providing basic counselling through LGBTTTIQ-specific web-
sites and forums. LGBTTTIQ people are often quite familiar with using technology to
connect with others. For example, some gay men rely on phone apps to find romantic
or sexual partners, rather than meeting in bars or other traditional social venues.
Some HIV/AIDS organizations have had staff provide outreach and education in
Internet chat rooms.
LGBTTTIQ Representation
Without the participation of LGBTTTIQ communities, your other efforts, such as policy
development, service provision and outreach, may not be successful (Feinberg, 2001).
Make sure you have LGBTTTIQ staff and community members involved in:
• hiring committees
• strategic planning
• other decision making.
Chapter 25 Diverse Sexual Orientations and Gender Identities 661
Conclusion
Throughout this chapter, we have explored the unique experiences of LGBTTTIQ
communities: discrimination, societal and internalized oppression; the decision about
whether to come out or transition, and the stress of this process for the person and
sometimes the family. We have also addressed the preoccupation with body image and
“passing” (a transgendered or transsexual person’s ability to be accepted as his or her
preferred gender) and how aging is perceived within these communities, the impact of
HIV/AIDS and the effect of substance use on safer sex practices. We have also discussed
the specialized clinical skills required to provide culturally competent addiction assess-
ment and counselling to this population, using the case example of Abhay.
As LGBTTTIQ communities continue to mobilize and be empowered, people will
expect services that are culturally sensitive and inclusive. A clinician does not need to
be an expert in the field to work with this population, build a therapeutic alliance and
commit to ongoing training and education in this area.
Practice Tips
Glossary
The discourse around LGBTTTIQ issues and the definitions in this glossary will change
over time. Changes in thinking and attitudes toward sexual orientation and gender
identity are continually taking place in society as a whole and within LGBTTTIQ com-
munities. These terms and definitions are not standardized and may be used differently
by different people and in different regions.
Asexual: a person who is not sexually and/or romantically active, or not sexually and/or
romantically attracted to other persons.
Autosexual: a person whose significant sexual involvement is with oneself, or a person
who prefers masturbation to sex with a partner.
Biphobia: irrational fear or dislike of bisexuals. Bisexuals may be stigmatized by hetero-
sexuals, lesbians and gay men.
Bisexual: a person whose sexual orientation is directed toward men and women, though
not necessarily at the same time.
Coming out: the process by which LGBTTTIQ people acknowledge and disclose their
sexual orientation or gender identity, or in which transsexual or transgendered people
acknowledge and disclose their gender identity to themselves and others (see also
“Transition”). Coming out is thought to be an ongoing process. People who are “closeted”
or “in the closet” hide the fact that they are LGBTTTIQ. Some people “come out of the
closet” in some situations (e.g., with other gay friends) and not in others (e.g., at work).
Crossdresser: a person who dresses in the clothing of the other sex for recreation, expres-
sion or art, or for erotic gratification. Formerly known as “transvestites,” crossdressers
may be male or female, and can be straight, gay, lesbian or bisexual. Gay/bisexual male
crossdressers may be “drag queens” or female impersonators; lesbian/bisexual female
crossdressers may be “drag kings” or male impersonators.
Dyke: traditionally used as a derogatory term for lesbians. Other terms include lezzie,
lesbo, butch, bull dyke and diesel dyke. Many women have reclaimed these words and
use them proudly to describe their identity.
Fag: traditionally used as a derogatory term for gay men. Other terms include fruit, fag-
got, queen, fairy, pansy, sissy and homo. Many men have reclaimed these words and use
them proudly to describe their identity.
Family of choice: the circle of friends, partners, companions and perhaps ex-partners
with which many LGBTTTIQ people surround themselves. This group gives the support,
validation and sense of belonging that is often unavailable from the person’s family of
origin.
Gay: a person whose primary sexual orientation is to members of the same gender or
who identifies as a member of the gay community. This word can refer to men and
women, although many women prefer the term “lesbian.”
Chapter 25 Diverse Sexual Orientations and Gender Identities 663
Gender conforming: abiding by society’s gender rules, e.g., a woman dressing, acting,
relating to others and thinking of herself as feminine or as a woman.
Gender identity: a person’s own identification of being male, female or intersex; mas-
culine, feminine, transgendered or transsexual. Gender identity most often corresponds
with one’s anatomical gender, but sometimes people’s gender identity doesn’t directly
correspond to their anatomy. Transgendered people use many terms to describe their
gender identities, including pre-op transsexual, post-op transsexual, non-op trans-
sexual, transgenderist, crossdresser, transvestite, transgendered, two-spirit, intersex,
hermaphrodite, fem male, gender blender, butch, manly woman, diesel dyke, sex radical,
androgynist, female impersonator, male impersonator, drag king, drag queen, etc.
Genderqueer: this very recent term was coined by young people who experience a very
fluid sense of both their gender identity and their sexual orientation, and who do not
want to be constrained by absolute or static concepts. Instead, they prefer to be open to
relocate themselves on the gender and sexual orientation continuums.
Gender role: the public expression of gender identity. Gender role includes everything
people do to show the world they are male, female, androgynous or ambivalent. It
includes sexual signals, dress, hairstyle and manner of walking. In society, gender roles
are usually considered to be masculine for men and feminine for women.
Gender transition: the period during which transsexual people begin changing their
appearance and bodies to match their internal identity.
Genderism: the belief that the binary construct of gender, in which there are only two
genders (male and female), is the most normal, natural and preferred gender identity.
This binary construct does not include or allow for people to be intersex, transgendered,
transsexual or genderqueer.
Hate crimes: offences that are motivated by hatred against people based on their actual
or perceived race, colour, religion, national origin, ethnicity, gender, disability or sexual
orientation.
Heterosexism: the assumption, expressed overtly or covertly, that all people are or should
be heterosexual. Heterosexism excludes the needs, concerns and life experiences of
lesbian, gay and bisexual people, while it gives advantages to heterosexual people. It is
often a subtle form of oppression that reinforces silence and invisibility for lesbian, gay
and bisexual people.
Heterosexual: a person whose primary sexual orientation is to members of the opposite
gender. Heterosexual people are often referred to as “straight.”
Heterosexual privilege: the unrecognized and assumed privileges that people have if they
are heterosexual. Examples of heterosexual privilege include holding hands or kissing in
public without fearing threat, not questioning the normalcy of your sexual orientation,
raising children without fears of state intervention or worries that your children will
experience discrimination because of your heterosexuality.
664 Fundamentals of Addiction: A Practical Guide for Counsellors
Queer: traditionally, a derogatory and offensive term for LGBTTTIQ people. Many
LGBTTTIQ people have reclaimed this word and use it proudly to describe their identity.
Some transsexual and transgendered people identify as queers; others do not.
Questioning: people who are questioning their gender identity or sexual orientation and
who often choose to explore options.
Sexual behaviour: what people do sexually. Sexual behaviour is not necessarily congruent
with sexual orientation or sexual identity.
Sexual identity: one’s identification to self (and others) of one’s sexual orientation. Sexual
identity is not necessarily congruent with sexual orientation or sexual behaviour.
Sexual minorities: people who identify as LGBTTTIQ.
Sexual orientation: emotional, physical, romantic, sexual and spiritual attraction, desire
or affection for another person. Examples include heterosexuality, bisexuality and homo-
sexuality.
Straight: often used to describe people who are heterosexual.
Transgendered: a person whose gender identity is different from his or her biological
sex, regardless of the status of surgical and hormonal gender reassignment processes.
Often used as an umbrella term to include transsexuals, transgenderists, transvestites
(crossdressers), and two-spirit, intersex and transgendered people.
Transgenderist: someone who is in between being a transsexual and a transgendered
person on the gender continuum, and who often takes sex hormones, but does not want
genital surgery. Transgenderists can be born male (formerly known as “she-males”) or
born females (once called “he/shes”). The former sometimes obtain breast implants
and/or have electrolysis.
Transition: the process (which for some people may also be referred to as the “gender
reassignment process”) whereby transsexual people change their appearance and bod-
ies to match their internal (gender) identity, while living their lives full time in their
preferred gender role.
Transphobia: irrational fear or dislike of transsexual and transgendered people.
Transsensual: a person who is primarily attracted to transgendered or transsexual people.
Transsexual: a person who has an intense long-term experience of being the sex opposite
to his or her birth-assigned sex and who typically pursues a medical and legal transfor-
mation to become the other sex. There are transmen (female-to-male transsexuals) and
transwomen (male-to-female transsexuals). Transsexual people may undergo a number
of procedures to bring their body and public identity in line with their self-image, includ-
ing sex hormone therapy, electrolysis treatments, sex reassignment surgeries and legal
changes of name and sex status.
Transvestite: see “Crossdresser.”
666 Fundamentals of Addiction: A Practical Guide for Counsellors
Two-spirit: an English term coined to reflect specific cultural words used by First Nations
and other indigenous peoples for those in their cultures who are gay, lesbian, transgen-
dered or transsexual, or who have multiple gender identities. The term reflects an effort
by First Nations and other indigenous communities to distinguish their concepts of
gender and sexuality from those of western LGBTTTIQ communities. Two-spirit may
also be represented as “2-S” in acronyms (e.g., LGBTT2-SIQ).
WSW: a term that refers to any woman who has sex with a woman, whether she identifies
as lesbian, bisexual or heterosexual. This term highlights the distinction between sexual
behaviour and sexual identity (i.e., sexual orientation). For example, women who identify
as lesbian can also have sex with men, and not all WSW identify as lesbian or bisexual.
Resources
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Guss, J.R. & Drescher, J. (2000). Addictions in the Gay and Lesbian Community.
Binghamton, NY: Haworth Medical Press.
Lev, A.I. (2004). Transgender Emergence: Therapeutic Guidelines for Working with Gender-
Variant People and Their Families. New York: Routledge.
Mallon, G. (1998). Foundations of Social Work Practice with Lesbian and Gay Persons.
Binghamton, NY: Haworth Press.
Internet
AIDS Committee of Toronto
www.torontovibe.com
International Advisory Council for Homosexual Men and Women in Alcoholics
Anonymous
www.iac-aa.org
Substance Abuse and Mental Health Services Administration—lesbian, gay, bisexual
and transgender section
www.samhsa.gov/obhe/lgbt.aspx
U.S. National Association of Gay and Lesbian Addiction Professionals
www.nalgap.org
Chapter 25 Diverse Sexual Orientations and Gender Identities 667
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SECTION 5
Legal Issues
Robert M. Solomon and Sydney J. Usprich
Without question, the legal environment has become more challenging for all profes-
sionals in the last 35 years. Thus, it is not surprising that health care professionals
are increasingly being sued, and called upon in disciplinary hearings and other legal
contexts to explain and justify their conduct. There has been a parallel trend toward rec-
ognizing and protecting the legal rights of clients, especially those who are young. Legal
issues will continue to play a greater role in the working lives of all health care profes-
sionals, including those in the substance use field. This chapter aims to help substance
use workers understand the basic legal principles governing assessment and treatment.
In addition to the legal issues inherent in any treatment relationship, several com-
plicating factors can arise in the substance use field. First, some clients only reluctantly
enter treatment, in response to a probation order or at the insistence of an employer,
spouse, parent or registrar of motor vehicles. What impact do such pressures have on
your legal obligations to the client?
Second, some clients may be under the provincial age of majority, yet still have the
legal capacity to give a valid consent to treatment. It may sometimes be difficult to deter-
mine whether an underage client is competent to consent to the proposed treatment.
Assuming that a client is competent to consent, how should you respond to inquiries
about the case from parents, school officials, welfare workers or the police?
Third, the use of alcohol and other drugs frequently involves conduct that is not
only illegal, but which also may endanger the client and others. Do you have any legal
obligation to inform the police of a client’s criminal activities? Moreover, can you be held
civilly liable for failing to warn third parties of the dangers posed by a client?
Such issues arise because substance use treatment often cuts across the criminal
justice, health care, child welfare, education and employment systems. Rather than
provide an exhaustive legal analysis of these systems and their possible effects on treat-
ment, this chapter focuses on basic legal principles governing treatment relationships
and explains their special application to substance use workers.
Equally, we do not have the space to review the relevant statutes and cases in every
jurisdiction in Canada. Consequently, the body of this chapter outlines the major prin-
ciples, while the References section points to more specific principles. The exact legal
rules vary from jurisdiction to jurisdiction, reflecting differences in provincial case law
and statutes.
676 Fundamentals of Addiction: A Practical Guide for Counsellors
The first section of this chapter examines the law governing consent to treatment,
counselling and care. A brief discussion of liability in negligence is provided in the sec-
ond section. The third section examines confidentiality, disclosure, reporting obligations
and the duty to warn.
One hallmark of our legal system is the importance it attaches to the protection of a per-
son’s physical integrity. Whether couched in terms of physical inviolability, autonomy,
self-determination or privacy, the principle is the same—namely, a person’s right to con-
trol his or her own body. However, this concept is a double-edged sword, in that the law
protects the individual’s right to decide, whether the person’s decision is wise or foolish.
Virtually any physical interference with another person may result in both crimi-
nal liability (Criminal Code, s. 265(1)) and civil liability.1 In the absence of consent, the
defendant will be held liable unless he or she can legally justify the interference on some
other ground. In these situations, however, treatment professionals are rarely charged
with a criminal offence. Rather, the issue of consent typically arises in determining
whether the health care professional has a valid defence to a civil action for the tort
(wrongful act) of battery.
Battery is defined as intentionally bringing about a harmful or socially offensive
physical contact with another person (see, for example, Bettel v Yim, 1978). Merely touch-
ing a client may give rise to liability; he or she need not suffer any physical injury. Any
surgical procedure, administration of drugs or treatment involving physical contact may
constitute battery. Once the client establishes that physical contact occurred, the burden
of proof shifts to the professional to establish a valid defence (Non-marine Underwriters,
Lloyd’s of London v Scalera, 2000). If the defendant cannot prove that the client consented
or that there is another defence, the defendant will be held liable for all the consequences
of the battery. In most cases, the key issue is not whether physical contact occurred, but
whether the clinician can establish the defence of consent.
The legal principles governing the defence of consent have developed almost
exclusively from cases involving surgery and other physical interventions. However, the
tort of battery is also relevant to substance use treatment programs that include physi-
cal examinations, taking blood samples, administering drugs or other physical contact.
Treatment that involves only the taking of a history, questionnaires, counselling or simi-
lar non-physical interactions cannot give rise to a battery claim. Nonetheless, the issue of
consent and the principles governing it are still relevant in these situations.
1 Depending on the facts, a physical interference can give rise to one or more civil actions in tort: battery (physical contact),
assault (threat of immediate physical contact) and false imprisonment (imposition of a total restraint of movement).
Chapter 26 Legal Issues 677
Several provinces and territories have enacted statutes governing specific aspects of con-
sent to treatment, counselling and care (see, for example, Ontario’s Health Care Consent
Act, 1996, ss. 10–11; and British Columbia’s Health Care (Consent) and Care Facility
(Admission) Act, ss. 4–6). However, in the absence of applicable statutory provisions to
the contrary, the relationship between health care professionals and their clients is gov-
erned by the common law principles of consent, which are summarized below.
As a general rule, a treatment professional must obtain consent for any test, pro-
cedure, surgery, counselling or physical examination. Consent should be obtained in
advance, and should cover the intervention, as well as any related issues regarding record
keeping, confidentiality, reporting obligations and other disclosures of information.
The consent must relate to the specific treatment or counselling undertaken (Parmley v
Parmley and Yule, 1945; Schweizer v Central Hospital, 1974). If the client is competent to
give a valid consent, then his or her consent alone is required (C. v Wren, 1986; Starson
v Swayze, 2003; Hughes Estate v Hughes, 2007). The consent of the next-of-kin is relevant
only if the client is not competent to give consent. Even then, the validity of a substitute
consent is limited (Re Superintendent of Family & Child Services and Dawson, 1983; “Eve”
v “Mrs. E.,” 1986).
To be valid, consent must be given voluntarily. However, the concept of volition is
defined broadly, and rests on whether the client’s decision was the product of his or her
conscious mind (Smith v Stone, 1647; Gilbert v Stone, 1648). For example, clients who
reluctantly consent to drug treatment because it is a term of probation, or because they
have been threatened with being fired from a job or expelled from school, will still be
held to have consented “voluntarily” (Deacon v Canada (Attorney General), 2006).
A client may consent implicitly or explicitly (Strachan v Simpson, 1979; O’Bonsawin
v Paradis, 1993; Battrum v British Columbia, 2009). The fact that a client comes for treat-
ment provides a broad measure of implicit consent. Clients may seek treatment for
alcohol or other drug problems, and yet expressly limit the scope of their consent. A
substance use worker may refuse to treat the client if these limitations are unreasonable.
However, the worker cannot ignore or override the client’s stated prohibitions (Mulloy v
Hop Sang, 1935; Malette v Shulman, 1990).
Traditionally, a health practitioner’s failure to obtain a valid consent was viewed as a basis
for a battery action, whether the lack of consent was due to a failure to disclose the risks
or to misrepresentation. Consistent with American practice, the Canadian courts began
to analyze some medical consent cases in terms of negligence: Has the doctor failed to
exercise a reasonable standard of care in advising the patient of the nature of the proce-
dure and its risks? As in the United States, this development created uncertainty as to
the boundary between medical battery and medical negligence.
678 Fundamentals of Addiction: A Practical Guide for Counsellors
The Supreme Court of Canada resolved this issue in two 1980 cases (Reibl v
Hughes and Hopp v Lepp), holding that once patients are aware of the general nature of
the treatment, they cannot bring a battery action alleging that they were not informed of
the risks. Rather, battery actions are limited to cases in which the patient did not consent
at all, the consent was exceeded or the consent was obtained fraudulently. In all other
cases, the plaintiff must bring a negligence action for failure to obtain an informed con-
sent. By requiring a plaintiff to frame these actions in negligence, the Supreme Court
significantly limited the scope of health professionals’ potential liability.
The courts have relaxed the strict requirements of consent in three situations. First, in an
unforeseen medical emergency where it is impossible to obtain the patient’s consent, a
health professional is allowed to operate without consent to preserve the patient’s health
or life (Marshall v Curry, 1933; Murray v McMurchy, 1949). This right is granted to health
care professionals in order to save lives. This is the basis upon which emergency room
staff are permitted to operate on unconscious accident victims.
The second exception involves clients who have given a general consent to a
course of therapy, treatment program or operation. In such situations, a client will be
viewed as implicitly consenting to any subordinate tests, procedures or interventions
that are necessarily incidental to the broader course of treatment (Male v Hopmans, 1967;
Villeneuve v Sisters of St. Joseph, 1971). However, this implied consent will be negated if
the client objects. While it may not be legally necessary, it is prudent to obtain a specific
consent for any subordinate procedures that pose significant risks or involve sensitive
sexual, legal or emotional issues.
Third, the courts at one time permitted health care professionals to withhold
information from a client if the disclosure would undermine the client’s morale or
discourage him or her from having needed treatment (Kenny v Lockwood, 1932; Male v
Hopmans, 1967). However, consistent with the increased emphasis on patients’ rights,
the courts have rejected or narrowed this “therapeutic privilege” doctrine. For example,
the judge in Meyer Estate v Rogers (1991) stated that the doctrine is no longer part of
Ontario law. In Pittman Estate v Bain (1994), the court acknowledged that the therapeutic
privilege to withhold information continues to exist, but defined it very narrowly. Health
care professionals do have some discretion, but it is best viewed as being limited to how
they inform clients, the technical matters they discuss and the emphasis they place on
the relative risks of undergoing versus forgoing treatment.
Unless a statute states otherwise, a client may give consent orally or in writing. Since the
client’s presence provides some measure of implied consent, it is not legally necessary
Chapter 26 Legal Issues 679
to obtain written consent for routine treatment sessions. However, it is wise to obtain
written consent for treatment that involves significant risks, is complex or innovative, or
entails potentially sensitive legal, sexual or emotional issues. Similarly, written consent
is recommended if the client is immature, unstable or lacks good judgment. Based on
these criteria, it would be prudent for substance use workers to obtain written consent at
the outset of the treatment relationship. Moreover, many agencies require staff to obtain
a signed consent to initiate any counselling or treatment.
A signed consent form provides only some evidence of consent, not conclusive
proof. The key legal issue is not whether a client signed a consent form, but rather
whether he or she understood the nature of the proposed treatment and its risks,
benefits and alternatives. In other words, was the client given sufficient information to
make an informed decision, and did he or she consent to the treatment? A signed con-
sent form is only as good as the information it contains and the circumstances in which
it is presented to the client. A signed consent form is of little value if:
• it is written in technical language that the client cannot understand
• it is presented as a mere technicality
• there is no opportunity to read it
• it is written in general language that did not identify the specific treatment and its
risks
• the client’s questions were not adequately answered
• the client was in severe pain, intoxicated or drugged when signing it.
The terms “competency” and “capacity” are often used synonymously, but practice in this
regard varies. To be valid, a consent must be given by a client who is legally competent.
The general test of competency is whether the client can understand the information
relevant to making an informed decision and appreciate the reasonably foreseeable con-
sequences of that decision. The test of competency relates to the ability to comprehend
information, not to the ability to make a prudent decision.
A client may be competent to make some decisions, but not others. Similarly, a
client may be competent to make a certain decision one day, but not the next. Finally,
the law presumes that all individuals are competent, unless there is clear evidence to the
contrary (Re C (Adult: refusal of medical treatment), 1994). This very low threshold test is
applied on a case-by-case basis.
As stated earlier, if the client is competent to consent, then his or her consent
alone is relevant. Indeed, it would be inappropriate even to discuss a client’s treatment
with the next-of-kin without the client’s consent, because this would involve a breach of
confidence. Consequently, the assessment of a client’s competency to consent is a criti-
cally important preliminary issue.
680 Fundamentals of Addiction: A Practical Guide for Counsellors
Minors
General principles
The age of majority varies across Canada. Moreover, this legislation typically does not
govern the age of consent to treatment. In the absence of a statute to the contrary, the test
of competency is the same whether the client is a minor or an adult. Generally, the court
will assess whether the client understands the proposed treatment and its risks, benefits
and alternatives, and appreciates the consequences of having or forgoing it. If a minor
meets this test, then his or her consent is valid and parental consent is unnecessary
(Walker (Litigation Guardian of) v Region 2 Hospital Corp., 1994). In some jurisdictions,
the issue is framed in terms of whether the person is a “mature minor” and the courts
rely on indications of independence as a guide to this determination (Re Dueck, 1999).
As the following case illustrates, Canadian courts increasingly recognize the right of
young people to make their own treatment decisions.
In C. v Wren (1986), the plaintiffs sought an injunction to prevent a doctor from
performing an abortion on their 16-year-old daughter. As was then required by the
Criminal Code, the daughter had obtained approval from a therapeutic abortion com-
mittee. The court sympathized with both the parents and their daughter in this “painful
dispute” over the ethics of the proposed abortion. However, the legal issue was clear:
Could this 16-year-old girl give a valid consent to a therapeutic abortion? The court
concluded that the daughter understood the nature of the procedure and its risks, and
therefore was competent to give a valid consent. Consequently, the parents’ application
for an injunction was dismissed.
In A.C. v Manitoba (Director of Child and Family Services) (2009), the Supreme
Court of Canada held that statutory age provisions must comply with the requirements
of the Canadian Charter of Rights and Freedoms. The provision must take increasing
account of a young person’s views in accordance with his or her maturity. Moreover, a
child’s maturity must be assessed individually, having regard to the nature of the treat-
ment and the severity of the potential consequences.
Summary
Unless a statute states otherwise, minors can give a valid consent to alcohol and other
drug treatment. The key issue is whether the minor is capable of understanding the
proposed treatment and its risks. If the minor meets this test of competency, the con-
sent of the parent or guardian is not required. As in Ontario, several provincial statutes
may impose age-of-consent requirements for certain limited types of treatment. The end
result is that the age of consent to substance use treatment is governed by a complex
tangle of common law and statutory provisions that vary from province to province.
However, the trend is to recognize that young people can make their own treatment,
counselling and care decisions if they have the ability to understand the relevant infor-
mation and appreciate the consequences of their decisions.
Adults
The general test of competency is the same whether the client is a minor or an adult.
The principles apply equally to those in custody or under other legal restraints, unless
there is express statutory authority to the contrary (Attorney General of British Columbia v
Astaforoff, 1984; Attorney General of Canada v Notre Dame Hospital, 1984). If the person is
competent, his or her consent to treatment must be obtained. Although a client’s refusal
to consent to treatment may constitute a breach of probation or a violation of parole, that
does not alter the treatment worker’s obligation to abide by the client’s decision.
The issue of an adult’s competency may also arise in cases involving mental ill-
ness or dementia. However, the mere fact that a client is, for example, mentally ill does
not mean he or she is incapable of giving a valid consent. Rather, clinicians must assess
each client’s ability to understand the proposed treatment and its risks. Although this
principle is easy to state, it may be difficult to apply in many situations, such as that of an
occasionally disoriented person with a severe alcohol problem (Starson v Swayze, 2003;
Neto v Klukach, 2004; Isber v Zebrowski, 2009).
682 Fundamentals of Addiction: A Practical Guide for Counsellors
One area that has caused confusion is the role of health care professionals in
treating people suspected of impaired driving. Although this issue is more relevant to
hospital emergency staff than to substance use workers, a brief summary of the current
law follows. Health care professionals must refuse police requests to take blood samples
or conduct other tests on unwilling or unconscious suspects for enforcement purposes.
These situations must be distinguished from medical emergencies in which it is impos-
sible to obtain the suspect’s consent. In such cases, the staff may perform any medical
procedures needed to save the life or preserve the health of the suspect. Even in these
situations, the blood samples or test results should not simply be given to the police.
Rather, the police must obtain a search warrant authorizing them to seize the evidence
(Pohoretsky v The Queen, 1987; R. v Dyment, 1988; R. v Greffe, 1990).
In 1985, Parliament introduced a special warrant that authorizes blood samples
to be taken from unconscious impaired driving suspects in limited circumstances. A
health care professional acting under this warrant is protected from both civil and crimi-
nal liability. Nonetheless, the legislation permits health care professionals to refuse to
participate in the procedure (Criminal Code, ss. 256(1) & 257).
Substitute Consent
The issue of substitute or next-of-kin consent arises only if the client is not competent
to give or withhold consent, or a statute requires a parental or other third-party consent.
In such circumstances, the law permits the client’s substitute decision maker to give or
refuse consent on the incompetent client’s behalf. In Ontario, the Health Care Consent
Act, 1996, sets out a ranked list of those who may give substitute consent for treatment
(s. 20). However, it can be hard to find a substitute decision maker in some cases, such
as those involving people living on the street. The Act states that if no one else higher on
the list is competent, readily available and willing to serve as a substitute decision maker,
then the Public Guardian and Trustee (PGT) has authority to make the decision (s. 20(5)).
Similarly, the PGT will exercise substitute consent if two substitute decision makers at the
same rank disagree on whether to give or refuse consent (s. 20(6)).
The power to exercise substitute consent is not absolute. The decision to give or
withhold consent must accord with any prior known wish of the individual that was
expressed when he or she was competent (Malette v Shulman, 1990; Fleming v Reid,
1991). If there is no such wish, the substitute decision maker must make the decision in
the best interest of the patient deemed incompetent (T.(I.) v L.(L.), 1999). Thus, a court
can invalidate a parental decision to refuse drug treatment for their incompetent child if
the parents’ refusal is not in the child’s best interest (“Eve” v “Mrs E.,” 1986). The court
can order that the child be given treatment or be made a ward of the provincial child
welfare agency. The agency would then give the necessary consent for the child to receive
the needed treatment.
Chapter 26 Legal Issues 683
Once it is established that a client has consented, it must be determined whether any
factors negate consent. If the consent is negated, the practitioner’s legal position would
be the same as if there had been no consent. There are four factors that the courts may
consider in negating consent: mistake, duress (coercion), deceit (fraud) and public policy.
If a client consented to treatment under a mistaken belief created by the treatment
professional, the client’s consent would be negated (Parmley v Parmley and Yule, 1945;
Guimond v Laberge, 1956). This issue would arise if a clinician inadvertently overstated
the benefits of the treatment or failed to adequately answer the client’s concerns about
the risks, and the client consented based on these misconceptions. While it is important
to encourage clients to have beneficial treatment, care must be taken not to overstate the
benefits or understate the risks.
Consent is invalid if it was obtained under duress, which the courts have defined
narrowly as an immediate threat of physical force (Latter v Braddell, 1880; Re Riverdale
Hospital and C.U.P.E., 1985). As long as the courts continue to use this restrictive defini-
tion, the issue is unlikely to arise in a typical drug treatment situation. The fact that a
client consented only reluctantly (e.g., to avoid being thrown out of the house, expelled
from school or charged with breach of probation) does not constitute duress. However,
the issue of duress would arise if a client consented because of an unlawful threat of
being physically restrained or drugged.
A client’s consent is also invalid if it was obtained through deceit, which the courts
have limited to a person’s lying or acting in total disregard for the truth. Deceit will
negate consent only if it relates to the nature of the proposed treatment or its potentially
harmful consequences, as opposed to any other matter (R. v Cuerrier, 1998 and R. v
Williams, 2003). The issue of deceit would arise if, for example, a counsellor knowingly
misled research participants into believing they were receiving an active drug, when they
were being given a placebo.
The courts have increasingly recognized public policy factors in negating the
defence of consent. For example, in Lane v Holloway (1968), the court refused to accept
the defence of consent, because it was obvious from the outset of the fight that the
elderly plaintiff was no match for the young defendant. Consent may also be negated if
it would be “unconscionable” to allow the defendant to raise the defence, as in the case
of a foster father who had consensual sexual relations with his 15-year-old stepdaughter
(M.(M.) v K.(K.), 1989). Similarly, consent may be negated if it was obtained by exploit-
ing a relationship of trust. Thus, the fact that the patient consented to sexual contact in
exchange for drugs did not provide her doctor with a defence in a battery action (Norberg
v Wynrib, 1992).
684 Fundamentals of Addiction: A Practical Guide for Counsellors
Conclusion
With limited exceptions, treatment relationships in our legal system are based on con-
sent. Although consent issues usually relate to medical procedures, they apply equally
to psychological assessment, treatment and counselling. Therefore, before beginning
counselling or treatment, substance use workers should ensure they have obtained a
valid consent. The following checklist will help with this task.
Consent checklist
• Is the client capable of giving or refusing consent? (Can the client understand the
procedure and its risks, and appreciate the likely consequences of having or failing to
have the proposed treatment?)
• If the client is capable of giving consent, has he or she explicitly consented to the
proposed treatment?
• If not, has the client implicitly consented and how was that implicit consent demon-
strated?
• Is the consent valid in that the client consented voluntarily?
• Is the consent valid in that it is an informed consent? (Have the risks and benefits of
the proposed treatment and its alternatives been explained? Have the material risks
been disclosed? Have the client’s questions been fully and frankly answered?)
• Is there adequate proof of consent? Is this a situation in which the consent should be
in writing?
• If the client is not capable, is this an emergency in which the health practitioner is
authorized to intervene without consent?
• If this is not an emergency, has a valid substitute consent been given?
• Do any factors—mistake, duress, deceit or public policy—invalidate the consent or
substitute consent?
Liability in Negligence
The term “negligence” is used in two distinct ways. In its broader sense, it refers to a
major branch of tort or civil liability law. In its narrower sense, the term refers to one
element of this cause of action, namely whether the defendant’s conduct breached the
standard of care. It is generally easy to determine from the context when the term is
being used to describe the branch of law or the breach of the standard of care.
Health practitioners can be held accountable in negligence for acts arising from any
aspect of their professional responsibilities. For example, the liability of a psychologist or
social worker is not limited to counselling, but can stem from interviewing and assess-
ing a client; designing a treatment plan; record keeping; making a referral or placement;
failing to control or protect a client; and hiring, training, assigning or supervising staff.
Chapter 26 Legal Issues 685
Our courts recognize that health, counselling and care professionals cannot be
expected to guarantee the outcome of the services that they provide. Rather, negligence
is reflected in the standard of care that these and other professionals are required to
meet. The fact that an operation fails; a patient dies; or a client reoffends, resumes
drinking or remains depressed does not constitute negligence. Nor are individuals
held to have breached the standard of care simply because their decision in hindsight
proved to be wrong.
Rather, negligence refers to a breach of the standard of care that would be expected
of a reasonable person in the circumstances. The standard is geared to the specific
education, experience and professional qualifications of the defendant (Crits v Sylvester,
1956; T.(S.) v Gaskell, 1997; B.(K.L.) v British Columbia, 2003). Thus, a social worker
providing addiction counselling to a teenager would be held to the standard of care of
a reasonable social worker with the same training and experience. It may be helpful to
view negligence in this context as conduct that is substandard in terms of one’s profes-
sion. In essence, a counsellor’s or therapist’s liability in negligence turns on meeting the
standards of his or her peers and profession, and not on some external legal principle.
It is important to distinguish between negligence and errors in judgment. There
is no liability in negligence for errors in judgment. Assume that a social worker, after
conducting a thorough assessment, places a child in a foster home and the child is
subsequently abused by one of the foster parents. Although the social worker’s decision
had tragic consequences for the child, placing the child in that home would be viewed
as an error in judgment and not negligence. In other words, the issue is not whether a
decision was right, but rather whether it was reasonable (Wilson v Swanson, 1956; D.(B.)
v British Columbia, 1997).
It is also crucial to distinguish between the concepts of negligence and incompe-
tence. An allegation of negligence is generally made in terms of a specific act, placement,
referral or decision. The fact that a practitioner’s conduct on one occasion or in one
regard was negligent does not mean that he or she is incompetent. The term “incompe-
tence” generally refers to situations in which an individual is viewed as being unable to
meet the standards or discharge the responsibilities of his or her profession. Depending
on the context, a finding of incompetence can result in the person being disciplined by
his or her governing college, sued by the client in negligence or fired by the employer
for cause without notice.
practice, this will provide some evidence that he or she met the standard of care.
Conversely, if the client can prove that the practitioner breached the relevant customary
practice, this will provide some evidence that the practitioner was negligent (Chasney v
Anderson, 1950; Emmonds v Makarewicz, 1995). The Canadian courts have held that a
judge may reject a customary practice if that practice is patently unsafe or fraught with
risk (ter Neuzon v Korn, 1995; Comeau v Saint John Regional Hospital, 2001).
ward signs of distress; and both external and internal support mechanisms appeared to
be in place for the plaintiff. The social worker thought that the therapeutic alliance with
the plaintiff was very strong.
The courts have held that counsellors owe professional duties to their clients, and
not to the client’s partner or family. In N.(M.) v Froberg (2009), a psychologist who had
assessed two children at the request of their mother was sued by the children’s father.
In dismissing the suit, the court stated that the psychologist owed a common law duty
and a fiduciary duty to her clients, the children, and not to the plaintiff. The counsellor’s
paramount concern must always be the best interests of her clients (D.(B.) v Halton
Region Children’s Aid Society, 2007).
Those who represent themselves as providing counselling services are expected
to meet minimum standards of competency in counselling, even if they do not have any
professional qualifications or training. Thus, a private addiction withdrawal program
was held liable in negligence for the conduct of a live-in patient who served as a supervi-
sor on the premises. The patient/supervisor ignored a resident’s suicide attempt earlier
in the day on which the resident killed himself on the premises (Roy c. Taxi-Go-Gîtes
inc., 2004).
In keeping with the rise of patients’ and clients’ rights, the courts require that clients
be given enough information to make an informed decision about the proposed treat-
ment and its alternatives. This does not mean that clients must be told of all the possible
risks (Reibl v Hughes, 1980; Hopp v Lepp, 1980; Haughian v Paine, 1987). The key legal
principles governing informed consent are summarized below. A practitioner’s failure
to adequately inform a client of the risks of a procedure or treatment may result in the
practitioner being held liable in negligence.
• Practitioners have a legal duty to disclose to their patients or clients all the material
risks associated with a proposed procedure. The term “material risk” includes a small
risk of a serious consequence. In the foundation case, a four per cent chance of death
and a 10 per cent chance of paralysis were held to constitute material risks (Reibl v
Hughes, 1980). The courts have increasingly held that very small and even remote
risks of death or serious injury are material. Examples include:
-- a very small risk of stroke during a neck manipulation by a chiropractor (Leung v
Campbell, 1995)
-- an extremely small chance of stroke from taking oral contraceptives (Buchan v
Ortho, 1986)
-- a 1/40,000 to 1/100,000 chance of death as a result of a severe reaction to a diag-
nostic dye (Meyer Estate v Rogers, 1991)
-- a 1/220 chance of having a baby with Down’s syndrome (Zhang v Kan, 2003).
• The term “material risk” also includes a substantial probability of a relatively minor
consequence, such as a 35 per cent risk of a minor infection.
688 Fundamentals of Addiction: A Practical Guide for Counsellors
• In addition to informing the patient of the physical nature of the risk (e.g., cutting a
nerve), the practitioner must explain the impact of such an eventuality on the patient’s
life (Tremblay v McLauchlan, 2001).
• Practitioners must also disclose non-material risks that they know, or ought to know,
would be of particular concern to the client or patient.
• Practitioners should discuss with the client or patient the consequences of leaving the
problem untreated.
• The courts have increasingly required full disclosure of the alternatives to the pro-
posed treatment, particularly if the proposed treatment involves significant risks
(Haughian v Paine, 1987; Thibault v Fewer, 2002; Remtulla v Zeldin, 2005).
• Practitioners must answer all questions openly and honestly, even if the answers
would discourage the patient or client from consenting (Hartjes v Carmen, 2004).
• Responsibility for obtaining an informed consent rests with the person performing
the service. While practitioners may delegate this task to a subordinate, they are ulti-
mately accountable for ensuring that an informed consent was obtained (Semeniuk v
Cox, 1999).
• Practitioners may use videos, pamphlets and other similar means of informing
patients and clients, but they must ensure that the person understands the informa-
tion and its significance (Byciuk v Hollingworth, 2004).
• Practitioners do not have any clear therapeutic privilege to withhold information
because they feel that a patient or client is unable to cope with the information. They
do, however, have the freedom to decide how they will present the information and
what they will emphasize.
• Practitioners do not have to disclose information to patients or clients who have
expressly stated that they do not want to be informed of the risks, benefits and
alternatives.
• Practitioners who do not meet these standards of disclosure are in breach of their
duty of care. However, the patient or client must also establish that the failure to be
informed caused or contributed to his or her injuries. In effect, the failure to inform
must have induced the plaintiff to consent to treatment to which he or she would not
otherwise have agreed, and that treatment must have caused the plaintiff’s loss (Arndt
v Smith, 1997; Turkington v Lai, 2007; Sterritt v Shogilev, 2009).
Traditionally, the common law did not impose liability in negligence on a person for fail-
ing to act for the benefit of another. While the courts continue to pay lip service to this
general principle, they have recognized a growing number of “special relationships” in
which one person may be held civilly liable for negligently failing to control or protect
another. It is well established that a “special relationship” giving rise to a duty to control
and protect exists between:
Chapter 26 Legal Issues 689
• children and their parents and teachers (Myers v Peel County Board of Education, 1981;
Eichmanis (Litigation Guardian of) v Prystay, 2003; Hussack v Chilliwack School District
No. 33, 2009)
• police and corrections staff and prisoners (Williams v New Brunswick, 1985; S.(J.) v
Clement, 1995; Rhora (Litigation Guardian of) v Ontario, 2006)
• probation/parole officers and probationers/parolees (Hendrick v De Marsh, 1984;
H.(D.) v British Columbia, 2008)
• employers and employees (Jacobsen v Nike Canada Ltd., 1996; Sulz v Canada, 2006).
The courts have consistently held that a special relationship exists between health
care professionals and their patients and clients. As the following cases illustrate, prac-
titioners are not held liable simply because their decision turns out to have been wrong.
Rather, the plaintiff must establish that the practitioner’s conduct fell below the standard
of care expected of a reasonable professional in the circumstances.
In Villemure v L’Hôpital Notre-Dame (1973), a patient was admitted to the psychiat-
ric ward of a hospital after attempting suicide. On his physician’s recommendation, the
patient was moved from the psychiatric ward that had barred windows to a semi-private
room that did not. The patient’s requests to be returned to the psychiatric ward were
ignored and he was left in the room unsupervised. Shortly thereafter, he died by suicide
by jumping from the window. The patient’s attending physician and the hospital’s nurs-
ing staff were held liable in negligence for failing to properly supervise and safeguard
the patient.
In Holan Estate v Stanton Regional Health Board (2001), a voluntary patient suf-
fering from severe depression died by suicide while on a pass issued by his treating
physician. Before she allowed the patient to leave, a psychiatric nurse with 15 years expe-
rience conducted her own assessment and determined that the patient did not pose an
undue risk to himself or others. The doctor and nurses were not held liable in negligence
because they had undertaken an appropriate assessment and exercised their clinical
judgment accordingly. Although in hindsight their decision was incorrect and had tragic
consequences, they exercised reasonable care in making that decision.
In Yelle v Children’s Aid Society of Ottawa-Carleton (2002), the plaintiffs sued
Children’s Aid and the foster parent of a youth who set their homes on fire. The youth
had a long history of serious psychological and behavioural problems that started when
he was three years old. Numerous assessments had indicated that he needed ongoing
counselling and a very structured environment. His conduct improved substantially in
the Roberts/Smart Centre where he received counselling. However, his conduct deterio-
rated rapidly after he was discharged. In the year prior to the fires, he was involved in
a series of break and enters, thefts and other property offences, fights and threats. An
experienced foster parent, who had temporary care of the youth and knew of his previous
arsons, warned Children’s Aid that the youth was going to set fires, given his history.
During this year, Children’s Aid repeatedly transferred the youth from one short-term
or emergency foster placement to another. The last placement was in an untried foster
home with an inexperienced and untrained foster parent. Children’s Aid took no steps
690 Fundamentals of Addiction: A Practical Guide for Counsellors
to obtain counselling for the youth, despite his escalating pattern of serious criminal
offences. Nor did Children’s Aid pursue the possibility of obtaining the youth’s consent
to return to the centre where he had done well, or obtaining a court order for secure
custody if he refused to consent. The court held that Children’s Aid owed the plaintiffs a
duty of care, given the youth’s clear pattern of escalating criminality in the community.
Children’s Aid was held to be negligent in failing to provide counselling, support and
a structured environment, which the youth “so desperately needed.” The claim against
the foster parent was dismissed because she had acted in good faith to discharge her
responsibilities.
Several challenging issues may arise around an addiction worker’s duty to control
and protect. Consider a situation in which a client who is intoxicated attends a counsel-
ling session and causes a car crash while driving home. The counsellor may be sued
for negligently allowing the client to leave in a condition that posed a foreseeable risk
of injury to the client or others. Such a case might succeed if the counsellor had been
negligent in failing to recognize the client’s intoxication, or had realized that the client
was impaired but did not make a reasonable effort to stop him or her (see Monteith v
Hunter, 2001).
The term “confidentiality” has several meanings in common usage. However, when used
in a legal context, confidentiality refers to the legal obligation not to willingly disclose
information that has been received in confidence, without the client’s consent (Halls v
Mitchell, 1928; Cronkwright v Cronkwright, 1971; R. v Dersch, 1993). Consequently, a sub-
stance use worker who disclosed information without a client’s consent would not be in
breach of confidentiality if he or she was required to do so by a search warrant, subpoena
or other court order. Nor would a counsellor breach confidentiality if he or she complied
with the province’s mandatory child abuse reporting provisions or disclosed information
as required by other statutes.
The public tends to view confidentiality as an absolute guarantee of silence. Many
people believe that information given in confidence to health care professionals will
never be disclosed without explicit consent. As a result, counsellors may find them-
selves caught between their legal obligation to comply with court orders or mandatory
reporting provisions and their clients’ reasonable, but mistaken, understanding of con-
fidentiality. To avoid being seen as betraying a client’s trust, counsellors should explain
the meaning and limits of confidentiality at the outset of the relationship.
An obligation of confidentiality will not usually arise until a health care profes-
sional has entered a counselling or other treatment relationship with a client. The courts
will likely hold that a confidentiality obligation begins when it would be reasonable for
Chapter 26 Legal Issues 691
the client to expect privacy. Although not all telephone requests for appointments or
information would give rise to such an obligation, some might. For example, a reminder
for an eye appointment left with a client’s secretary is likely to be treated differently from
a reminder for an appointment with a substance use counsellor. Obviously, the more
serious the matter, and the more emotionally, sexually or legally sensitive the issue, the
greater the expectation of privacy.
An obligation of confidentiality applies to all information that a client gives in
confidence, whether it relates to the client or to other people. However, the confidenti-
ality requirement is generally limited to statements and observations made within the
professional relationship. Thus, no confidentiality obligation would apply to a substance
use counsellor who happens to see an intoxicated client stagger to his car at a shopping
mall. Like any other member of the public, the counsellor could choose to call the police.
However, the counsellor would have to limit his or her statements to what was seen at
the mall, and would breach confidentiality if he or she disclosed any information arising
from the treatment relationship, including that the person was a client.
Depending on the circumstances, a health care practitioner may be subject to
several overlapping confidentiality obligations at any one time. First, a number of
provincial statutes impose confidentiality obligations on health care professionals in
specific situations. Second, counsellors may be subject to ethical and professional codes
of confidentiality. Third, a clinician who promises, either implicitly or explicitly, to main-
tain confidentiality will have a common law duty to honour that obligation. Fourth, the
courts are likely to assume that confidentiality is an inherent element of all therapeu-
tic relationships. Thus, even in the absence of a statute, professional code or promise
of confidentiality, those who present themselves to the public as counsellors may be
expected to treat client information as confidential.
Depending on the source of the obligation, a breach of confidentiality can lead
to penal, professional and civil liability. A person who breaches a statutory confidential-
ity obligation may be prosecuted. For example, a substance use worker in Ontario who
wrongfully discloses information from the clinical record of a psychiatric patient may be
prosecuted under the Mental Health Act and fined up to $25,000 (ss. 35 & 80). If a clini-
cian is a member of a regulated profession, such as social work or psychology, breaching
confidentiality may be grounds for a finding of professional misconduct and may lead to a
fine, reprimand or licence suspension. A breach of confidentiality may also result in civil
liability in negligence or in the emerging tort action for intentional breach of confidence.
Privilege
The legal term “privilege” refers to the right to refuse to disclose confidential informa-
tion when testifying, when faced with a subpoena for client records or when subject to
a mandatory reporting obligation (R. v O’Connor, 1995; R. v McLure, 2001; R. v National
Post, 2010). As a general rule, people called as witnesses in court or before other legal
tribunals must answer all relevant questions put to them (see, for example, Canada
692 Fundamentals of Addiction: A Practical Guide for Counsellors
Evidence Act, s. 46). Similarly, those served with subpoenas or other court orders must
provide the records or files that are sought. Privilege is an exception to these general
rules. In the absence of privilege, a person who defies a court order or refuses to answer
questions when testifying may be found in contempt of court (Cornwall Public Inquiry
(Commissioner of) v Dunlop, 2008).
Traditionally, the only professional relationship to which privilege applied was that
between solicitors and their clients. Solicitor-client privilege is based on the view that
our legal system requires clients to speak freely with their lawyers. This will only occur
if such communications remain confidential. However, even solicitor-client privilege is
limited. It applies only to statements about past criminal offences, and not to statements
about ongoing or future crimes. Nor does it apply to physical evidence. Although other
professionals, such as priests, police, psychologists, journalists and social workers, have
claimed a comparable need for privilege, common law has not granted such automatic
protection to these relationships.
Courts have discretion to grant privilege on a case-by-case basis to confidential
communications other than solicitor-client relationships (Slavutych v Baker, 1976). The
party seeking privilege must establish four requirements: the communication must have
originated in confidence; confidentiality must be essential to maintaining the relation-
ship; the relationship must be one that society values and wishes to foster; and the injury
to the relationship from disclosure of the information must outweigh the benefit of hav-
ing the relevant evidence available to resolve the case.
Communications made in the course of most care relationships would likely
satisfy the first three requirements. First, clients expect that the information they give
to counsellors or other health care professionals will be kept confidential. Indeed, most
professionals explicitly state that all information their clients provide will be kept con-
fidential. Second, successful treatment relationships are largely built on trust. Most
clients would not disclose intimate details about their lives unless they were assured of
confidentiality. Without such information, a substance use worker would be unable to
accurately assess the client’s problems and provide proper care. Third, society has an
interest in promoting successful treatment relationships.
The fourth requirement has been the most difficult to satisfy. If the confidential
information is relevant to the case, the courts have tended to deny privilege and order
disclosure. Not surprisingly, some judges may rule that the interests of justice in resolv-
ing cases outweigh the importance of granting privilege and maintaining confidentiality.
As the following case illustrates, this is particularly true in criminal, child abuse and
child custody cases. The courts also appear more reluctant to grant privilege when it is
sought by an accused, as opposed to a victim (R. v R.S., 1985; R. v Gruenke, 1991).
In Gibbs v Gibbs (1985), an estranged husband and wife were involved in custody
proceedings. The wife had a long history of mental illness that required hospitalization
on several occasions, and was reportedly displaying those symptoms again. The husband
argued that his wife could not be relied upon to care for their two children and that he
should be granted custody. In order to support his claim, the husband requested that
Chapter 26 Legal Issues 693
his wife’s psychiatric records be disclosed. The court ordered disclosure of the records
despite the doctor’s conclusion that this would likely have an adverse effect on the wife’s
treatment. The judge stated that the potential harm to the children far outweighed any
risks to the wife.
Despite frequent recommendations that privilege be extended, legislatures have
been reluctant to grant immunity from disclosure. Even where legislation purports to
provide privilege, the courts have tended to interpret privilege narrowly, on the basis
that the interests of justice require disclosure of all relevant information. Furthermore, a
provincial statute that privileges specific communication may be challenged if it conflicts
with federal legislation that authorizes disclosure of that same communication (see, for
example, R. v B., 1979). However, note that Parliament has enacted special statutory
privileging provisions to provide greater protection from disclosure to the records of
sexual assault victims (Criminal Code, ss. 278.1–278.91).
In summary, while almost all information that treatment workers obtain in pro-
viding treatment is confidential, little, if any, is privileged. Perhaps more importantly,
privilege is granted on a case-by-case basis and a treatment worker can never know at
the time of making a record whether it will be privileged. Consequently, treatment work-
ers should assume that some day they will have to testify and that their records may be
examined in court. This realization should encourage treatment workers to take their
record-keeping obligations seriously and to adopt a professional and objective tone in
preparing client records.
Reporting Obligations
3 See, for examples, Manitoba, The Highway Traffic Act, C.C.S.M. c. H.60, s. 157(1) & (2); British Columbia, Motor Vehicle Act,
R.S.B.C. 1996, c. 318, s. 230; and Ontario, Highway Traffic Act, R.S.O. 1990, c. H.8, ss. 203 and 204.
696 Fundamentals of Addiction: A Practical Guide for Counsellors
Under section 72(1), the duty to report applies to those who perform professional
or official duties with regard to children, including health care professionals, teach-
ers, counsellors, clergy, youth and recreation workers, service providers, peace officers,
coroners and solicitors. It is an offence for these people to fail to report as required and,
upon conviction, they may be fined up to $1,000 (s. 72(4) and (6.2)). The reporting obli-
gation is ongoing. Any person who has additional grounds to suspect one of the above
circumstances must promptly report these grounds to a Children’s Aid Society, even if
he or she has made previous reports regarding the child (s. 72(2)). Reports must be made
directly to a Children’s Aid Society. A person must not rely on a third person to report
on his or her behalf (s. 72(3)). The term “child” is defined, for the purposes of reporting,
as a person under 16 years of age. These duties to report apply even if the information
is confidential or privileged (s. 72(7)). However, nothing in this section overrides the
privilege that may exist between a solicitor and his or her client (s. 72(8)).
No action can be brought against a person for complying with these reporting
obligations, unless he or she acted unreasonably or in bad faith (s. 72(7)).
Failing to Warn
unequivocal threat during counselling to kill a third party and that there is no relevant
mandatory reporting obligation. If the counsellor breaches confidentiality, he or she may
be subject to penal, professional and civil liability. If the counsellor remains silent and
the threat is carried out, then the counsellor may be sued for failing to protect the victim.
The leading case in this area is Tarasoff v Regents of the University of California
(1976), which held that counsellors could be held liable for failing to warn intended vic-
tims, even if doing so required breaching client confidentiality. In this case, a client told
his psychologist at the University Hospital that he intended to kill his former girlfriend
when she returned from vacation. The psychologist concluded that the client was danger-
ous and contacted the campus police. The client was picked up, briefly detained and then
released. Neither the woman nor her family were warned of the potential danger. When
the woman returned, the client killed her. The family sued the psychologist for failing to
warn. The court acknowledged the psychologist’s arguments about the difficulty of pre-
dicting dangerousness, but indicated that this was not the issue. The psychologist was
not being sued because he had negligently assessed his client. Rather, he was being sued
because he had concluded that the client was dangerous and failed to warn the intended
victim. The psychologist also argued that there should be no duty to warn because it
would necessitate breaching his ethical obligation to maintain confidentiality. In reject-
ing this argument, the court emphasized that the confidentiality obligation to the client
ends when the public peril begins. Consequently, the judge rejected the psychologist’s
request to dismiss the family’s claim and sent the case to trial. The psychologist and the
university settled out of court for close to $2 million dollars before the trial.
Although Canadian courts have not addressed the civil liability issue that arose
in Tarasoff, it appears that they would also give priority to public safety. In Smith v Jones
(1999), a psychiatrist interviewed the accused at the request of his lawyer. The accused,
who was charged with the aggravated sexual assault of a prostitute, told the psychiatrist
that he planned to kill prostitutes. The psychiatrist told the lawyer that the accused was
dangerous and would likely commit future crimes. The accused pleaded guilty, but the
psychiatrist’s concerns were not addressed at the sentencing hearing. The psychiatrist
sought a declaration allowing him to disclose the privileged information in the interest
of public safety. The Supreme Court of Canada upheld the psychiatrist’s request for a
declaration authorizing disclosure of the privileged information. The Court stated that
danger to public safety may, in appropriate circumstances, justify setting aside solicitor-
client privilege. The Court stated that there must be a clear risk of imminent serious
bodily harm or death to an identifiable person or group.
Although Smith is not a duty to warn case, it strongly suggests that the Canadian
courts will go at least as far as Tarasoff in requiring professionals to warn and take other
steps to protect the public. However, both Tarasoff and Smith involve unequivocal death
threats made against an identified victim or class of victims by a person who the profes-
sional concluded was capable of murder. What remains to be resolved is whether this
duty will be imposed in other high-risk situations. For example, would a duty arise if the
client was only threatening suicide, or was incapable of operating a crane, driving a train
Chapter 26 Legal Issues 699
Conclusion
Treatment professionals should assume that all client information is confidential, but
that nothing will be privileged. As a working guideline, information should not be dis-
closed without the client’s consent, unless the professional is compelled by law to do so.
The statutory requirements governing disclosure and reporting are complex and
varied. They may be supplemented by the rules that agencies or institutions adopt.
Moreover, additional requirements may be imposed by the governing bodies of particu-
lar professions. This chapter covered the general principles and specific examples of
common situations, but it is up to each substance use worker to determine the require-
ments that pertain to his or her specific situation.
References
Statutes
Child and Family Services Act, R.S.O. 1990, c. C.11.
The Child and Family Services Act, C.C.S.M. c. C.80.
Criminal Code, R.S.C. 1985, c. C-46.
Education Act, R.S.O. 1990, c. E.2.
Health Care Consent Act, 1996, S.O. 1996, c. 2.
Health Care (Consent) and Care Facility (Admission) Act, R.S.B.C. 1996, c. 181.
Health Protection and Promotion Act, R.S.O. 1990, c. H.7.
Mental Health Act, R.S.O. 1990, c. M.7.
Regulated Health Professions Act, 1991, S.O. 1991, c. 18.
Regulated Health Professions Act, 1991, S.O. 1991, c. 18, Schedule 2: Health Professions
Procedural Code.
Social Work and Social Service Work Act, 1998, S.O. 1998, c. 31.
Trillium Gift of Life Network Act, R.S.O. 1990, c. H.20.
Cases
A.C. v Manitoba (Director of Child and Family Services), [2009] 2 S.C.R. 181.
Arndt v Smith (1997), 35 C.C.L.T. (2d) 233 (S.C.C.).
Attorney General of British Columbia v Astaforoff, [1984] 4 W.W.R. 385 (B.C.C.A.).
Attorney General of Canada v Notre Dame Hospital (1984), 8 C.R.R. 382 (Que. S.C.).
B.(K.L.) v British Columbia (2003), 19 C.C.L.T. (3d) 66 (S.C.C.).
700 Fundamentals of Addiction: A Practical Guide for Counsellors
Why Me?
Addiction workers who deal with clients involved in the criminal justice system may, at
some point, be required to appear in criminal court. The most common reasons for an
addiction worker being called to testify are (1) to provide evidence about a client’s atten-
dance (or non-attendance) or participation in a treatment program; and (2) to explain
addiction assessment findings or treatment recommendations relating to a client.
Addiction workers may also be required to appear in family court to testify in
child welfare matters. Some children in our society are, unfortunately, affected by the
substance use problems of adults. When such a situation comes to the attention of an
authority, the matter is often referred to court for resolution. Specific situations that may
require a counsellor’s testimony include court cases in which the Children’s Aid Society
(CAS) is following a complaint that a child needs protection; and disagreements between
parents or others regarding custody of, or access to, children. Family court also handles
criminal matters involving young offenders (age 12 to 17).
Testifying in court does not rank high on anyone’s list of enjoyable activities, but
if you are subpoenaed as a witness in a trial or other hearing, you are obligated to attend
and give evidence. Remember that you are not on trial. You are simply doing your duty
by telling the court what you know in order to help the court arrive at a fair decision.
For the layperson, the courtroom can be an intimidating place and appearing
there can be stressful. But the experience need not be as unpleasant as some people fear.
The more you understand about the process of testifying, and the better prepared you
are, the less uncomfortable the experience will be.
Providing testimony in an efficient, professional manner is an easily learned skill.
This chapter outlines a number of steps you can take to reduce your stress and ensure
that the image you present in court reflects the credibility and quality of your program.
It offers advice on preparing for court appearances and testifying, and provides tips on
courtroom deportment.
704 Fundamentals of Addiction: A Practical Guide for Counsellors
Preparation
Learn about Courts
Preparation should start long before you are required to appear in court. If you have
never been to criminal court before, sit through some criminal proceedings to familiar-
ize yourself with the procedures. Pay close attention to how things are done so you will
know what to expect. This will help eliminate the fear of the unknown.
If you want to observe the proceedings in family court, prior arrangements may
be required. Since matters handled by family court involve children, the proceedings are
closed to the public for the obvious reason of preserving the child’s privacy. However,
you can usually arrange to observe in family court by calling the court office to explain
your purpose.
After you have observed some court proceedings, envision yourself on the stand,
calmly responding to questions. Before your first court appearance, it may help to have
someone rehearse, or role play, with you.
Once you learn that you may be called as a witness, determine whether you will appear
for the Crown or the defence counsel (the client’s lawyer). You will probably have been
contacted by a lawyer for the side planning to call you as a witness. It is wise to advise
the lawyer as early as possible about any dates on which it would be difficult to attend
court. For example, you may have vacation travel plans that would make it extremely
disruptive and expensive to attend court on certain dates. The earlier the lawyer knows
this, the easier it will be to arrange a more convenient date.
As part of their preparation, most lawyers try to meet their prospective witnesses
to review the witnesses’ evidence. Accordingly, you may be contacted long before the
trial by the lawyer or someone else from his or her law firm to discuss your testimony.
There is no legal requirement for you to participate in this sort of discussion. In
a strict legal sense, a subpoena obligates you only to appear in court and give evidence.
However, although you are not required to co-operate, you might benefit from doing so.
In addition to being helpful to the lawyer, the pre-trial discussion can help you as a wit-
ness. You will learn in advance the type of questions you will be asked when you testify.
The lawyer for the other side may also contact you to discuss the case and the evi-
dence you will be giving. You are not required to participate in any such discussion, but
there is nothing improper about doing so. The side calling a witness does not “own” that
witness; any witness is free to talk to the other side to the extent that he or she wishes.
You may wish to seek guidance from your employer or from the lawyer for whom you
will be testifying as to whether, and to what extent, you should co-operate with the lawyer
for the other side.
Chapter 27 Tips for Testifying in Court 705
After reviewing your records and speaking to the lawyer(s), you will have some
idea of what you plan to say in court. But remember, sometimes questioning takes
unexpected turns. For example, the Crown attorney may tell you that you will be asked
to testify on the client’s poor attendance in the program, but on cross-examination the
defence lawyer may focus on the subject matter of the client’s sessions.
Preparation for testifying also involves reviewing your client’s records. Thorough and
accurate records are indispensable to witnesses. Records help reconstruct the facts of
a case. A trial often takes place several years and hundreds of clients after an event
occurred, and the records may be the only way the addiction worker can recall sufficient
details about the case.
In addition, the records themselves can be invaluable during the trial or hearing.
A record that the witness made or approved close to the time of the event can be used by
the witness while testifying (see Sopinka et al., 1999, ss. 16.77–16.98). Furthermore, the
actual record may be admissible as documentary evidence, even if the witness does not
testify (see Ares v. Venner, 1970; for an example of a statutory provision, see the Ontario
Evidence Act, 1990, ss. 35 & 52). At times this use of the record is vital. For example, if
the potential witness has died or is otherwise unavailable, the record may become the
sole source of information and evidence.
The state of the records can influence a witness’s credibility in court. A witness
who faces the court armed with a complete record of facts and observations is in a strong
position. If the record is accurate, objective and complete, the witness will be perceived
as organized, methodical and conscientious.
But be forewarned that if you use a file on the witness stand, it can be taken from
you to be entered as an exhibit. When you take a file to court, always photocopy the con-
tents beforehand and leave the copies in your office.
Make Notes
Apart from reviewing official records, it is often useful to make additional notes as soon
as you are informed that you will be a witness. Litigation is a slow process, and consider-
able time may elapse before the trial takes place. As soon as you know that you may be
a witness, make notes of everything you can remember about relevant matters to help
preserve your memory of those events. Since these notes are made some time after the
events in question, the witness cannot use them when testifying. Nonetheless, the notes
can be useful later, to refresh your memory prior to testifying and to help you recall the
events about which you will be giving evidence.
706 Fundamentals of Addiction: A Practical Guide for Counsellors
Giving Evidence
After the oath or affirmation formalities are done, you are ready to give your evidence. The
lawyer calling a witness begins with what is known as “examination-in-chief” or “direct
examination.” Once the lawyer who called you as a witness finishes asking questions, it then
becomes the turn of the lawyer for the other side. This latter questioning is called “cross-
examination.” At the conclusion of the cross-examination, the witness’s testimony has usually
ended, but sometimes the original lawyer may ask further questions in “re-examination.”
The judge, who may ask questions at any stage, usually tells you when you are
finished as a witness and may leave the witness stand. Unless you have been told that
you are subject to recall as a witness, which rarely occurs, you may either leave the court
or take a seat in the courtroom audience. Even if there has been an order excluding wit-
nesses, the exclusion no longer applies to you after you have finished giving evidence.
Chapter 27 Tips for Testifying in Court 707
When giving evidence, as a rule, give brief, direct answers to direct questions. Do not
elaborate unless specifically requested to do so and, even then, be concise.
Answer only what is asked of you. Do not offer information that is not requested,
even if you think it is important. Remember, you are not in court to tell a story, but
merely to provide evidence. In addition, do not allow yourself to get caught up in
explaining the rationales of your field. Speak only about the particular client in his or
her particular situation.
Provide your testimony in a clear, well-modulated voice, loud enough to be heard
by all. Speaking inaudibly implies that you do not have confidence in the information
you are providing and makes it difficult for others to understand you.
Take your time. Hurried answers are sometimes incorrect answers. Give your
answers in words so that a proper record can be made. For example, answer “yes,” rather
than nodding your head. If you happen to respond with physical motions or gestures,
the lawyer questioning you may describe your response by “talking it onto the record.”
For example:
Lawyer: The witness is indicating with her hands a length of about six inches.
In assessing a witness’s evidence, the court often considers not only what you say,
but also how you say it. Your credibility can be affected by both your verbal and non-
verbal presentation on the stand. You should answer in a clear, straightforward manner
and avoid being either hesitant or arrogant. Nevertheless, if you are unsure about some-
thing, it is not fair to anybody to answer with a confidence you do not feel.
Court Decorum
Stand (or sit, if invited to do so) in the witness box as calmly as you can, without giving
the impression that you are a mannequin. There is a fine line here. You do not want to
appear so relaxed that you seem indifferent to the proceedings. On the other hand, you
do not want a ramrod posture to project an air of nervousness and rigidity. Also, if you
are standing, keep your hands out of your pockets.
Wear your “poker face” to court. Do not visibly react to what you hear by rolling
your eyes or shaking your head, or through other body-language editorializing. (This
applies whether you are in the witness box or sitting elsewhere in the court.) You should
appear totally objective—and thus, professional—at all times.
708 Fundamentals of Addiction: A Practical Guide for Counsellors
Courts generally have rather specific, though unwritten, rules on what is consid-
ered proper attire—conservatism is the name of the game. This usually means suits, or
at least a shirt and tie for men, and suits or dresses for women. Generally, hats are not
permitted in court.
When sitting in court before or after giving evidence, do not talk during the
proceedings. If you find it necessary to communicate with someone, speak in the most
discreet whisper. Better yet, pass a note.
When giving evidence, speak directly to the person asking the question, and make eye
contact. Never address the defendant directly while you are on the stand. Do not refer to
an adult client by his or her first name; use “Mr.” or “Ms.”
Lawyers are also addressed as “Mr.” or “Ms.,” or simply “sir” or “ma’am” (madam).
Although it will rarely arise, you may wish to refer to a trial lawyer other than the one
who is currently questioning you. Aside from referring to the lawyer by name (“Mr./Ms.
Smith”), you may—especially if you don’t know the lawyer’s name—refer to him or her as
“counsel” (e.g., counsel for the plaintiff, counsel for Mr. Jones, counsel for the hospital).
In most jurisdictions, you should address the judge as “Your Honour.” The correct
terminology will depend on the level of court and the province in which the trial takes
place. You can ask the lawyer beforehand, or simply listen to how the lawyers address
the judge and copy their terminology. As an easy alternative, simply address the judge
as “sir” or “ma’am” (madam). If you need to refer to the judge in the third person, the
correct form is “His/Her Honour.”
Do not address the judge directly unless he or she has spoken to you first. The
only exception to this rule is when you need to refer to the file or your notes. Generally,
you are expected to provide your testimony without looking in the file while you are on
the stand. If you need to do so, turn to the judge and ask, “May I refer to my notes, Your
Honour?” The judge will probably give permission. But if the witness must rely on notes
rather than his or her recollection, lawyers have the right to determine whether the notes
are reliable. This typically consists of questions about when the notes were made.
Direct Examination
Direct examination typically begins with mundane matters such as the witness’s name
and relevant qualifications. Rather than the witness being asked questions to elicit this
routine introductory material, the lawyer will often recite the information and simply
expect the witness to agree.
Lawyer: You are Mary Smith and are employed as a counsellor at the Central
Addictions Centre?
Chapter 27 Tips for Testifying in Court 709
Lawyer: The Central Addictions Centre is located at 123 Main Street in down-
town Blankville?
Lawyer: I understand that in your professional capacity you were providing coun-
selling to John Doe in May 2010?
Witness: Yes, he had been seeing me professionally from March through June
of that year.
Particularly if you are being called as an “expert” witness, the lawyer may wish to
bring out extensive details of your professional qualifications such as education, experi-
ence and membership in professional bodies. Such issues should be discussed well
before the trial, so the witness can be properly prepared with the appropriate information.
Indeed, the lawyer may have requested a curriculum vitae or resumé for this purpose.
Cross-Examination
The opposing lawyer (i.e., a lawyer who did not call the witness to testify) may try to
achieve several goals through cross-examination. The lawyer may try to get additional
information from the witness that will help the other side, or additional facts that may
weaken evidence already given. The lawyer may try to get the witness to qualify an earlier
answer, concede that there is some doubt on a particular point or admit that an alterna-
tive explanation is possible.
Sometimes, the lawyer may attempt to weaken evidence by discrediting a witness.
There may be an effort to suggest that the witness is mistaken, biased, forgetful or not
credible for a variety of other reasons.
Some lawyers will ask convoluted or awkward questions, and it can be difficult to
understand just what they want to know. Listen carefully to the question and make sure
you understand before you reply. Do not hesitate to admit your confusion. Simply say,
“I’m sorry, I do not understand the question. Could you please repeat it?” This forces the
lawyer to rephrase the question in a clearer form, and has the added advantage of giving
you a few extra seconds to form an answer.
Although lawyers should not do so, sometimes they ask “double-barrelled” ques-
tions. This is especially likely in cross-examination where the lawyer is permitted to
ask leading questions that require only a “yes” or “no” answer. If you simply answer
yes or no, it may be unclear whether your single answer is in response to both halves
of the question or only the last part. It is best to respond to such double questions by
explicitly answering both halves. For example, a witness might be asked, “Was the client
710 Fundamentals of Addiction: A Practical Guide for Counsellors
intoxicated and attempting to attack you?” Rather than answering “yes,” it is clearer if the
witness were to say, “Yes, he appeared drunk and attempted to attack me.”
Another awkward type of question is one framed in the negative. For example:
“You didn’t see him do it, did you?” A simple reply of “no” could mean either “No, I
didn’t see” or “No, I disagree with you. I did see.” Make sure that your answer is properly
understood by responding fully: “No, I did not see.”
A device that lawyers commonly use in cross-examination is to cut a witness off
before he or she can give a full answer or a qualification to an answer. The result may
be that a particular answer may be misleading because it is incomplete. If that should
happen, ask the lawyer, firmly and courteously, to let you complete your answer. Often,
however, the judge or the other lawyer will intercede on your behalf, asking that you be
allowed to finish.
Sometimes, cross-examination gets rough. While it may feel like a personal attack,
it is not. Remember, a lawyer’s first obligation is to his or her client, and it is the lawyer’s
duty to test all evidence vigorously. While the lawyer may be aggressive toward you on
the stand, you will probably find that this ends at the courtroom door.
Must I Answer?
Generally, witnesses must answer all relevant questions put to them. Privilege is one
of the few exceptions to that general rule. The legal term “privilege” means the right to
refuse to disclose confidential information when giving testimony. (For a more detailed
discussion of privilege, refer to Chapter 26 on legal issues.) Traditionally, the only pro-
fessional relationship to which privilege applied was that between solicitors and their
clients. In the absence of privilege, a person who refuses to answer a question when
required to do so may be jailed for contempt of court.
Canadian law has no equivalent to the American device of “taking the Fifth.”
Under the Fifth Amendment to the U.S. Bill of Rights, a witness may refuse to answer
a question that tends to incriminate him or her. In Canada, a witness would have to
answer such a question. However, section 13 of the Canadian Charter of Rights and
Freedoms (1982) protects a witness from having any incriminating answer used against
him or her in any other proceedings (except a prosecution for testifying falsely). This
protection automatically applies to all the witness’s answers without the witness having
to ask for it.
Limits on Testimony
The rule against hearsay means you will often not be allowed to repeat what other
people have told you. The hearsay rule is complex and not always easy to apply. First,
the rule has many exceptions that permit hearsay evidence to be given. Second, hearsay
evidence will not always be in the obvious form (“Charlie told me . . .”). For example, infor-
mation that the witness obtained from someone else’s notes may be considered hearsay.
As a witness, you are not expected to be a lawyer with expert knowledge of the
hearsay rule. In discussing your evidence with the lawyer before the trial, he or she can
advise you as to what conversations you may or may not be allowed to repeat because of
the hearsay rule. If the issue arises while you are giving evidence and you are unsure,
for example, whether you can repeat a given conversation, it is always appropriate to ask
the trial judge whether you may say what someone has told you.
In situations where you are allowed to repeat statements that other people have
made, these statements may sometimes involve obscene or offensive language. There
is no need to be embarrassed. The judge and the lawyers have undoubtedly heard such
language before. Bear in mind that it is not you who used that language; you are merely
quoting what someone else has said. The importance of the evidence might depend on
the fact that the speaker used that sort of language. While it is best to quote the speaker’s
words as accurately as possible, you could paraphrase the words if you are truly uncom-
fortable repeating them. In that case, you should make it clear that you are doing so.
Another area with restrictions on testimony involves the giving of opinions or con-
clusions by a witness. Only an “expert” witness testifying specifically on a matter within
his or her area of expertise may give an opinion. An ordinary witness must give only his
or her observations, not the opinions or conclusions that the witness may have drawn
from those observations. However, a witness may give opinions about common matters
on which, in a sense, everybody is an “expert.” For example, a witness could testify that
someone appeared drunk, was happy or sad, and so forth. Again, you are not expected to
be a lawyer and to know all the fine distinctions. The lawyers and the judge will provide
guidance on what you may or may not say.
The lawyers and the judge have a shared responsibility to keep inadmissible evi-
dence out of the trial. If some evidence that you are about to give is inadmissible because
of the hearsay rule, the opinion rule or some other reason, you may be interrupted and
instructed not to give that evidence. Sometimes this interruption will take the form of
an objection by the lawyer who is not currently questioning you. He or she will interrupt
by saying “Objection” or “I object.” If that happens, you should stop what you are say-
ing. The trial judge, after listening to both lawyers’ arguments, will decide whether the
evidence is admissible and will advise you whether you can continue.
Family Court
Many of the procedures and principles related to testifying in criminal court also apply
to family court. However, a few differences between these courts are noted in this sec-
tion. For example, as a witness in family court, you are—because of the privacy concerns
712 Fundamentals of Addiction: A Practical Guide for Counsellors
Lawyer: How has Mr. Smith’s drinking problem interfered with his ability to be
a good father to Junior?
Witness: I’m sorry. I can’t answer that question. As Mr. Smith’s addiction
worker, I am not qualified to comment on his abilities as a father.
Chapter 27 Tips for Testifying in Court 713
The point is that you must consider the whole question and its implications, then
decide whether you can answer it as asked. Mr. Smith provided plenty of information
about his drinking and his son, but the question was about his “ability to be a good
father.” Carefully heed previous advice in the chapter about answering questions, and
do not extrapolate pieces of information. For instance, the information in Mr. Smith’s
scenario speaks volumes about his alcohol problem, but really says nothing concrete
about his ability to care for the child.
Another aspect of the special nature of testimony in family court involves the
scope of the witness’s testimony. As described elsewhere in this chapter, an ordinary
witness is usually not permitted to testify as to opinions—such testimony is the province
of the expert witness. However, addiction workers and other professionals may find that
questions in family court often seem to fall in a grey area, eliciting testimony that falls
somewhere between personal and expert knowledge. In this grey area, it is assumed
that the witness has a certain amount of knowledge, based on overall experience and
observations, as a result of employment in the profession. Questions and answers that
call for this sort of opinion may need the assent of the court. Seeking that assent is often
prompted by an objection from one lawyer to another lawyer’s question, usually on the
basis that it calls for an opinion or is not specific to the client.
If allowed, such questions are typically very general in nature and, unless the
witness has a head full of statistics, result in an answer that is a sort of personal “semi-
opinion” or conclusion. Examples of these types of questions are:
In the five years you have been employed as an addiction worker, what have you
observed about . . .?
Again, think before you answer, and try to avoid bias. No absolutes exist in the
addiction field, so avoid the use of “never” or “always” in your answers. Start to answer
with phrases like “It is my experience that . . .” or “I have observed that. . . .” Also, if need
be, insert qualifiers such as “It is my experience that it is common for . . ., but that does
not occur in every case.”
Finally, a caution about “expert” status. It is typically reserved for people with
significant experience, who have been advised prior to the case that they will testify as
an expert. In such cases, the witness’s status is established at the beginning of his or
her testimony. However, a lawyer can also seek expert status for a witness, without prior
warning, during the witness’s testimony.
The testimony of addiction workers is often very important to judgments made
in family court. Be prepared and take the responsibility seriously. Your expertise and
confidence can help the court.
714 Fundamentals of Addiction: A Practical Guide for Counsellors
Conclusion
Although testifying in court will never be a delight, it need not be a dreaded, anxiety-filled
experience. Understanding what is expected of you as a witness will make testifying less
intimidating. Good preparation is even more important. While this may seem like a lot
of work for a few minutes on the stand, the effort will be worthwhile. If you are prepared,
you will feel more comfortable and be able to give your evidence in a relaxed, straightfor-
ward manner. This will enable you to make a better impression as a witness and to leave
court feeling that you made a significant contribution to the administration of justice.
Resources
Publications
Brodsky, S.L. (2012). Testifying in Court: Guidelines and Maxims for the Expert Witness (2nd
ed.). Washington, DC: American Psychological Association.
Vogl, R. & Bala, N. (2001). Testifying on Behalf of Children: A Handbook for Canadian
Professionals. Toronto: Thompson Educational Publishing.
Internet
Children’s Services Practice Notes: The Art of Testifying in Court
www.practicenotes.org/vol12_no4/testifying.htm
Child Welfare Information Gateway: Testifying in Court
www.childwelfare.gov/pubs/usermanuals/courts_92/courtsj.cfm
References
Ares v. Venner, 1970 SCR 608.
Canada Evidence Act, RSC 1985, c C-5.
Canadian Charter of Rights and Freedoms, s 2, Part I of the Constitution Act, 1982, being
Schedule B to the Canada Act 1982 (UK), 1982, c 11.
Evidence Act, RSO 1990, c E.23.
Sopinka, J., Lederman, S. & Bryant, A. (1999). The Law of Evidence in Canada (2nd ed.).
Markham, ON: Butterworths.
Chapter 28
Juan just graduated from school and has successfully obtained his first job
in the addiction field. He is happy with the job, but concerned about why,
after he has been in the position for only two months, his work is being
scrutinized by his supervisor, Janice. Although not all staff meet with their
supervisor individually, Juan has already met with Janice five times. At their
last meeting, she told him that she will observe videos of his group sessions
starting next week and that he should be familiar with the consent procedure
so the session can be taped for supervision. Juan is still not sure why he is
going to supervision, and why he has to tape his sessions.
• What are some things Juan could say to get greater clarification about the
role of supervision in his work?
• What could Janice do to provide greater clarification?
Henry is a new supervisor who has been asked to meet with Judy, an experi-
enced addiction counsellor, after a client who was attending group therapy
complained about her work. The client was upset that Judy had told Henry
in an individual session that she did not see the benefit in Henry continuing
group because he did not follow through with any group recommendations
and she was “working harder than him” at his recovery. The client was
offended by this comment and wonders if Judy is prejudiced against him for
being a “crack addict.”
When asked about the incident, Judy explains how frustrated she is with
the client and is not surprised by the complaint. She reports that the client
is always asking for letters of support and referrals to outside agencies and
does not appear to be engaged in the work of the group. Furthermore, she
is concerned that other clients are becoming overly invested in trying to help
and support this client.
Clinical supervision has come to play a key role in providing support, training and
evaluation to both addiction counsellors and administrative staff in the addiction field.
Although the research literature has not directly connected clinical supervision with
client outcomes, clinicians anecdotally identify supervision as a key component to sup-
port their work with clients. Current research has focused on the impact of clinical
supervision on staff burnout and emotional exhaustion. For example, in a study sup-
ported by the National Institute on Drug Abuse (Knudsen et al., 2008), administrators
and staff from 262 treatment programs surveyed about the perceived impact of clinical
supervision described supervision as strongly associated with health and well-being in
the workplace: staff were less likely to want to leave their job and to feel emotionally
exhausted. Furthermore, a positive supervision experience indirectly correlated with
increased autonomy, procedural justice (staff have a voice in decision making) and dis-
tributive justice (fair distribution of job demands and rewards).
Project MERITS (Managing Effective Relationships in Treatment Services)
surveyed 462 addiction counsellors in the United States about their perception of super-
vision (Eby et al., 2007). Counsellors who rated their clinical supervisor more favourably
expressed greater job satisfaction, felt more committed to the organization and perceived
more organizational support, and felt less overloaded and burned out in their roles.
Despite the benefits of supervision, the supervisor and supervisee must work to address
power differences; negotiate the dual role of supervisor being supporter and teacher on
the one hand, and evaluator on the other; and be transparent and respectful.
This chapter outlines some key dimensions of clinical supervision, drawing on
theoretical literature and emerging empirical findings in the field of addiction and
concurrent disorders. While the literature on clinical supervision typically addresses
supervisory functions, tasks and professional development (e.g., Bindseil et al., 2008;
Powell & Brodsky, 2004), this chapter aims to help supervisees understand the key com-
ponents of meaningful supervision and how to best benefit from the process. Although
defined differently across professions, clinical supervision uniformly involves a senior
staff member providing support, professional development and guidance to junior col-
leagues to ensure effective service to clients (Hall & Cox, 2009; Milne, 2007). Clinical
supervision is referred to simply as supervision in this chapter.
areas for future development; and they will be guided on how to acquire the desired clini-
cal skills. By providing good supervision, the organization indicates its commitment to
the education and development of its staff. By committing to the advancement of clini-
cians’ specialized current knowledge of best practices and clinical skills, an organization
supports its goal of client-centred practice.
Supervision Models
Some supervision models are profession specific (see Jones, 2005, for nursing, and
Bogo & McKnight, 2005, for social work); others are specific to client populations (see
Pearlman & Saakvitne, 1997, for trauma-informed care); and still others are specific to
a treatment (see Linehan, 1995, for dialectical behaviour therapy, and Martino et al.,
2006, for motivational interviewing). This chapter describes the essential ingredients
of supervision, which can be applied to various clinical settings in the addiction field.
It also presents a general interprofessional approach to supervision, drawing from the
literature and the authors’ own supervision practice experience.
Common to the literature in nursing and social work is a three-factor model
of supervision (Kadushin & Harkness, 2002; Proctor, 1986), which is experienced
in the addiction field as comprehensive and easily adapted. The first factor is admin-
istrative or normative (managerial), and involves orienting clinicians, assigning cases
and reviewing and evaluating work. The second factor is educational or formative,
and includes developing and enhancing the clinician’s practice capacity by teaching
knowledge and skills, building on training and developing self-awareness. The third
factor is supportive or restorative, and involves helping clinicians handle job-related
stress by providing appropriate praise and encouragement, normalizing work-related
reactions, affirming strengths, exploring personal triggers and sharing responsibility
for difficult decisions.
Other supervision models discuss the importance of acknowledging developmen-
tal stages; for example, that a person new to the profession or even to the organization
likely has greater need for support than a person with many years of experience.
Supervisors can tailor their input to the features of the particular stage, and staff can
gain support and training when needed and obtain greater autonomy as they progress
through the developmental cycle.
Although several developmental models exist, that of Stoltenberg & McNeill
(2010) is the model most often discussed in the substance use literature. It identifies
three levels of development (see Table 29-1). The opportunity to match supervision to
the level of development optimizes the work that is done in supervision.
718 Fundamentals of Addiction: A Practical Guide for Counsellors
table 29-1
Developmental Approach to Clinical Supervision
At the first level of development, clinicians may have gaps in knowledge or skills,
so the treatment they provide may appear less focused and intentional, and more crisis-
driven. Clinicians are not sure how to fit their skills to the range of client situations, and
use some skills more and underuse others. Regular, frequent supervision sessions are
recommended to help clinicians build their clinical knowledge, competence and profes-
sional style. Supervisors can provide performance feedback and engage supervisees in
reflective discussion about the efficacy of what they have learned and how to develop
personal philosophies of counselling. Observation, role plays and case formulations are
key in this first phase of development. To be of greatest assistance, supervisors need to
learn what the clinician is doing well in order to reinforce those strengths, while also
providing guidance for further development. Supervision at this level also helps clini-
cians manage organizational expectations about workload.
Perhaps surprisingly, at the second level of development, the clinician may appear
more confused and frustrated and less skilled and able in clinical work compared to a
new supervisee. With more experience, the clinician may develop certain blind spots
within clinical practice; the supervisor may need to challenge commonly held assump-
tions or ways of practising so the clinician can best serve the client population. This
second phase may also be a time of uncertainty, as the clinician recognizes the complexi-
ties and common challenges of the work. The clinician focuses less on simple, prescribed
responses and more on the client’s narrative. He or she may challenge standard practice
approaches, including issues regarding organizational systems. Supervision involves
exploring alternative approaches through education. At this level, group supervision can
be more effective, and individual sessions may be less important.
At the third level of development, clinicians are more self-assured and self-aware
in their work. They are better able to fine-tune strategies to match client needs. There is
a balanced approach to the work and a stronger ability to feel comfortable with limita-
tions in the clinical and organizational contexts. By this time, clinicians are more aware
of their subjective and emotional responses and are often able to ask for support before a
720 Fundamentals of Addiction: A Practical Guide for Counsellors
crisis develops. Supervision continues to be part of the clinical realm and can be supple-
mented with peer consultation.
Consistent with the literature, our recent study of front-line addiction and mental health
clinicians found that the quality of the relationship between supervisor and supervisee
is paramount to the success of clinical practice (Bogo et al., 2011a). Supervisees want
supportive, clinician-focused, content-oriented supervision offered by knowledgeable,
skilled clinical experts. Regardless of the supervisor’s profession, most important is
the supervisor’s expertise in treating the client population and his or her ability to help
clinicians learn and achieve competence. In our study, some clinicians identified a ten-
sion between the supervisor’s role in evaluating performance and the clinician’s comfort
in expressing a need for assistance with difficult client situations. This sentiment is
reflected in the literature about the supervisor’s dual role of evaluating and supporting
staff. The reality in many mental health and addiction organizations is that the clinical
supervisor has the authority to make administrative decisions, such as hiring or termi-
nating staff, based on clinicians’ performance (Powell & Brodsky, 2004; Roche et al.,
2007). Effective supervisors balance the tensions inherent in the dual focus of their role.
Given this dual function, some clinicians may be reluctant to disclose aspects of
their practice with which they need help. They may also question what is relevant to
disclose and to what degree disclosure is important for their growth and development
(Leszcz, 2011). In their book What Therapists Don’t Talk about and Why, Pope and col-
leagues (2006) highlight 10 basic components for a successful supervision group:
1. Create an environment of safety and trust that encourages honesty, self-examination
and risk taking.
2. Understand that this approach to learning requires self-direction.
3. Maintain readiness to disclose uncertain, uncomfortable and vulnerable thoughts
and feelings, and to listen carefully to what others have to say.
4. Nurture respect for all participants.
5. Encourage active participation.
6. Acknowledge everyone’s right to privacy.
7. Accept each person’s disclosures as viable topics for discussion.
8. Maintain sensitive attention to the nuances of each participant’s disclosures.
9. Communicate in a clear, honest manner.
10. Offer support for all participants as they engage in the process of learning and self-
exploration.
for Substance Abuse Treatment ([CSAT], 2009) has developed a clinical supervision
protocol for addiction counsellors that outlines how contracts identify the purpose,
goals, objectives and structure of supervision. Contracting can also clarify expectations
of work in supervision (e.g., preparation of cases, frequency of observational work) and
the evaluation process. It is important to clarify the process for non-compliance with
expectations of conduct, clinical work or supervision. Through contracting, discussions
occur about how to build trust and about related concerns around disclosures or risk
taking. The following is an example of a contract that can be used in either individual or
group supervision.
• in the event of an exception arising, attempt to persuade and support you to deal
appropriately with the issue directly yourself. If I remain concerned, I will reveal
the information only after informing you that I am going to do so
• at all times work to protect your confidentiality
• not allow procedural issues of the work to monopolize the clinical supervision
session
• offer you advice, support and supportive challenge to enable you to reflect
in-depth on issues affecting your practice
• be committed to continually developing myself as a practising professional
• keep a record of our clinical supervision sessions
• ask for feedback for the purpose of evaluating the clinical supervision process
• use my own clinical supervision to support and develop my own abilities as a
clinical supervisor and clinician, without breaking confidentiality.
Anything else?
Frequency of meetings:
Venue:
Duration of clinical supervision relationship:
Next review date:
Signed: Signed:
(Clinician) (Clinical supervisor)
Source: Bolton Primary Care Trust. (2003). Clinical Supervision (Professional Support) Policy & Guidance. http://bolton.nhs.uk/
Library/policies/LDEV003.pdf. Adapted with permission.
Cultural competence has emerged as a necessity in clinical practice. Although not all cit-
ies and towns across the country are seen as multicultural hubs, immigration patterns
often shift the cultural landscape in unexpected ways. According to Statistics Canada’s
2006 Census of Population, more than six million Canadians (about 20 per cent) were
born outside the country (Statistics Canada, 2006). The Canadian Aboriginal population
has also increased significantly: according to 2006 census data, the Aboriginal popula-
tion increased by 45 per cent between 1996 and 2006 (Statistics Canada, 2006). These
examples of changing population trends suggest that cultural differences between cli-
ent, staff and supervisor will be more common. These differences can affect clinical
practice positively or negatively, depending on whether differences are acknowledged
and assessed.
Many organizations address client diversity through such strategies as increasing
access to services, creating inclusivity and changing hiring practices. These strategies
need to be backed up by similar processes at the front line. For example, clinicians’ con-
tinuous reflection on their cultural competence is important for supervision (Srivastava,
2007). Developing clinical cultural competence is a process that evolves throughout
one’s career and involves learning how differences in self (clinician) and other (client)
affect clinical outcomes. In relation to the self, supervision offers an opportunity to
discuss the clinician’s areas of privilege, which, if not addressed, can become a barrier
to effective clinical care. Exploring our potential privilege based on age, gender, ability,
income, education, sexual orientation, race and skin colour in relation to our clients
can help to uncover potential “blind spots” in our understanding of the challenges our
clients experience. For example, without understanding the financial impact of social
assistance, we might erroneously assume that a client can afford to phone to make an
appointment. Or without having lived in a part of the world where authorities are cor-
rupt, we may not appreciate why a client would be mistrustful or worried about coming
to a mainstream hospital or community centre for an appointment. These types of
assumptions or misunderstandings create a divide between clinician and client, where
empathy alone is not sufficient to promote a common understanding within the thera-
peutic relationships.
Furthermore, assessing the client’s level of acculturation helps us to know what
may or may not match with our own world view. The degree to which a client wishes to
be connected to a cultural community is a rich area for discussion that can help clini-
cians determine how best to move toward effective change (Estrada et al., 2004).
Our natural tendency when working in difficult situations is to look for common
ground, to find a place that is familiar in order to connect with the client and move for-
ward together. However, it is also essential to discuss the differences between clinician
and client in supervision in order to anticipate and understand tensions in the therapeu-
tic relationship.
724 Fundamentals of Addiction: A Practical Guide for Counsellors
Interprofessional care and education are seen as important ways to manage resources
and improve the quality of clinical care (Steinert, 2005). Interprofessional teamwork or
collaborative practice values learning from different professional disciplines and applies
to mutual learning among service providers (World Health Organization, 2010). Until
about one decade ago, professional education took place in silos, so students did not
fully learn about the roles and preparation of other mental health professionals or how
to function effectively in interprofessional teams. Yet health care organizations expect
practitioners from various disciplines to work together in teams. With minimal knowl-
edge about team members’ unique training, professional roles and capabilities, effective
team functioning can be challenging.
Clinical supervision offered in a group format with professionals from various
disciplines can serve as an important educational experience and opportunity to social-
ize. Supervisors can initiate discussions that address assumptions made about other
disciplines and clarify expectations about members’ ability to contribute to client care.
Of extreme importance is helping team members communicate so that mistrust and
power imbalances within the team can be examined openly (Orchard et al., 2005).
While individual supervision sessions can also identify clinical concerns around team
conflict or more effective collaboration, supervisors should bring such issues to the
entire team and avoid discussions with individual members, which would undermine
team cohesion.
Although not all addiction programs have staff from multiple disciplines on their
teams, they can apply many principles of interprofessional care to help teams work
together and to guide team supervision. In the addiction field, much debate has focused
on differences between clinicians who are educated formally and those who have learned
from personal recovery. (For a review of the literature, see Culbreth [2000].)
In our studies of interprofessional supervision at the Centre for Addiction and
Mental Health, it was clear that staff work and live in their teams. Front-line clinicians
spoke enthusiastically about the clinical assistance, professional and personal support
and informal learning they gained from collaborative, cohesive, well-functioning teams
(Bogo et al., 2011b). In interprofessional team supervision, learning from a range of
disciplines occurred with the mutual respect of teammates.
Since well-functioning teams are important, it is useful to identify issues that
can negatively affect team functioning and address them in group supervision sessions.
Davoli (2004) poses the following questions for team members to consider when evalu-
ating their individual performance and reflecting on the competencies of their team:
• Have you experienced communication problems with one or more members of the
group?
• Have you taken action before consulting others just to get it done?
• Have you expected others to recognize the value of your contributions?
• Have you missed scheduled group or team meetings, even if it is for a good reason?
Chapter 28 The Essential Ingredients for Clinical Supervision 725
• Have you ever resented the limited co-operation or lack of productivity of some group
members?
Supervision can be far more effective when the supervisor can actually observe our work
and provide authentic, reality-based feedback. Yet a common reaction to being observed
is to “run for the hills” or wish one could hide in an office and lock the door. For most,
observation is very uncomfortable—at least in the beginning. We do not feel we can be
our most relaxed self or provide the best care when we feel under the microscope. We
fear being judged and showing vulnerability. We wonder whether the client will get the
best care if we are nervous being observed. But clinicians who were observed as trainees
may feel they learned a great deal from this observation and feedback. Observation pro-
vides an opportunity to improve clinical skills and increase confidence. Preparing for it
can include expressing anxiety and concerns. Most supervisors will be able to normalize
this feeling—and relate, since most have had their own experiences of being observed
early in their careers.
Ideally, observation occurs regularly and is predictable. As with other aspects of
the supervision relationship, it is important to feel that you are being observed for the
purpose of facilitating your growth and development, not because of a complaint or con-
cern. Observation should be consistent for all staff and not just a chosen few; however,
staff new to the job may be observed more often than experienced clinicians. Clinicians
have reported that both they and their clients feel more comfortable when the supervisor
is in the room rather than when the interview is taped or observed behind a one-way mir-
726 Fundamentals of Addiction: A Practical Guide for Counsellors
ror (Culbreth, 1999). Yet in children’s mental health settings, observation by the team is
a regular and accepted part of treatment services. Clinicians may request observation for
an entire session or for more focused segments of their practice, for example, an assess-
ment or education session.
Observing others is also useful for learning. Supervisees may wish to ask their
supervisors whether they would be willing to be observed and participate in a post-
session discussion where the supervisee could ask questions and provide feedback.
Since our study found that clinicians wanted supervisors with clinical intervention
knowledge and skill relevant to the setting (Bogo et al., 2011a), such observation oppor-
tunities are likely to facilitate learning.
The anxiety we experience in the observation process is clearly about having our work
evaluated. Traditionally, evaluation of clinical work in the addiction field has been
under-studied. The clinician was viewed as an expert—either a professional or person in
recovery. Approaches to care focused on imparting our clinical wisdom to clients, who
needed information, guidance and direction. However, with the emergence of collabora-
tive and brief treatments, such as motivational interviewing (Miller & Rollnick, 2002)
and narrative therapy (White, 2007; White & Epston, 1990), a shift has occurred toward
the client and clinician co-constructing the therapeutic plan. As a result, clinicians are
more active in obtaining ongoing feedback from clients about what is working and what
could be changed, using standardized tools such as the Outcomes Rating Scale (Miller et
al., 1997). From these clinical practices evolve other processes, in which clients are more
likely to give feedback to clinicians and clinicians give feedback to supervisors. Clients
also provide feedback to improve quality of care initiatives.
In the process of clinician evaluation by the supervisor, feedback is best received
when it is continuous and regular. The supervisor can provide both formative and sum-
mative evaluations (CSAT, 2009). A formative evaluation involves ongoing feedback
about a clinician’s skill development and competencies, offered in regular supervision
meetings and based on content that emerges from clinical observation. Summative
evaluation is a more formal rating of overall job performance and fitness for the job. The
summative review typically occurs in an annual performance review. Therefore, clini-
cians can expect to be provided with ongoing, frequent feedback about areas of strength
and areas for further development. For the latter, supervisors should provide detailed,
specific feedback to help the supervisee focus on enhancing particular skills needed to
meet required competencies. Once we understand the landscape of our practice and
how evaluation leads to focused supervision and clinical improvements, the clinician’s
confidence and efficacy increase.
Similar to observation, it is useful to have opportunities to evaluate the quality of
supervision. As part of contracting with your supervisor, asking about what outcomes
of supervision will be evaluated is another way to understand what you can expect to
Chapter 28 The Essential Ingredients for Clinical Supervision 727
achieve in supervision. Although there does not seem to be a standard for when to evalu-
ate supervision, requesting to evaluate often at first and more gradually over time allows
for quick adjustments early in the process and ensures maximum benefit over time.
The purpose of field instruction differs from staff supervision. Field instruction involves
teaching students the generic knowledge and skill base of their profession as it is
expressed in the specialized practice in addiction settings. The field instructor/staff
member helps students to integrate the knowledge, values and skills they are learning
in their academic program by discussing with them their practicum experience with
clients. Since the practicum takes place in an organizational context, field instructors are
accountable for the service students provide and must oversee or “supervise” students’
work. The primary role, however, is that of educator; service is used in the context of
teaching students. In contrast, the aim of staff supervision is to enhance client service
through development and support of professional staff members’ performance.
Many principles of supervision reviewed in this chapter are also important for
field instruction, especially regarding the importance of the relationship, balancing
autonomy and dependence with awareness of developmental stage, power dynamics
and contracting, and culture and diversity; and being observed and observing others
with opportunities to receive feedback and discuss interventions (Bogo, 2010). In their
practicums, students apply what they have learned in academic courses to practice in
the agency setting. Field instructors need to provide opportunities for reflective discus-
sion, where observed practice can be linked to one or more conceptual frameworks. The
knowledge base used in the setting may differ from that taught in the academic program.
Students will need help examining practice through such a lens, as well as having oppor-
tunities to integrate concepts they are learning.
Conclusion
The educationally focused supervision experienced in student field instruction provides
the foundation for ongoing growth and development of clinical skills and competencies.
The essential ingredients of supervision discussed in this chapter are intended to extend
clinicians’ ability and confidence to provide high-quality clinical care, and to support
clinicians so they may experience career growth and satisfaction.
Practice Tips
For supervisors:
• Take the time to clarify the organization’s commitment to supervision.
• Establish a supervision contract with each supervisee.
• Discuss power and safety.
• Consider the level of development of each supervisee.
• Be open to being observed.
• Evaluate supervision regularly.
For supervisees:
• Discuss with your supervisor which type of supervision will be most
effective.
• Be open to observation and evaluation.
• Recognize your role in contributing to the maintenance and development
of healthy team dynamics.
• Identify your goals in terms of knowledge development, including ongoing
cultural competence needs.
Chapter 28 The Essential Ingredients for Clinical Supervision 729
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Australia’s National Research Centre on Alcohol and Other Drugs Workforce
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Ethnicity Online—Cultural Awareness in Health Care
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Chapter 29
Ellen works as a probation officer. She has noticed that recidivism in the men
and women she works with seems always to be related to substance use
problems. But she doesn’t know what she can do about it.
problems with tobacco, alcohol and prescription and illicit drug use. Their
substance use appears to be not only a contributing factor in the health
event that got them into care, but also a factor that interferes with rehabilita-
tion and recovery.
The professionals introduced in these vignettes work across a range of sectors, and
despite different job descriptions, each works with people experiencing challenges
related to substance use. In some cases, substance use is the primary focus of their work.
In others, it is part of the overall picture and may or may not be actively addressed. In
each case, the ability to develop holistic, integrated programs of care is crucial to help-
ing clients develop healthy behaviours. Unfortunately, problematic substance use and
other addictive behaviours are features in the lives of many people who receive help in
the health and social service systems. Other health and social problems have high rates
of co-prevalence among clients whose substance use is affecting their functioning and
health. Yet the systems in which these professionals work have historically done a poor
job of identifying these other problems and of forging the collaborative connections
needed to provide holistic care.
This chapter examines the clinical world at the systems level, shifting from a focus
on particular practices to the broader contexts within which they take place. These con-
texts include the array of health and social services and supports that can be found in any
community, region and province. They also include federal, provincial and territorial,
regional and organizational policies, administration and practices that shape priorities
and resource allocation. The chapter is a call to action for practitioners in the substance
use field. Those on the inside are uniquely qualified to identify how the system is meet-
ing clients’ needs and where it is not. Everyone working in the system has a role to play
in its development: this includes promoting or supporting collaboration, innovation,
clinical research and evaluation.
As you read this chapter, consider the following questions in the course of your
day-to-day clinical practice:
• What are my clients’ needs and health goals? These might include:
-- particular specialized service needs
-- holistic needs that extend to other health and social sectors
-- continuity of care and system navigation
• How might these needs and goals change in different phases of my clients’ healing
journeys?
• How can I help my clients meet their needs when they require services and supports
not provided by my agency?
• What new kinds of collaboration need to be forged with service and support providers
to better meet the needs of clients? What current partnerships can we build on?
• What barriers prevent clients from experiencing real continuity of care across the mul-
tiple services and supports they may need to access? What strengths can we build on?
• How can we build on creative and innovative solutions to achieve broader system-level
improvements?
Chapter 29 Care Pathways for Healing Journeys 735
• Most provincially and federally incarcerated prisoners in Canada have histories of sub-
stance use. Problematic use is particularly high among Aboriginal men (Bouchard, 2004).
• Aboriginal people in Canada are more likely than the general population to experience
challenges in the social determinants of health, many of which are predictive of sub-
stance use (Loppie Reading & Wien, 2009). These determinants, as well as cultural
context (e.g., intergenerational trauma), should be considered in providing culturally
appropriate services (Health Canada et al., 2011).
Imagine a client with severe and complex substance use problems. Early on, you learn
that he has been treated for an addiction. As you explore further, you find he also has
been seen in psychiatric emergency departments for anxiety attacks, which have led to
referrals for mental health counselling and prescriptions for anti-anxiety medication.
You learn that the client has been involved with the criminal justice system, with charges
for theft and public mischief leading to fines and probationary sentences. The client has
lost his housing and is now living in a hostel. His last real job was more than one year
ago. He has recently had physical health issues related to a persistent lung infection.
He has been in and out of relationships, but is currently not involved with anyone. He
reports being alienated from his family.
As a clinician, you may want more information about such a client, including
more detail about his substance use (e.g., type of substances; last use; patterns of use—
frequency, quantities; years of use; periods of abstinence or reduced use; age of first use;
and what other addictive behaviours are creating risk or harm). Knowing these and other
details, could you easily provide accessible, effective responses, or would you still feel
overwhelmed, without the resources and the connections to offer someone with such
diverse challenges the comprehensive care he or she needs? Would this kind of complex-
ity be common or unusual in your work?
Given the prevalence of clients with complex issues, the helping system should
have effective, routine ways of identifying complex problems and effective ways of
addressing them. However, addiction providers are often trying to help people with com-
plex problems who at the same time are trying to navigate complex systems.
One of the most crucial factors in determining what you can do and how you do
it is the context within which you work. Where are you located in the array of health and
social services that make up the “system” in your community?
spectrum of health and other services. The Mental Health Commission of Canada,
following on Out of the Shadows at Last, a report of the Standing Senate Committee
on Social Affairs, Science and Technology (2006), has highlighted how addiction and
mental illness are intertwined. Around the same time, the National Treatment Strategy
Working Group (2008), convened by the Canadian Centre on Substance Abuse (CCSA)
and the Canadian Executive Council on Addiction, developed an approach to a model
system that is being increasingly used to map current resources and to chart a course
for system improvement. A key element of the emerging Canadian model is a strong
consensus on the need to help people with substance use problems in ways that
include, but that go beyond, the specialized addiction treatment system. The National
Treatment Strategy Working Group (2008) report proposed a tiered model, identifying
five sets of functions that all communities should have available to effectively respond
to substance use.
A simple way of imagining the tiers is to think of the lower tiers (Tiers 1 and 2) as
more community-based and broadly applicable, engaging the whole population, while
the higher tiers are more specialized and able to provide more in-depth services and
supports for the smaller set of people who have more severe and complex problems.
Table 30-1 compares how different populations, functions and services might fall across
the tiers. The tiers are intended to be groupings, not distinct or prescriptive categories.
The idea is not to fit clients and services into tiers, but to look at the range of services
available and the flow of clients through them. Many clients and services will have char-
acteristics that can be located across more than one tier.
table 30-1
Mapping Populations, Functions and Services across Tiers
Thinking visually, from the point of view of the system, the fifth tier is often pre-
sented at the top, and the first tier at the bottom. However, inverting that order illustrates
that for the client, this progression represents a descent into the illness and disability
that substance use can cause, especially at the severe end of the continuum.
Where would you locate your service, keeping in mind that one service can pro-
vide functions across many tiers? Can you identify services in your community that carry
out functions that belong to each tier? How connected is your agency to services in other
tiers? How does this make a difference for the clients with whom you work?
Most clients will need to access multiple services and supports as they work
toward healing. Many of these services and supports will be part of local addiction treat-
ment networks (e.g., withdrawal management, residential and other forms of treatment,
supportive recovery), while others will be part of broader health and human services
systems (e.g., primary medical care, mental health and housing services). Clients may
have difficulty gaining access to or transitioning between any of these services. Some of
these interrelated difficulties are outlined below.
Information: Clients often do not have the information they need about potential service
providers, or they lack the personal means to readily get that information. This is com-
pounded by the fact that providers themselves often do not have adequate information
about what other providers are offering, or they lack access to a central clearinghouse
that stores, updates and shares that information.
Referrals: Programs often get inappropriate referrals from other providers, which adds
to delays in care, as well as frustrating clients and decreasing their motivation to get help.
At the same time, providers who are frequently referral agents (e.g., withdrawal manage-
ment centres and primary health services) often find that other treatment providers will
not accept clients with more complex needs (e.g., people on methadone).
Chapter 29 Care Pathways for Healing Journeys 739
Access: Addiction treatment and support programs typically lack collaborative connec-
tions with mental health services. These collaborations would improve access through
referrals between the two—ideally to access the concurrent care that the best practice lit-
erature suggests is needed to produce optimal outcomes (Health Canada, 2002). Instead
of the services collaborating to meet the needs of the client, the client is often defined as
ineligible by one or the other service, must prove that the other problem is in remission
or is put on wait-lists.
Physical health issues such as chronic pain can also limit clients’ successful recovery, but
continuing medical care is often not easily available. The presence of other issues such
as criminal justice involvement or unstable housing, which are common among people
with addiction problems, further stigmatize the client and raise additional barriers to
accessing needed resources.
Intake: Clients often experience the continuum of services and supports as a series of
isolated programs, where each program requires that they start anew. This means that
clients have to tell their story again and again, which can be demoralizing.
Housing: In some systems, clients may have to give up their stable housing to enter into
a government-funded treatment program. Having to search for housing once residen-
tial phases are complete distracts clients from their care journeys. If they are unable to
secure safe housing, they may return to situations that put them at increased risk for
substance use problems.
Funding: Funding provisions (e.g., service restrictions) and guidelines may create tech-
nical barriers regarding eligibility, approval and access. These barriers may mean that
when a client is ready for change a narrow window of opportunity is missed, making
care pathways even more bumpy.
Communication: Even providers in the same geographic area often do not communicate
about their respective services, potential partnerships or the specific clients they are
working to help at the same time. Confidentiality, when introduced to explain why such
disconnections are necessary, can be a red herring. There are ways to address privacy
concerns without breaking confidentiality, for example, by introducing simple, standard-
ized requests for consent during intake.
A referral system can be strengthened through a central (or common) intake process
to allow for more co-operative service provision across sectors and less fragmented
care journeys for clients. Family physicians, in particular, can benefit from having one
access point in the system to initiate referrals for addiction or mental health services.
Mechanisms for centralized intake can also help realize the principle that every door
ought to be the right door for people seeking help with substance use and other health
issues. Centralized intake can also reduce the likelihood of people being screened and
assessed repeatedly. Clients should not have to tell their stories repeatedly before getting
the help they seek.
People with more complex, severe substance-related problems often do not enter the
continuum of care through routine appointments. Rather, their care journeys begin
with crises that bring them into medical, mental health or policing acute response situa-
tions. Hospital emergency departments, for example, can be a revolving door for people
with severe substance use problems. Such people often have many complex challenges,
including lack of housing, mental illness and encounters with the justice system. They
often also lack routine primary medical health care to address or prevent physical health
conditions. Settings such as emergency departments, therefore, call for on-site collab-
orative interdisciplinary responses from different kinds of practitioners, including those
who can initiate substance use screening, assessment and early treatment.
When a client seeks help from more than one kind of practitioner concurrently, uncer-
tainties can arise as to how the providers should work together. On the one hand, when
mental health or primary care practitioners are providing support to the client of a
substance use treatment practitioner, concerns might emerge around protecting client
confidentiality and choices. On the other hand, practitioners may find it challenging
to keep one another informed about how their respective treatment processes are pro-
gressing with the same person, when it is important to do so. It is sometimes helpful
to have a general shared care protocol established in advance to make the steps clearer
when different kinds of practitioners find themselves working together with particular
742 Fundamentals of Addiction: A Practical Guide for Counsellors
c lients. These shared care protocols may need to be worked out at the organizational
level between provider agencies, as well as at the clinical level for individual clients.
Planning Discussions
Knowledge Exchange
Practice-Based Research
Front-line practitioners are well positioned to identify the kinds of information that will
help others like themselves work more effectively with clients. Recent years have seen
an increase in research in which practitioners themselves take on the role of research
leads, sometimes in partnership with academic researchers. These practice-based
inquiries often involve collaborations with clients, families and other stakeholders. A
good example of this is the work of O’Grady and Skinner (2007, 2012) on partnering
with families affected by addiction and co-occurring mental health problems. Since
Chapter 29 Care Pathways for Healing Journeys 743
practice-based research takes place in actual service and support situations, it can
provide important insights into real-world applicability, including barriers and oppor-
tunities for implementation.
Facilitating Access
Privately funded services provide another option for accessing support for substance
use problems in Canada. Like the publicly funded system, the services offered in the
private sector vary considerably, creating both advantages and disadvantages for poten-
tial clients. Many private services follow a more traditional, abstinence-oriented model.
Some provide truly innovative approaches, which may meet the needs of some clients,
but which may not be supported by practice evidence. For people who can afford it, the
private system can offer levels of privacy, personal attention and amenities that are not
possible in the public system. But operating autonomously from the public system can
also limit clients’ access to other supports within the public service continuum, such as
multi-sectoral, community-based and continuing care services. Because these private
system services are not publicly accountable, less is known about their operations and
outcomes. Increasing the dialogue between public and private systems is one way to
increase awareness of the true range of choices available to clients.
Professional Recognition
The substance use field often faces considerable challenges advocating for resources
and professional recognition. Substance use treatment is relatively young as a special-
ized health field. Professional and program-level standardization and accreditation are
still in the developmental stage, and both vary greatly across Canada. Substance use also
has a strong history of peer-led interventions not seen in most health fields, although
they are growing in the mental health sector. Although a strong evidence base exists for
the efficacy of certain treatment approaches, evaluation and data collection at the client,
program and system levels have been inconsistent.
System Data
Good data are needed to promote evidence-based decisions at the political level (Pirie et
al., 2013). Substance use has historically been a high-profile issue, associated with crimi-
nalization, media coverage, personal stigma and glamorization—from Al Capone, to the
Temperance movement, to Mothers against Drunk Driving, to Lindsay Lohan. “Doing
something about the scourge of addiction” is a popular political platform; however, it
often focuses short-term resources on high-profile investments, such as tougher crimi-
Chapter 29 Care Pathways for Healing Journeys 745
nal sanctions, mandated treatment and residential beds, rather than on more strategic,
evidence-based development with longer-term impacts.
When we think about services for substance use, we also tend to think about the
specialized system—inpatient or intensive outpatient programs. However, only a small
proportion of the population with substance use problems in fact requires this level
of intervention. Better data about population needs, service use and service outcomes
would support a system that is truly responsive to Canada’s substance use profiles. Also
important, however, is the recognition that working in non-specialized settings (whether,
for example, community-based or multidisciplinary) often requires different but just as
valuable skills and professionalism as working in more intensely specialized settings.
Only a minority of people who would benefit from substance use services and supports
actually ever access them. Many barriers to service exist.
Geography
Canada’s population is spread over a tremendous geographic area. Services are generally
concentrated in urban centres, meaning that people living in rural or remote areas have
access to limited options within their communities.
Physical accessibility
Clients may have difficulty accessing services that are not centrally located or easily
accessible through public transport. Costs associated with transport, such as bus tickets
or parking rates, can also be problematic for lower-income clients. High-intensity ser-
vices targeting high-risk, high-need clients may also need to consider physical barriers to
access, such as stairs and narrow doorways for clients whose concurrent health concerns
limit mobility or require use of mobility aids.
Stigma
Stigma and discrimination remain significant barriers for people accessing services.
They also pose barriers at the system level. Medical professionals who are not familiar
with or confident in substance use services and supports are unlikely to refer clients—
either trying to address their clients’ substance use themselves or simply ignoring it.
we can do at the system level involves early identification and intervention. Inevitably, there
will be people who develop moderate to severe problems related to addictive behaviour who
will need active treatment. These components are not enough. The evidence shows that
better outcomes come not just from providing evidence-informed episodes of early inter-
vention and active treatment, but also from providing continuing care. Think of these four
components as elemental in structuring how to think about, design and deliver a feedback-
driven system of care for people affected by addictions and related problems. In order to
truly be responsive to diverse needs, add an effective understanding of the shaping role of
culture, including the social determinants of health, at all levels. What begins to emerge is a
system not just responsive to signs of illness, but proactive in building health and well-being
at the individual, family and community levels, and driven by feedback to continuing quality
improvement. Figure 29-1 illustrates our vision for such a system.
prevention
Cu
re
ltu
ltu
Cu
re
person
continuing early
family
care identification
community
re
Cu
ltu
ltu
Cu
re
active
treatment
748 Fundamentals of Addiction: A Practical Guide for Counsellors
Action: Flora discusses with her team her concern that clients’ health and
social problems are not being addressed and the need to make things better
for clients. The team uses the idea of a healing journey to map out better
care pathways for complex clients. The journey includes an improved intake
process, as well as a community-based, post-treatment care plan that will
require more active communication with the agencies that refer clients to
the program and the agencies the program refers out to, not just upon dis-
charge, but also as treatment progresses. The team identifies and meets with
the two community agencies that provide more than half of the program’s
referrals. The healing journey map provides a useful tool to demonstrate
how collaboration will benefit their mutual clients, and both agencies sign
formal partnership agreements. The agreements set aside time for weekly
case planning discussions. If successful, the team hopes to adopt the model
to work with other agencies to improve the family and social support ser-
vices for program clients to increase retention and decrease relapse rates.
✦
Chapter 29 Care Pathways for Healing Journeys 749
Action: Ali connects with an addiction service that focuses on youth preven-
tion. He also arranges for an education session for teachers and guidance
counsellors on gaming, and ways to identify risk and respond. Because of the
parents’ and community’s growing interest in the topic, Ali then arranges, in
partnership with the addiction agency, a series of evening information and
education sessions on gaming, the Internet and risk factors for associated
problems.
Action: Pierre realizes that parents are often highly motivated to do what
it takes to keep their families intact. He feels that if he had quick access to
addiction assessment and counselling he could be more helpful to parents
with addiction problems. Although there is a waiting list for the addiction
assessment service, his manager and the manager for the addiction program
have agreed to a pilot project offering immediate access to the service. They
are tracking the impact so the results can be used to decide whether to con-
tinue or even extend this response. The agencies also agree to modify intake
forms to obtain client consent to share information as a routine rather than
exceptional practice for referrals. Pierre is also proposing that management
recognize the use of the referral program in staff performance assessments
as a way to promote its use.
750 Fundamentals of Addiction: A Practical Guide for Counsellors
Action: Ines feels that while she, and even more the doctor on the team, can
flag concerns about substance use, their clinical times are so tightly sched-
uled they can’t do more. Ines reaches out to one of the specialized substance
use services in the area, and strikes an agreement to have one of its counsel-
lors come into the centre on a weekly basis to provide brief interventions and
referrals to clients with substance use concerns.
Conclusion
As these vignettes illustrate, practitioners can have a strong influence on the system in
which they work. Innovation often results from front-line providers seeing a need and
addressing it: this is simply part of providing client-centred care. Front-line providers
know better than anyone the broad range of services needed to address the varying needs
of clients they see every day. At a system level, we need to support these innovations and
use them as building blocks to drive sustainable improvements in service. Practice-based
research is already improving the connection between academia, policy and the needs
of clients and practitioners. Increased engagement in system-level considerations can
further this connection and accelerate movement toward a comprehensive, collaborative
system of services and supports for substance use in Canada.
Practice Tips
Consider the following tips as you do the essential front-line work of finding,
shaping and in some cases building the care pathways useful to people with
addiction problems as they set out on their healing journeys.
• Identify the substance use issues that arise or are embedded in your
work, whether you are in a health care, social service or education agency,
in private practice or in a specialized substance use treatment setting.
Consider how substance use issues have already affected your clients and
the problems that have led these clients to you.
• Reflect on your personal scope of practice as a helping professional and
the mandate of your work setting. Are they congruent? Why or why not?
Chapter 29 Care Pathways for Healing Journeys 751
• Understand the healing journeys of your clients. Where are the gaps, and
what are their impacts?
• Identify the care pathways available to support people in their recovery
goals, especially those with severe and complex problems.
• Locate the outreach and open access services and supports available for
people who fail to respond successfully or who do not even become engaged
in addiction treatment services.
• Look for opportunities to collaborate with other agencies that will help
meet the complex needs of your clients.
• Work collaboratively with other service providers to build helping rela-
tionships based on client participation, engagement and commitment.
The more complex the problems of your clients, the less you should be
working alone, and the more you need to forge alliances that build the
integrated care pathways that clients require.
• Never pass up an opportunity to build social support for your clients,
including family involvement and support.
• Use your expert knowledge to advocate practical improvements that will
benefit all clients. This could mean proposing innovative collaboration
ideas to your colleagues and managers, championing pilot projects or
leading and participating in clinical research and evaluation.
Resources
Publications
Mental Health Commission of Canada. (2009). Toward Recovery and Well-Being: A
Framework for a Mental Health Strategy for Canada. Calgary, AB: Author. Retrieved
from www.mentalhealthcommission.ca
Mikkonen, J. & Raphael, D. (2010). Social Determinants of Health: The Canadian Facts.
Toronto: York University School of Health Policy and Management. Retrieved from
www.thecanadianfacts.org
National Treatment Strategy Working Group. (2008). A Systems Approach to Substance
Use in Canada: Recommendations for a National Treatment Strategy. Ottawa: Author.
Retrieved from www.nts-snt.ca
Rush, B. (2010). Tiered frameworks for planning substance use service delivery systems:
Origins and key principles. Nordic Studies on Alcohol and Drugs, 27, 617–636.
752 Fundamentals of Addiction: A Practical Guide for Counsellors
Internet
Canadian Centre on Substance Abuse
www.ccsa.ca
Center for Substance Abuse Treatment—Treatment Improvement Protocol Series
www.kap.samhsa.gov/products/manuals/tips/index.htm
Centre for Addiction and Mental Health Knowledge Exchange portal for professionals
http://knowledgex.camh.net
Coalescing on Women and Substance Use
www.coalescing-vc.org
Evidence Exchange Network
www.eenet.ca
Implementation Science
www.implementationscience.com
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About the Editors and Authors 755
W.J. Wayne Skinner, MSW, RSW, is head of the Problem Gambling Institute of Ontario
at the Centre for Addiction and Mental Health (CAMH) in Toronto, as well as acting
head of CAMH’s Eating Disorders and Addiction Clinic and deputy clinical director
of the Ambulatory Care and Structured Treatment Program. Between 1998 and 2005,
he was clinical director of the Concurrent Disorders Program at CAMH. Wayne is
involved in research about assessing and treating concurrent disorders, supporting
families affected by addiction and mental health problems, and recovery processes based
on mutual aid and peer support. He consults to and participates in policy initiatives
related to addiction and mental health, including the National Treatment Strategy and
the National Native Alcohol and Drug Abuse Program renewal. He is adjunct senior
lecturer in the Factor-Inwentash Faculty of Social Work and an assistant professor in
the Department of Psychiatry at the University of Toronto, and is a member of the
Motivational Interviewing Network of Trainers. He edited Treating Concurrent Disorders:
A Guide for Counsellors (CAMH, 2005) and is co-author of A Family Guide to Concurrent
Disorders (CAMH, 2007) and Substance Abuse in Canada (Oxford University Press, 2010).
Wayne is also associate editor (Canada) of the journal Mental Health & Substance Use.
756 Fundamentals of Addiction: A Practical Guide for Counsellors
Megan Barker, MA, has worked for the Centre for Addiction and Mental Health in
Toronto since 2010 as the continuing medical education co-ordinator for the TEACH
Project, a University of Toronto–accredited certificate program in smoking cessation
counselling. In 2009 she graduated from the University of Guelph with an honours
bachelor’s degree in criminal justice and public policy, and women’s studies. In 2010
she completed a master’s degree in criminology and socio-legal studies at the University
of Toronto. Megan has been a contributing author to peer-reviewed journal articles and
book chapters focused on tobacco dependence treatment and knowledge translation in
health care.
Jennifer Barr, BA, worked as a trainer, educator and community developer in the pre-
vention and treatment of substance use and mental health problems with the Centre
for Addiction and Mental Health (CAMH) in Toronto and its predecessor, the Addiction
Research Foundation. She was the project leader of the CAMH Healthy Aging Project,
which addressed mental health and addiction in older adults. Jennifer is now an inde-
pendent consultant working with organizations in Ontario and across Canada in policy,
research, training and program development. She is working on a master’s degree in the
School of Public Policy and Administration at Carleton University in Ottawa.
Kirstin Bindseil, MSW, RSW, is an advanced practice clinician at the Centre for Addiction
and Mental Health in Toronto. She offers supervision, education and leadership to staff
in the Addictions Program. Kirstin has worked as a clinical supervisor for nine years and
has worked in mental health and addiction in both outpatient and inpatient services.
Marian Bogo, MSW, Adv. DipSW, is a professor, and former dean and field practicum
co-ordinator at the Factor-Inwentash Faculty of Social Work at the University of Toronto.
Her research focuses on social work field education and supervision, including the
conceptualization and assessment of professional competence. She has published more
than 100 journal articles and book chapters on field education and social work practice.
Her most recent book is Achieving Competence in Social Work through Field Education
(University of Toronto Press, 2010). She has lectured and consulted to schools of social
work in Canada, the United States, Asia, Israel and the United Kingdom.
About the Editors and Authors 757
Nick Boyce, BSc, obtained his degree in psychology from Dalhousie University in
Halifax, Nova Scotia. In 1999, he became a volunteer with the TRIP! Project, providing
safer sex and safer drug use information and supplies in Toronto’s rave and nightclub
scenes. Subsequently, he was the gay men’s harm reduction co-ordinator at the AIDS
Committee of Toronto. Nick is provincial director of the Ontario HIV and Substance
Use Training Program and has delivered training around HIV, hepatitis C, addiction,
mental health and harm reduction. He was chair of the grant review panel for the City
of Toronto’s Drug Prevention Community Investment Program, and is currently vice-
president of Addictions Ontario.
David Brown, PhD, has more than 20 years of experience in applied health research. He
has expertise in organizational analysis, as well as in the use of multiple research meth-
ods, including community-based approaches. His background includes research director
with the Addictions Foundation of Manitoba, scientist with the University of Wisconsin
Faculty of Medicine and policy adviser with B.C. Mental Health and Addiction Services.
David has worked extensively in the area of improving substance use screening and brief
intervention practices in the context of primary health care settings.
Virginia Carver, PhD, has worked in the addiction field since the early 1970s. For most of
that time she worked as a program consultant with the Addiction Research Foundation
(now the Centre for Addiction and Mental Health) and Health Canada, and worked for a
few years as a private contractor. She is now retired, but is still active as a volunteer. Her
main areas of interest are substance use treatment and services for women and older
adults.
Gloria Chaim, MSW, RSW, is deputy clinical director in the Child, Youth and Family
Service at the Centre for Addiction and Mental Health in Toronto. She is an assistant pro-
fessor in the Department of Psychiatry and an adjunct lecturer in the Factor-Inwentash
Faculty of Social Work at the University of Toronto. Gloria’s main interest is in develop-
ing service capacity for underserved populations, particularly women, children, youth
and families where concurrent disorders are a concern. To foster opportunity for inno-
vation, she has focused most recently has been on developing cross-sectoral networks
and collaborations that provide a forum for knowledge exchange and joint service and
research initiatives.
Robin Cuff, BComm, is manager of the Drug Treatment Court Program at the Centre
for Addiction and Mental Health in Toronto. She has held various leadership positions
in women’s addiction treatment, withdrawal management, a young parents’ resource
centre, assessment and referral services and community capacity building. Robin has
helped to develop provincial best practices for women’s addiction treatment, as well
as withdrawal management standards and guidelines for trauma-informed practices
in substance use services. She obtained an honours bachelor of commerce (human
resources) degree from Ryerson University. She is a faculty member with the Canadian
branch of the William Glasser Institute.
758 Fundamentals of Addiction: A Practical Guide for Counsellors
Jim Cullen, PhD, RSW, is a social worker with a long history of working in mental health,
health and addiction in clinical and leadership roles. He has worked primarily with
vulnerable groups, such as the LGBTTIQ community, street-involved youth and First
Nations in northern Ontario and British Columbia. Most recently Jim served as clinic
head and manager of Rainbow Services at the Centre for Addiction and Mental Health in
Toronto. He currently is a mental health consultant with the National Ballet School, and
works in private practice, as well as providing training and consultation for organizations
around the province. Jim holds an adjunct appointment at the University of Toronto.
John A. Cunningham, PhD, is the Canada Research Chair in Brief Interventions for
Addictive Behaviours. In 1995, he received his doctorate in experimental psychology
from the University of Toronto, where he is now a professor of psychology and public
health sciences. He has spent his career at the Centre for Addiction and Mental Health,
where his research is driven by the question, How do people change from addictive
behaviours? To answer it, John has combined population research methods with clinical
and other research traditions. His findings have been translated into brief interventions
for problem drinkers and other drug users that can be applied in treatment or commu-
nity settings.
Tony P. George, MD, FRCPC, is professor of psychiatry and co-director of the Division
of Brain and Therapeutics in the Department of Psychiatry at the University of Toronto.
He is medical director of the Complex Mental Illness Program and chief of the
Schizophrenia Division at the Centre for Addiction and Mental Health. His research
focuses on the neurobiology of tobacco and cannabis addiction in schizophrenia and
other mental illness, and translation to addiction treatments in comorbid disorders. He
is the author of more than 170 peer-reviewed research articles, reviews and book chap-
ters, including the chapter on nicotine and tobacco in the 24th edition of Goldman’s Cecil
Medicine (Elsevier, 2011).
Tim Godden, BSc, MSW, RSW, is an advanced practice clinician at the Centre for
Addiction and Mental Health (CAMH) in Toronto. He has worked in community
mental health and addiction for 22 years. Since he joined CAMH’s Addiction Program
in 1999, Tim has worked in various roles, including as a therapist in the Youth, Brief
Treatment and Concurrent Disorders services. He has provided supervision for several
teams, including the Assessment, Aboriginal, Brief Treatment, Drug Treatment Court
and Rainbow services. He has a strong interest in education and training in motivational
interviewing, concurrent disorders and acquired brain injury.
Brian A. Grant, PhD, is director general of research for the Correctional Service Canada
(CSC). The research branch conducts applied social science research in support of
correctional operations and contributes to the safe reintegration of offenders into the
community. He has worked as a researcher with CSC since 1992 and was the director
of the Addictions Research Centre in Prince Edward Island before assuming his current
position. He received his doctorate in social psychology in 1985 from Queen’s University
About the Editors and Authors 759
Sylvia Hagopian, BA, Dip. Creative Advertising, has managed the development and
implementation of websites, psychoeducational resources and e-health solutions for
more than a decade. Her portfolio includes interactive self-directed e-health tools, web
communities of practice for professionals, diagnostic and treatment planning tools and
mobile applications. She has also developed web and mobile versions of an addiction
monitoring tool (MYGU: Monitor Your Gambling & Urges). She is the manager of com-
munications and online services for the Problem Gambling Institute of Ontario at the
Centre for Addiction and Mental Health in Toronto.
Susan Harrison, BA (Hon), BEd, MSW, RSW, has served as a child protection worker,
family therapist, EAP consultant and trainer, project leader and senior manager. She
has experience as an addiction counsellor, director of a women’s addiction centre and
social worker in two family health teams. She was the project leader for developing
resources for women at the former Addiction Research Foundation and its successor, the
Centre for Addiction and Mental Health, and for creating the conceptual framework for
Ontario’s Back on Track program for impaired drivers. Susan was co-editor of the first
three editions of Alcohol & Drug Problems.
David C. Hodgins, PhD, is a professor of clinical psychology and head of the Department
of Psychology at the University of Calgary in Alberta. He is a co-ordinator with the
Alberta Gaming Research Institute. He received his BA (Hon) (1981) in psychology
from Carleton University and his master’s degree (1983) and doctorate (1987) in clinical
psychology from Queen’s University in Kingston, Ontario. He is registered as a clinical
psychologist in Alberta. His research focuses on various aspects of addictive behaviours,
including relapse and recovery from substance use problems and gambling disorders.
Eva Ingber, MSW, RSW, has worked for more than 20 years in addiction and mental
health. She was an advanced practice clinician at the Centre for Addiction and Mental
Health in Toronto, where she provided training in concurrent disorders and motivational
interviewing and managed a women’s addiction program. She currently facilitates moti-
vational interviewing training, provides clinical supervision and facilitates a group at an
addiction agency for women who have family members with addiction or mental health
760 Fundamentals of Addiction: A Practical Guide for Counsellors
issues. In private practice, Eva counsels people with addiction and mental health issues,
as well as addressing relationship issues, self-care and behaviour change.
Rebecca Jesseman, MA, is a research and policy analyst with the Canadian Centre on
Substance Abuse in Ottawa. Rebecca is the project lead for CCSA’s Treatment Priority,
and also works on issues that include criminal justice, legislative approaches to drug use,
harm reduction and injection drug use. She has a master’s degree in criminology from
the University of Ottawa, where she also teaches as a sessional professor. Before joining
CCSA in 2006, Rebecca worked for Public Safety Canada.
Toula Kourgiantakis, MSW, RSW, RMFT, PhD candidate, is a couple and family thera-
pist and social worker in the Problem Gambling Institute of Ontario at the Centre for
Addiction and Mental Health in Toronto. She has worked with couples and families in
many different settings for more than 20 years and is a clinical member of the American
Association of Marriage and Family Therapy. Toula’s doctoral research is examining the
impact of problem gambling on families, as well as the role of the family in problem
gambling treatment. Toula is a part-time faculty member at the School of Social Work
at Ryerson University.
Dale Kuehl, MSW, RSW, is an advanced practice clinician in the Dual Diagnosis Service
at the Centre for Addiction and Mental Health (CAMH) in Toronto, where he has worked
since 2001. He is a sessional instructor at the School of Social Work programs at York
and Ryerson University, and adjunct lecturer with the Factor-Inwentash Faculty of Social
Work at the University of Toronto. He co-designed, developed and taught the first cer-
tificate program in harm reduction. He served on the board of directors for the Toronto
Harm Reduction Task Force from 2004 to 2010 and has been on the John Howard
Society of Toronto board since 2012.
About the Editors and Authors 761
Nina Littman-Sharp, MSW, RSW, is manager of the clinical program of the Problem
Gambling Institute of Ontario at the Centre for Addiction and Mental Health in Toronto.
She has worked in the problem gambling field since 1995. She has presented and writ-
ten on various topics, including relapse prevention, family and couples work, gambling
and attention-deficit/hyperactivity disorder, and gambling and fatigue. Nina is one of
the authors of the Inventory of Gambling Situations, a relapse prevention instrument.
Tammy MacKenzie, MEd, has worked in the addiction field for 15 years in front-line and
management roles. She is manager of the Concurrent Addiction Inpatient Treatment
Service at the Centre for Addiction and Mental Health in Toronto. She has worked in
women’s treatment, child development, housing, harm reduction, assessment and com-
munity capacity development. Tammy has presented widely on fetal alcohol spectrum
disorder, focusing on challenges and opportunities in treatment settings. She is co-
author of a chapter about the unacknowledged grief of child apprehension in Becoming
Trauma Informed (CAMH, 2012).
David C. Marsh, MD, CCSAM, ASAM, ISAM, joined the Northern Ontario School of
Medicine as associate dean of community engagement in 2010. He was the physician
leader for addiction medicine with Vancouver Coastal Health and Providence Health
Care, and clinical associate professor in the School of Population and Public Health at
the University of British Columbia. He held leadership roles at the Addiction Research
Foundation and the Centre for Addiction and Mental Health in Toronto from 1996
until 2003. His research focuses on withdrawal management, methadone maintenance,
heroin-assisted treatment and harm reduction interventions. In 2004, he received the
Nyswander-Dole Award from the American Association for the Treatment of Opioid
Dependence.
Gabor Maté, MD, is a physician and best-selling author whose books have been published
in 20 languages internationally. His interests include child development, the mind-body
unity in health and illness, and addiction treatment. He has worked in family practice, pal-
liative care and addiction medicine. He regularly addresses professional and lay audiences
throughout North America and has received various awards, including a Simon Fraser
University Outstanding Alumnus Award and an honorary degree from the University of
Northern British Columbia. His most recent book, In the Realm of Hungry Ghosts: Close
Encounters with Addiction, won the Hubert Evans Prize for literary non-fiction.
762 Fundamentals of Addiction: A Practical Guide for Counsellors
Flora I. Matheson, PhD, BA, MA, is a sociologist who focuses on crime, deviance and
socio-legal studies. She has extensive research experience with marginalized popula-
tions, specifically offenders and illicit drug users. She is a research scientist at the Centre
for Research on Inner City Health at St. Michael’s Hospital in Toronto, and an adjunct
scientist in the Primary Care and Population Health and Mental Health and Addictions
programs at the Institute for Clinical Evaluative Sciences. She is an assistant professor
with the Dalla Lana School of Public Health at the University of Toronto and senior
research associate with the Correctional Service of Canada.
Janet Mawhinney, MA, is manager for diversity and equity at the Centre for Addiction
and Mental Health in Toronto. This role involves promoting the integration of equity
and human rights into health service practices and systems. Her work includes human
rights, employment equity, cultural competence, LGBTQ inclusion, harassment, bias in
hiring, accessibility and health equity. Janet has developed and delivered various equity
initiatives for front-line staff, management and board leadership in hospitals, universi-
ties, public health, community health centres and housing services. Her graduate work
focused on equity pedagogies within organizational change strategies.
Peter Menzies, PhD, RSW, is a member of Sagamok Anishnawbek First Nation. He has
spent 13 years at the Centre for Addiction and Mental Health (CAMH) in Toronto building
culturally congruent mental health and addiction programs in partnership with Ontario’s
Aboriginal communities. He founded CAMH’s Aboriginal Services program. Before join-
ing CAMH, Peter held front-line and management positions at Native and mainstream
agencies and worked with individuals and families in child welfare, family counselling,
homelessness and income support programs. He won the Centre for Equity and Health in
Society’s Entrepreneurial Development and Integration of Services Award (2005) and the
Kaiser Foundation’s Excellence in Indigenous Programming Award (2011).
Andrea E. Moser, PhD, CPsych, is director of the Addictions Research Centre with the
Correctional Service of Canada (CSC). She started her career with CSC in 1993 as a
psychologist working with offenders with mental disorders at the Regional Treatment
Centre in Ontario. She has been at CSC national headquarters since 1997 and has held
various positions, including national manager of substance abuse programs, National
Drug Strategy co-ordinator, national manager of violence prevention programs and
national co-ordinator of institutional and community mental health initiatives. She has
published articles and presented nationally and internationally on mental health, sub-
stance use treatment and correctional programming.
Caroline O’Grady, RN, MN, PhD, is an advanced practice nurse in the Ambulatory Care
and Structured Treatments Program at the Centre for Addiction and Mental Health in
Toronto, and an adjunct nursing professor at the University of Toronto. She is both prin-
cipal and co-investigator on a number of research studies, including studies focusing on
families and concurrent disorders, suicide prevention and women gamblers. Caroline is
also a co-lead on the development of a new Registered Nurses’ Association of Ontario
best practice guideline, Engaging Adults at Risk for Substance Use Disorders.
About the Editors and Authors 763
Jane Paterson, MSW, RSW, is director of interprofessional practice at the Centre for
Addiction and Mental Health in Toronto. Her clinical work focused on people with
co-occurring substance use and mental health problems and on family treatment. In
her current role, she has led practice change initiatives and established structures to
support and mentor clinical staff. Her work involves clinical policy development and
implementation, student education and training, and promoting optimal care and learn-
ing through interprofessional education and collaboration. She is cross-appointed to
the Factor-Inwentash Faculty of Social Work at the University of Toronto and to Smith
College School of Social Work in Northampton, Massachusetts.
Monique Peats, MTS-PC, OACCPP, MSW, RSW, is a psychotherapist, speaker and co-
founder of the Life Recovery Program, an internationally awarded mental health and
addiction online wellness program. Spanning more than 15 years, Monique’s extensive
career includes crisis and trauma intervention; family, couple and individual therapy in
private practice; as well as work in hospital, church, university, corporate and agency set-
tings. Her broad scope of experience and training enables her to provide an expansive
range of expertise, perspective and skill from a holistic paradigm.
Cheryl Peever, BSc, MSW, received her degrees from the University of Toronto. She
currently works at the Centre for Addiction and Mental Health in Toronto as manager
of the Health, Safety and Wellness Program. In 2006, Cheryl received the Courage to
Come Back Award after disclosing her past struggles with alcohol, cocaine addiction
and depression. She speaks regularly in the media and to professional groups about the
stigma surrounding mental health and addiction, particularly in the workplace.
Lisa Pont, BSW, MSW, received her degrees at Ryerson University and York University,
respectively. In 2007 she joined the Problem Gambling Service at the Centre for
Addiction and Mental Health (CAMH) in Toronto as the older adult specialist. Prior to
that, she co-ordinated CAMH’s telephone support line since its inception in 2003. Her
experience in counselling, outreach, community work and training led to her position
as a trainer and therapist with the Problem Gambling Project and Problem Gambling
Service at CAMH. She is involved in training and counselling in the areas of gaming,
gambling and Internet overuse.
Nancy Poole, MA, PhD candidate, works with the British Columbia Centre of Excellence
for Women’s Health on research and knowledge exchange related to girls’ and women’s
health. She is a co-editor of two books published by the Centre for Addiction and Mental
Health: Highs & Lows: Canadian Perspectives on Women and Substance Use (2007) and
Becoming Trauma Informed (2012).
Anne Ptasznik, MSW, has worked in mental health and addiction for more than 20 years.
She has worked with scientists and clinicians at the Centre for Addiction and Mental
Health (CAMH) and other organizations to communicate health research and informa-
tion to journalists and the public. She has written about mental health and addiction
for CrossCurrents: The Journal of Addiction and Mental Health, Reader’s Digest and other
764 Fundamentals of Addiction: A Practical Guide for Counsellors
Paul Radkowski, MTS, is CEO and clinical director of the Life Recovery Program, and an
internationally awarded psychotherapist and speaker. In addition to his extensive work
in addiction, he has consulted with hospitals and other treatment agencies working with
groups, families and individuals as a family and marriage therapist, crisis counsellor
and trauma specialist. Paul is the recipient of the Outstanding Addictions Professional
Award from the International Association of Addiction and Offender Counselors and the
first recipient of the Ontario Association of Consultants, Counsellors, Psychometrists
and Psychotherapists’ Recognition Award for Outstanding Service and Contribution in
the Field of Mental Health.
Peter Selby, MBBS, CCFP, FCFP, MHSc, DipABAM, is chief of the Addictions Program
at the Centre for Addiction and Mental Health in Toronto. He is an associate professor in
the Family and Community Medicine Department, the Psychiatry Department and the
Dalla Lana School of Public Health at the University of Toronto. He created the TEACH
project, a certificate program in smoking cessation counselling. He is a principal inves-
tigator with the Ontario Tobacco Research Unit, the STOP study and CAN-ADAPTT,
a Canadian smoking cessation guideline development and dissemination project. He
helped start the program for pregnant substance-using women at St. Joseph’s Health
Centre, and continues his clinical research with this population.
Joanne Shenfeld, MSW, RSW, is manager of outpatient and day treatment in the Youth
Addiction and Concurrent Disorders Service at the Centre for Addiction and Mental
Health in Toronto. She is an adjunct lecturer in the Factor-Inwentash Faculty of Social
Work at the University of Toronto. She has extensive clinical experience in youth concur-
rent disorders, including individual, family and group work. Joanne was instrumental
in developing CAMH’s Family Addiction Service and day treatment services for youth,
most recently focusing on a new day hospital program that combines intensive program-
ming for inpatients and outpatients.
Linda Sibley, BA, CBS diploma, is executive director of Addiction Services of Thames
Valley in London, Ontario, which specializes in screening, assessing and treating people
with substance use and gambling problems and their families. She has more than 30
years of experience working in Ontario’s addiction system and has provided workshops
About the Editors and Authors 765
across Canada on a variety of topics. She has been a trainer for 20 years and is co-author
of a clinical manual on standardized assessment for Ontario’s addiction system.
Robert M. Solomon, LLB, LLM, is a professor in the Faculty of Law at the University
of Western Ontario in London, and national director of legal policy for MADD Canada.
He served on the board of directors of the Addiction Research Foundation (now part of
the Centre for Addiction and Mental Health), and as a consultant to Health and Welfare
Canada and other government departments. He has advised numerous addiction, health
care and counselling agencies, and been retained by various law firms in this field. He
is the author of A Legal Guide for Social Workers (Ontario Association of Social Workers,
2009).
Andrea Tsanos, MA, received her degree in psychology from McGill University in
Montreal. She has worked at the Centre for Addiction and Mental Health (CAMH)
in Toronto for 19 years, where she is an advanced practice clinician in the Addictions
Program. Andrea has led concurrent disorders capacity-building initiatives, and has
designed and delivered trainings for addiction and mental health professionals inter-
ested in developing their concurrent disorders clinical competency. Andrea’s training
efforts include facilitating face-to-face workshops and online courses. She has a long
history of service delivery spanning concurrent disorders consultation and assessment,
and individual and group therapy. She also provides individual and team-based clinical
supervision.
Lyn Watkin-Merek, RN, BScN, CPMHN, has worked at the Centre for Addiction and
Mental Health (CAMH) in Toronto for more than 20 years, including as a staff nurse,
discharge planner, assessment worker and therapist, and in program management. She
was manager of the Structured Relapse Prevention Program, the Back on Track program
for impaired drivers and the Youth Program. She is currently a unit manager in the
Complex Mental Illness Program in CAMH’s forensic division. Lyn co-authored the sec-
ond edition of Structured Relapse Prevention: An Outpatient Counselling Approach (2006).
766 Fundamentals of Addiction: A Practical Guide for Counsellors
John R. Weekes, PhD, is a senior researcher with the Research Branch of the Correctional
Service of Canada (CSC) in Ottawa and former acting director of CSC’s Addictions
Research Centre. He is an adjunct professor of forensic psychology and addictions at
Carleton University. He has published extensively and has consulted widely on foren-
sic addictions-related issues with correctional jurisdictions and agencies in Canada, as
well as internationally, including the United Kingdom, the United States, Scandinavia
and Ireland. His research interests include substance abuse assessment and treatment
models, motivation for change, forensic psychology, clinical psychopathology, evidence-
based treatment and treatment-outcome research.
Janis Wolfe, CPsych, is a psychologist in the Problem Gambling Treatment Service of the
Problem Gambling Institute of Ontario at the Centre for Addiction and Mental Health
in Toronto. She works with transitional-aged youth who have process addictions and/
or mental health concerns. She conducts psychoeducational assessments, and provides
individual and group treatment for youth, as well as educational groups for parents of
youth with process addictions. She has worked in this service since 2010.
Rosanra Yoon, NP, MN, CPMHN(C), is an advanced practice nurse at the Addiction
Medicine Service and Medical Withdrawal Service at the Centre for Addiction and Mental
Health in Toronto. She provides interprofessional clinical supervision and support for
clinicians in practice development and delivery of safe client care. Her background is in
psychiatric mental health nursing and addictions nursing. She has worked with people
who have concurrent disorders in various contexts, including inpatient acute care set-
tings and intensive community case management and addiction medicine. She has a
specific interest in concurrent disorders care delivery and the health needs of high-risk
vulnerable populations.
Index 767
motivational interviewing (MI) and, 91, 94, 100, Anti-anxiety medication, 525, 736. See also individual
536 drug names
mutual help organizations and, 322, 323–324t, Anti-craving medication, 220f, 221. See also indi-
325–327, 328–330t, 331–338 vidual drug names
National Alcohol Strategy, 71–72 Anti-craving therapy, 136
National Framework for Action (CCSA and Health Antidepressants. See also individual drug names
Canada), 67, 744 Alcoholics Anonymous (AA) and, 331
National Native Alcohol and Drug Abuse Program anxiolytic, 149
(NNADAP), 748 gambling and, 508
non-beverage sources of, 183 MDMA use with, 156
older adults and, 136, 225, 581–590, 592–593, medication management and, 506
595–604 problematic behaviours and, 508, 514
Ontario Drug and Alcohol Treatment Information risks with, 156
System, 582 smoking cessation and, 257
opioids and, 121, 123, 146, 148 tapering and, 149
primary care settings and, 195 women and, 527, 534
psychosocial treatment for, 136 Anxiety disorders, 15, 148, 369, 370, 374, 493, 508,
relapse prevention with, 94, 157, 206, 207, 208– 512, 515, 617, 638
209, 212, 213, 214, 224–227 ARBD. See Alcohol-related birth defects
screening for, 166, 168, 169, 173–174, 178, 592 ARND. See Alcohol-related neurodevelopmental
Screening, Brief Intervention and Referral to disorders
Treatment (SBIRT) model and, 15, 16f Art therapy, 569
structured relapse prevention (SRP) and, 214–223 Ascites, 140
Substance Abuse and Mental Health Services Asexual, 644f, 651, 662
Administration (SAMHSA) and, 15 Assessment
tobacco use and, 243, 245–249, 250, 256, 257, 259 Addiction Severity Index (ASI), 184
tolerance for, 134–135, 173 Admission and Discharge Criteria and
trauma and, 403 Assessment Tools (ADAT), 175, 176f, 177, 179,
withdrawal from, 134–135, 147 184, 185–186
women and, 524, 527, 533–534, 536–537 Alcohol Use Disorders Identification Test
youth and, 136, 553, 561, 568, 570, 576 (AUDIT), 170, 184, 197, 584–585, 592
Alcohol dependence, 33, 117–118, 123, 128, 370, 392 Beck Depression Inventory, 595
pharmacotherapy and, 126, 127t, 128, 136–137, Brown’s components model of addiction, 516
143–144 computerized, 188
Alcohol Dependence Scale (ADS), 463 Diagnostic and Statistical Manual of Mental
Alcohol Use Disorders Identification Test (AUDIT), Disorders (DSM), 177, 516
170, 184, 197, 584–585, 592 Folstein’s Mini Mental Status exam, 595
Alcohol-related birth defects (ARBD), 432t Geriatric Depression Scale (GDS), 595
Alcohol-related neurodevelopmental disorders Global Appraisal of Individual Needs (GAIN), 177
(ARND), 432t Inventory of Drug-Taking Situations (IDTS and
Alcohol-related problems, 136, 138–143 IDTS-8), 215, 216f
Alcohol-Related Problems Survey (ARPS), 592 motivational interviewing and, 171, 185
Alcoholics Anonymous (AA), 312, 325–326, 327, Ontario Common Assessment of Need, 183–184
328t–330t standardized use of, 170, 176–177, 183–184
Alcoholism, 207 structured relapse prevention (SRP) counselling
Alprazolam (Xanax), 147, 149 and, 215
American Academy of Child and Adolescent Substance Abuse Subtle Screening Inventory
Psychiatry (AACAP), 568 (SASSI), 184
American Psychiatric Association (APA), 6, 322, 639 women and, 535
American Society of Addiction Medicine (ASAM), Ativan. See lorazepam
177, 388 Attention-deficit/hyperactivity disorder (ADHD),
Amnesia, 142, 156 442, 498, 500, 507, 508, 515
Amphetamines, 120, 124, 246, 369, 649. See also Autism spectrum disorder, 493, 499
Methamphetamine Autosexual, 662
Amyl nitrate, 637, 653, 655 Aversive therapy, 136
Anabolic steroids, 155
Antabuse. See Disulfiram B
Antagonist drug therapy, 124, 126, 127t, 136, 284, Baclofen, 143
508. See also individual drug names Barbiturates, 151–152. See also individual drug names
770 Fundamentals of Addiction: A Practical Guide for Counsellors
Family Guide to Concurrent Disorders (O’Grady & care pathwways and, 297, 739
Skinner), 303–304, 530 checklist, 684
family therapy and, 298f, 303–304, 390 family involvement and, 297–298, 299
framework for working with, 386 legal issues and, 684, 690, 694, 697, 699
GAIN-SS for, 179 older adults and, 594
harm reduction and, 393 Constitution Act (1867), 613
Health Canada on, 370, 379, 386 Contracts, 310, 721–722
index of suspicion with, 374–375, 440 Correctional clients, 464, 472
integrated treatment approach to, 368, 386–387, Correctional Program Assessment Inventory, 467
394 Correctional Service of Canada (CSC), 465
Ministry of Health and Long-Term Care on, 368 Countertransference, 315
motivational interviewing (MI) and, 107 Couples counselling, 571t
mutual help organizations for, 338, 390–391 Court appearances, 705–713
Navigating Screening Options for Concurrent Crack. See Cocaine
Disorders (CAMH), 380 CRAFT (community reinforcement and family train-
older adults and, 597, 603 ing approach), 654
patient placement criteria (ASAM), 388 Criminal Code, 680, 695
pharmacological interventions for, 391, 392 Crossdressers, 662, 663, 665. See also LGBTTTIQ
prevalence of, 374 communities
psychiatric disorders and, 369 Crystal meth. See Memthamphetamine
psychoactive substances and, 369 Culture
psychotherapy approaches for, 390, 407 Aboriginal people and, 472, 507, 617, 618, 619,
relapses and, 227–228, 392 620, 621, 632, 634
risks for people with, 375 addictive behaviours and, 11
screening for, 179, 227, 375, 379–380 agency services and, 180
services for, 377–378 Asian, 500
severity of, 372–373, 375 behavioural addictions and, 489, 500, 505, 507
Stages of Change model and, 392 biopsychosocial plus (BPS+) approach, 4
stigma with, 376 care pathways and, 745–746, 747f
Structured Clinical Interview for DSM, 389t client perspective and, 33
subgroups of, 369–371 clinical supervision and, 727
Substance Abuse and Mental Health Services correctional settings and, 472
Administration (SAMHSA) on, 388, 391 diversity and, 44, 49–59, 180
terminology used to describe, 369 drug use and, 386
tobacco use and, 248 DSM-5 on, 11
trauma and, 407 ethnocultural factors and, 226
treatment for, 39, 107, 373f, 375, 386, 394 LGBTQ/LGBTTTIQ people and, 49, 181, 638,
women and, 526, 530 642, 643, 651, 666
youth and, 552, 560, 567, 568, 570 older adults and, 596
Confabulation, 425, 446 trauma and, 401, 405, 406, 411
Confidentiality youth and, 551, 565t, 569
addictive behaviours and, 499
behavioural addictions and, 499 D
brain injury and, 447, 448 DARN CAT, 96–99
care pathways and, 739, 741 DART. See Drug and Alcohol Registry of Treatment
caregivers and, 447 DAST. See Drug Abuse Screening Test
clinical supervision contract and, 721–722 Date rape drugs, 156. See also individual drug names
family therapy and, 310, 530 Day treatments for youth, 568
legal issues and, 676, 677, 690–692, 694–699 DBT. See Dialectical behaviour therapy
LGBTTTIQ people and, 653, 658 Delirium tremens (DTs), 137
older adults and, 604 Dementia
protocols and, 408 acquired brain injury and, 420
structured relapse prevention (SRP) and, 219 alcoholic, 141
technology and, 350 legal issues and, 681
trauma and, 408, 409 older adults and, 587, 588, 595
women and, 530 sex addiction and, 511
youth and, 570 tobacco interventions and, 242
Consent Dependence
brain injury and, 448 physical, 118, 135, 146, 332, 602
774 Fundamentals of Addiction: A Practical Guide for Counsellors
Drug Abuse Screening Test (DAST), 463 CAGE Questionnaire Adapted to Include
Drug and Alcohol Registry of Treatment (DART), 38 Drugs (CAGE-AID), 178
Drug use. See also individual drug names client intoxication and, 182
adjustment problems and, 151 Screening, Brief Intervention and Referral to
behavioural addictions and, 493 Treatment (SBIRT) model and, 15
biopsychosocial plus (BPS+) framework and, 13 smoking cessation and, 248, 250–251
classes of stages of change model, 172f
anabolic steroids, 155 structured relapse prevention (SRP) counselling
hallucinogens, 154–155, 553 and, 215–216, 217f, 218–219, 220f, 221, 222f,
inhalants, 553 223
opioids, 277–287 supervised injecting facilities (SIF) and, 68–69
sedatives, 139, 144 tolerance and, 134, 135
stimulants, 553 withdrawal and, 134
club drugs, 553 women and, 527, 534, 538
compulsive, 124 youth and, 557, 561, 564t
concurrent disorders and, 370, 381 Drug-Taking Confidence Questionnaire (DTCQ),
context of, 71 210
correctional settings and, 462, 463, 468, 469, 471 DSM. See Diagnostic and Statistical Manual of Mental
DARN CAT, 96, 99 Disorders
drug cravings and, 118 DTCQ. See Drug-Taking Confidence Questionnaire
drug-taking DTs. See Delirium tremens
behaviours, 119, 122 Dual diagnosis / dual disorders, 369.
environment, 68 Dual Recovery Anonymous, 338, 391
Dutch policy, 66 Duragesic (transdermal fentanyl patch), 146
family therapy and, 306 Dyke, 641, 662, 663
genetic factors and, 123
harm reduction and, 64, 65–66, 73–74 E
Health Canada–recommended screening ques- Eating disorders
tions, 381 Bulimia nervosa, 369
HELP clinical features, 117 Bupropion and, 257
Heroin-assisted treatment (HAT), 71 concurrent disorders and, 180, 369, 370, 389t,
illicit, 65, 67, 71, 119, 247 493
indigenous populations and, 226 Eating Disorders and Addiction Clinic, CAMH,
injection, 65, 66, 67, 246, 277 755
intoxication and overdose, 135 harm reduction and, 64
Inventory of Drug-Taking Situations (IDTS), 215, Internet sex addiction and, 512
216–217f LGBTTTIQ people and, 650
legal issues and, 695 psychiatric history and, 254
LGBTQ/LGBTTTIQ people and, 49, 637, 638 screening for, 180
methadone maintenance treatment (MMT), shopping addiction and, 493, 513
69–71 tobacco use and, 254, 257
mortality and, 119 women and, 526
motivational interviewing and, 95t, 96, 99 Ecstasy. See MDMA
mutual help groups and, 326 Emotional abuse, 401, 511
non-medical use of medications, 553 Empowerment
North American Opiate Medication Initiative Aboriginal communities, 621
(NAOMI), 71 family members and, 301, 302, 304
Ohio Valley Center for Brain Injury Prevention Life Recovery Program (LRP) and, 358
and Rehabilitation on, 437 motivational interviewing (MI) and, 84
older adults and, 225, 582, 586, 589, 596, 598– self-, 324t, 333–334
599, 602 trauma and, 179, 404, 411
Ontario Student Drug Use and Health Survey women and, 528, 535, 537, 541
(OSDUHS) (2009), 493, 553 Encephalopathy, 139. See also Wernicke’s encepha-
public policy and, 72 lopathy
recreational, 117 Endocannabinoids, 120
relapse and, 67, 208–209, 213, 214–223, 225 Epinephrine, 152
screening Erectile dysfunction, 142–143
Best Practice in Screening for Substance Use and Esophageal
Mental Health Disorders (Health Canada), 174 cancer, 141
776 Fundamentals of Addiction: A Practical Guide for Counsellors
MAST. See Michigan Alcohol Screening Test correctional settings, 462, 472–473
Masturbation, 511, 662 DSM and, 6
MDMA (3,4-methylenedioxymethamphetamine, early intervention and, 14
ecstasy), 156, 553, 561, 653 family members and, 297, 298f, 301, 304, 307,
Medications 742
alcohol dependence, 136, 137, 140, 143, 428 Global Appraisal of Individual Needs-Short
behavioural addiction, 497–498, 510, 512 Screener (GAIN-SS), 382
brain injury and, 427–428 Health Canada recommendations, 186, 381
cannabis and, 150–151 LGBTQ/LGBTTTIQ populations and, 49, 638–
chronic pain, 286 639
concurrent disorders and, 391, 392 Life Recovery Program (LRP), 349, 358–359
cravings and, 219 MI and, 90
development of, 124 older adults and, 588, 590, 597
HIV/AIDS and, 652 opioid addiction and, 280, 283
motivational interviewing and, 107 problem gambling, 507–508
nicotine dependence and, 136 professionals’ understanding of, 377
older adults and, 581, 585, 588, 590, 593, 596, 597 screening and assessment for, 170, 180–181, 186,
opioid use disorder, 147, 276, 279, 286 381–383, 495
prescription, 276, 286, 428, 585, 588 substance use and, 33, 39, 186, 240, 304, 338,
psychiatric, 227, 228 372, 373, 377, 378, 379–380, 386, 388, 392, 526,
psychoactive, 593 561
smoking cessation, 252–253, 254, 257, 258 technology and, 349, 350
substance dependence and, 136 tobacco use and, 240
therapeutic advantages of, 18 Toronto Drug Strategy Advisory Committee,
women and, 532, 534 374–375
youth and, 553 treatment options, 349, 351, 354
Medicine wheel, 620, 621, 632 women and, 524, 526, 530, 532
Meditation, 214, 330t, 534, 632 youth and, 552, 560–561, 562–563t, 567, 568, 570,
Memory 575
addiction and, 29 Mental illness
alcohol-related brain dysfunction, 430 brain injury and, 427, 429
brain injury and, 182, 423t, 424, 425, 428, 430, care pathways and, 737, 741
437, 445–446, 449 concurrent disorders and, 369, 372f, 373f, 376,
brain reward pathway and, 135 384–385t, 389t
cocaine use disorder and, 211 family and, 296–297, 303, 571t
fetal alcohol spectrum disorder (FASD) and, 142 legal issues and, 681, 692
marijuana use and, 431 older adults and, 595
neuroplasticity and, 121 severe, 228
older adults and, 592, 595, 596, 597, 602 substance use and, 227, 228, 372–373f
opioid addiction and, 277 tobacco use and, 254
traumatic brain injury (TBI) and, 420–421 youth and, 561, 571t
Wernicke-Korsakoff syndrome and, 142 Mescaline, 154, 553
Mental Health Commission of Canada, 737 MET. See Motivational enhancement therapy
Mental health issues/problems. See also mental Methadone. See also Methadone maintenance treat-
illness ment; opioid dependence
Aboriginal people and, 611–623 care pathways and, 738
Addiction Severity Index, 426 chronic pain and, 147
addictive behaviours and, 14, 21, 22f, 297, 304 concurrent disorders and, 392
assessment for, 495 opioid dependence and, 125, 126, 145, 147, 276,
behavioural addictions and, 488, 493, 495, 498, 280, 284–285, 286, 392
499, 507 pharmacotherapy and, 125, 127t, 136, 392
brain injury and, 427 pregnancy and, 70, 145, 286
Canadian Centre on Substance Abuse (CCSA), Methadone Anonymous (MA), 323t, 331
368, 735 Methadone maintenance treatment (MMT)
care pathways for, 735, 742 Addiction Research Foundation (CAMH), 70
cognitive impairment and, 435 harm reduction and, 67, 69–71
concurrent disorders and, 30, 39, 280, 367–369, Health Canada regulations for, 69, 70
372–375, 378–380, 382–383, 386, 388t, 493, heroin-assisted treatment (HAT) and, 71
526, 561 HIV infection and, 70
Index 781
National Native Alcohol and Drug Abuse Program Nicotine replacement therapy (NRT), 125, 127t, 136,
(NNADAP), 748 219, 253–254, 257
National Treatment Strategy Working Group, 17, Nicotine use disorder, 243
566, 737, 751 NIDA. See National Institute of Drug Abuse
Needle exchange programs. See also Harm reduction NNADAP. See National Native Alcohol and Drug
care pathways and, 737t Abuse Program
HIV/AIDS and, 67, 68 Norepinephrine, 120, 152
supervised injecting facilities (SIF) vs., 68 North American Opiate Medication Initiative
type of service locations for, 68 (NAOMI), 71
Neurotransmitters, 119, 120, 122, 134, 136, 143, 152, Nortriptyline, 258
154. See also individual names NRT. See Nicotine replacement therapy
Nicotine. See also Smoking
“Five A” model of clinical intervention for, O
254–260 OARS skills, 92, 93t, 94, 95f, 96t, 98, 101, 103,
addictive nature of, 243 106t, 108
Addressing Tobacco through Organizational Obesity, 66, 90
Change (ATTOC) model, 252–253 Obsessive-compulsive disorder (OCD), 486, 494, 513
Behavior Change Roadmap: The 4 Point Plan Ohio Valley Center for Brain Injury Prevention and
and, 256 Rehabilitation, 437, 441
biochemically verified reports for, 260 Older adults
Bupropion SR treatment for, 127t, 257 Aboriginal population of, 587, 630t
Canadian Action Network for the Advancement, addiction services for, 586, 603
Dissemination and Adoption of Practice- age-related issues with, 48, 594
Informed Tobacco Treatment (CAN-ADAPTT), alcohol, 136, 584–588, 596, 597–599, 602
258–259 Alcohol Use Disorders Identification Test
Canadian cigarettes, 244 (AUDIT), 592
Canadian Tobacco Use Monitoring Survey, 119 Alcohol-Related Problems Survey (ARPS), 592
CAMH smoke-free policy, 253 Beck Depression Inventory, 595
Cigarette Dependence Scale, 254 benzodiazepines, 148–149, 585, 587, 588, 597, 602
concurrent substance use and, 246, 249, 369 case management of, 603–604
Cytisine treatment for, 259 cognitive deficits and, 225, 430, 588, 595, 596
dependence, 118, 123, 125, 136, 144, 243, 254, 256, communication issues with, 594, 596, 604
259 concurrent disorders with, 588, 597, 603
drugs of abuse and, 120 cultural diversity and, 596, 630t
Fagerström Test for Nicotine Dependence, 254 dementia and, 587, 588, 595
genetic risk and, 123 depression and, 588, 595, 600, 603
harm reduction and, 256 diversity issues with, 586
methadone maintenance therapy and, 249 Folstein’s Mini Mental Status exam, 595
motivational interviewing and, 256 gambling problems and, 500, 507, 586
My Change Plan workbook (CAMH Nicotine Geriatric Depression Scale (GDS), 595
Dependence Service), 256 grief and loss, 602, 603
pharmacotherapy for, 125, 127t, 136, 257–259, 261 harm reduction and, 604
psychiatric history of client and, 255, 369 high-risk situations for, 225, 593, 596
psychoactive effects of, 144 illicit drug use, 582, 585–586, 588
relapse prevention and, 219, 260 LGBT/LGBTTTIQ communities and, 587, 652
sensitization and, 122 mental health assessment, 603
Smoke-Free Ontario Strategy and, 253 non-medical use of prescription drugs, 582
smoke-free policies and, 252–253 opioids and, 588
smoking cessation and, 125, 253–254, 257–259, overmedication and, 585, 588, 593
260 psychogeriatric specialist referrals, 595
TEACH project (Training Enhancement in relapse prevention and, 225, 597, 601
Applied Cessation Counselling and Health), Senior Alcohol Misuse Indicator (SAMI), 592–593
253–254 Short ARPS (SHARPS), 592
transcranial magnetic stimulation (TMS) for, 259 Short Michigan Alcoholism Screening Test-
vaccine candidate (NicVAX), 259–260 Geriatric version (SMAST-G), 592
Varenicline treatment for, 125, 127t, 257, 258 social isolation and, 599–600, 604
Willamette Family Treatment Services (WFTS) substance use, 136, 139, 582–583, 585–586, 588–
(Oregon), 252–253 588, 591–604
withdrawal, 125, 144, 243, 249, 251, 261 therapeutic relationships and, 593, 604
Index 783
counsellors and, 36, 37, 251, 339, 498, 531, 532, Referrals, 69, 167, 169, 173, 175–177, 181, 186, 463,
534, 538, 735 561, 603, 735, 736, 738–739, 741
CRAFT (community reinforcement and family Reflection
training approach), 654 concepts of culture, 51, 54, 57
diversity aspects and, 45, 49, 50, 59 critical self-reflection, 47, 58, 73
Double Trouble in Recovery, 338 Reflective listening, 94, 95f, 95t, 96, 100, 106, 110,
Dual Recovery Anonymous, 247, 248, 338, 391 110f
environment, 177, 185, 186, 531 Relapse. See also Structured relapse prevention
family pathways to, 294–296, 298f, 299f, (SRP)
300–301, 302–304, 306–307, 312, 313–314, 390, A Family Guide to Concurrent Disorders (O’Grady
498 & Skinner), 530
hope essential to, 37, 40 alcohol use and, 140, 208, 249
journey, 36, 37, 40, 276, 283, 285, 296 Behavior Change Roadmap: The 4 Point Plan,
LGBTTTIQ people and, 654 256
Life Recovery Program (LRP), 349, 358–359 biopsychosocial perspective on, 211–214
LifeRing, 334 Biopsychosocial plus model, 7–8
meaning of, 3 care pathways, 748, 749
Methadone Anonymous (MA), 331 catastrophe theory, 211
model, 298f, 535 cognitive-behavioural therapy (CBT) and, 470,
Motivational Interviewing and, 107 497, 501, 512
mutual help groups, 470, 494, 530, 537 concurrent disorders and, 368, 373, 375, 380,
Naltrexone and, 285 389t, 390–393
Narcotics Anonymous (NA), 331 correctional settings and, 468, 469–470
natural or without treatment, 22, 421 cue-induced, 122
network therapy, 307 definitions of, 122, 206, 207–209
older adults and, 584, 588 diverse client populations and, 223–227, 654
opioids and, 276, 280, 283, 285, 287 drug cravings and, 118
peer-based fellowships, 512 drug-induced, 122
phases of, 29 Drug-Taking Confidence Questionnaire (DTCQ),
Rational Recovery, 332 210
relapse and, 35–36, 40, 208, 209, 211, 227, 228, ecological momentary assessment (EMA) and,
229, 285, 529, 530 212
screening and, 179, 183 factors in, 207–208, 209
Secular Organizations for Sobriety (SOS), 333–334 family involvement and, 295–296, 304, 313
SMART Recovery, 322, 324t, 332–333 fear of, 184
spiritual dimension and, 12 harm reduction and, 208
stories of, 29–30, 33 high-risk situations, 211
strokes and, 421 Inventory of Drug-Taking Situations (IDTS), 210,
substance use problems and, 261, 276 215, 216–217f
supporting clients in, 25, 71, 185, 497, 534, 735, lapses and, 208, 255, 409, 573
738 LGBTTTIQ people and, 654
sustained, 23, 339 Life Recovery Program (LRP) and, 360
technology and, 349, 355–356 Marlatt’s Relapse Prevention Model, 209–210,
tobacco dependence and, 250, 251 214
trauma and, 400, 403–404, 411, 413 methadone maintenance treatment (MMT) and,
Trauma and Recovery (Herman), 400 70
Trauma Recovery and Empowerment model, 411 mindfulness-based relapse prevention (MBRP),
treatment and, 29, 34, 35, 122, 206, 303, 314, 497, 214
533, 534, 654 motivational interviewing and, 218
twelve-step programs and, 38, 322, 512 mutual help groups and, 322, 328–329t, 333
Wellness Recovery Action Plan and Peer Support My Change Plan workbook (CAMH Nicotine
(Copeland & Mead), 535 Dependence Service), 256
women and, 529–530, 531, 532, 533, 535, 537, 538 naltrexone and, 126, 127t
Women for Sobriety (WFS), 335t, 336 neurobiology and, 121, 122, 124, 207, 229
Recovery capital nicotine and, 144, 240, 247–251, 255–256, 257,
approach to addiction treatment, 24 259, 260, 261
components of, 23–24 older adults and, 582, 597
domains of, 24 opioids and, 145, 276, 282, 284, 285
low, 24 potential risk, 177, 186
786 Fundamentals of Addiction: A Practical Guide for Counsellors
Single photon emission computed tomography Social anxiety, 351, 493, 506, 562t
(SPECT), 431, 505 Social determinants of health, 4, 9, 13, 44, 49, 50,
SIS. See Sexual Inhibition Scales 60, 72, 736, 747, 751
SMART Recovery, 322 Social learning theory, 8, 206, 212, 214, 229
SMAST-G. See Short Michigan Alcoholism Solvents, 152
Screening Test-Geriatric version SOS. See Secular Organizations for Sobriety
Smoking South Oaks Gambling Screen-RA (SOGS-RA), 508
addiction treatment settings and, 250–251 Special K. See Ketamine
Addressing Tobacco through Organizational SPECT. See Single photon emission computed
Change (ATTOC) model, 252–253 tomography
alcohol use and, 248–249 SRP. See Structured relapse prevention
alternative therapies and treatments, 259 Stages of change model, 89, 171, 172f, 392, 554. See
Behavior Change Roadmap: The 4 Point Plan, also motivational interviewing
256 Stimulants, 118, 153, 156, 157, 369, 403, 427, 553. See
behavioural addictions and, 508, 510 also individual drug names
brain injury and, 433 Straight, 181, 638, 641, 650, 662–665
Canadian Action Network for the Advancement, Strengthening Families program, 573–574
Dissemination and Adoption of Practice- Stress management, 534, 569
Informed Tobacco Treatment (CAN-ADAPTT), Structured relapse prevention (SRP)
258–259 action recovery plan and, 228
cannabis, 95t, 150, 151 assessment, 215
CAMH policy, 253 best practice intervention, 214
cessation, 199, 240, 246–248, 250–251, 260, 261 components, 215, 216–217f, 218–219, 220f, 221,
cessation medications, 252 222f, 223
change talk and, 97t concurrent disorders and, 390
cigarettes, 96t, 199, 243 coping skills training and, 219
cocaine, 152 harm reduction psychotherapy and, 74, 219, 221,
concurrent substance use and, 247–248 222f, 223
cousellors and, 251, 256 Inventory of Drug-Taking Situations (IDTS-8)
cravings and, 247 and, 215, 216–217f, 218
depression and, 248, 255 Marlatt’s relapse prevention model and, 214, 215
drug treatment and quitting, 247–248 motivational interviewing and, 215, 218
First Nations adults and, 612 phases
Five A model and, 254–256, 261 initiation, 214, 215, 219, 220f
gambling and, 508, 586 maintenance, 219, 221, 222f, 223
gateway drugs and, 245 social learning theory and, 214, 229
genetic factors and, 123 treatment planning, 214, 215, 218–219, 223
LGBTTTIQ communities and, 638 two-phase approach, 214, 219
methadone maintenance therapy and, weekly plan form, 219, 220f, 222f
249–250 Substance abuse. See also individual substance names
methamphetamine, 154 Aboriginal Offender Substance Abuse Program,
My Change Plan workbook (CAMH Nicotine 472
Dependence Service), 256 Canadian Centre on Substance Abuse (CCSA),
Nicotine replacement therapy (NRT), 125, 257 138, 189, 368, 394, 552–553, 576, 737
older adults and, 586, 596 Canadian Network of Substance Abuse and Allied
pharmacotherapy and, 257–259 Professionals, 405
prevalence of, 240, 245–246 Center for Substance Abuse Treatment (CSAT),
relapse and, 212, 240, 247 555, 720–721
smoke-free policies, 252–253 concurrent disorders and, 368, 372f, 388, 473
staff training and, 253–254 correctional settings and, 466, 472, 473
substance use and, 240, 245–246, 247 definition of, 117
sustain talk and, 100 disorder, 372f
technological interventions and, 351, 355, 358 DSM-5 and, 6, 243, 368
tobacco, 241, 242t, 244–245, 250, 261 family history of, 498
triggers and, 251–252 gambling and, 508
Willamette Family Treatment Services (WFTS) HELP (clinical features), 117
(Oregon), 252–253 licit and illicit substances, 118
women and, 533 older adults and, 582, 606
youth and, 552 societal costs and burdens of, 119
788 Fundamentals of Addiction: A Practical Guide for Counsellors
brief, 14, 15, 16, 17, 23, 196 Narcotics Anonymous (NA), 38, 323t, 331
client perspective on, 29–31, 32, 34–35, 37–38, 39 Secular Organizations for Sobriety (SOS), 322,
cognitive-behavioural therapy (CBT), 19, 106, 106t 324t, 333–334
concurrent disorders, 39, 107, 199, 373f, 375, 386, Self Management and Recovery Training
394 (SMART Recovery), 322, 324t, 332–333
contracts, 310 Sex and Love Addicts Anonymous, 512
diversity and, 44–45, 46, 47, 56 Sexaholics Anonymous, 512
evidence-based, 17 Women for Sobriety (WFS), 322, 324t, 335t, 336
FRAMES, 16, 195 process, 328t
goals, 17–18, 101, 213, 295 treatments, 337
harm reduction and, 65–66, 67, 68, 69–72, 73–74 work, 306
health equity and, 44–45, 46 young people’s meetings, 339
medical, 4, 8, 147, 150, 427 Two-spirit, 636, 642, 643, 663–666
medication-assisted, 69–70, 69–71, 284 Tylenol 3. See Codeine
methods and techniques, 20
motivational interviewing (MI), 84–85, 87–88, U
90–91, 94, 101, 104–106t, 107–109 Urine screening, 147, 148, 151, 154, 156, 409
mutual help groups and, 336–337
National Treatment Strategy Working Group, 17 V
opioid, 118, 126, 147, 275–277, 279, 282–285, 286, Varenicline (Champix), 125, 127t, 257, 258, 259, 392
287 Viagra, 655
outcomes, 19, 213, 247–248, 377, 434 Video Game Addiction Inventory (VGAI), 516
outpatient, 194, 196, 213, 214, 215 Video gaming
pharmacological, 124–126, 127t, 128, 136–137, 143, ADHD and, 500
152, 156 behavioural addictions and, 484, 488, 492t,
psychosocial, 136, 145 498–499, 505
recovery and, 8, 22, 23–24, 29, 303 family involvement and, 498, 499
referrals, 176f, 182 online, 509, 510, 515
relapse and, 34, 122, 197, 206–209, 211, 212–215, problem, 492t, 509–510, 514–516
218–219, 221–229 Video Game Addiction Inventory (VGAI), 516
Screening, Brief Intervention and Referral to Vitamin B1 (thiamine) deficiency, 142
Treatment (SBIRT), 15, 16f
strengths-based treatment planning, 184 W
substance use, 29, 39, 64, 150, 166–167, 166–168, W-SAST. See Women’s Sexual Addiction Screening
240, 245, 247, 426 Test
technological options and, 352–354, 360 Wernicke-Korsakoff syndrome, 142
trauma, 180, 400, 402–405, 408, 410–411, 531, Wernicke’s encephalopathy, 429–430
538 WFS. See Women for Sobriety
withdrawal, 138, 140, 145, 285 Whatever It Takes (WIT), 449
Triazolam (Halcion), 147, 149 Withdrawal management
Trillium Gift of Life Network Act, 680 care pathways and, 735, 738t
Twelve-step programs (TSP), 334, 336, 337, 512, 637 community services, 169, 182
alternatives, 322 concurrent disorders and, 392
approaches, 214, 568 detoxification and, 138
facilitation (TSF), 19, 107, 206, 322 medicine and, 8
fellowship, 332, 334 opioid addiction and, 277, 283, 285, 286
groups, 302, 330, 337, 338–339 referrals and, 69
literature, 327 residential services, 169, 182
meeting lists, 339 screening and assessment for, 176
meetings, 332, 334, 337 services, 169
members, 338 smoking cessation and, 239
model, 38, 516 trauma clients and, 408
organizations youth and, 568
Alcoholics Anonymous (AA), 322, 323t, 325– Women
327, 328–330t Ad Hoc Working Group on Women, Mental
Cocaine Anonymous (CA), 323t, 331, 470 Health, Mental Illness and Addictions, 539
LifeRing, 322, 324t, 334 alcohol use and, 138, 139, 143, 145
Methadone Anonymous (MA), 323t, 331 anabolic steroids and, 155
Moderation Management (MM), 322, 323t, 332 Biopsychosocial plus model for, 12
Index 791
Canadian Women’s Health Network, 539 Internet use problems and, 509
Centres of Excellence for Women’s Health, 539 LGBTQ/LGBTTQ Communities and, 181, 375
clinician equity competencies for, 45, 47 motivational enhancement approach with, 554
gender knowledge and, 50 motivational interviewing strategies with, 554, 555
health equity and, 48 mutual help groups and, 338–339
motivational interviewing and, 107 Ontario Student Drug Use and Health Survey
mutual help organizations for, 322, 324t, 325, 335, (OSDUHS), 493, 553
335t, 336 protective factors and, 551–552
Ontario Woman Abuse Screening Project, 179 relapse prevention with, 223, 224–225
opioid addiction and, 275, 280, 286 screening of, 173–174, 181, 555–556
relapse and, 212, 224, 226 screening tools for, 556
smoking tobacco and, 242t, 245, 248, 254, 257 stages of change model and, 554
substance use disorders and PTSD, 374 street-involved, 552–553
trauma and, 400–402, 409, 411 substance use, 240, 307, 415, 550–555, 557–558,
violence against, 48, 179 558–559t, 559–561, 562–565t
Women, Co-occurring Disorders and Violence tobacco use and, 245
Study, 180 Toronto cross-sectoral youth network screening
Women for Sobriety (WFS), 335t, 336, 537 study, 561
Women’s Sexual Addiction Screening Test Toronto Drug Strategy Advisory Committee on,
(W-SAST), 512 374–375
World Health Organization, 7 transitional-aged, 550, 557
WSW (women who have sex with women), 644f, trauma and, 401, 402
666 treatment, 225, 498, 565, 566f, 567–570, 571t,
572–573t
X video gaming problems and, 514, 515
Xanax. See Alprazolam Youth Addiction and Concurrent Disorders
Service (CAMH), 526
Y
Youth. See also Adolescents Z
Aboriginal, 553 Zyban. See Bupropion
addictive behaviours and, 492t
Advanced Clinical and Educational Services
(ACES) clinic (CAMH), 505–506
Alcoholics Anonymous (AA) and, 325
assessment domains for, 562–565t
behavioural addictions and, 493, 495, 498, 499,
505–506
cannabis use, 150
Center for Substance Abuse Treatment (CSAT)
and, 555–556
concurrent disorders
autism spectrum disorder, 499
identification of, 561
index of suspicion for, 374–375
types of, 505–506
young women, 526
cultural competence with, 51
determinants of health, 551
engaging, 550–551
ethnically diverse, 307
family involvement with
assessment and, 495, 550, 557
stages of change, 554, 567, 572–573t
treatment, 307, 495, 550, 555, 557
First Contact treatment intervention, 225
gambling problems and, 507
gateway drugs and, 240
harm reduction approach with, 550, 554, 573–574
immigrant or newcomer, 557
Helping people affected by addictions requires—like all good clinical practice—an ability to listen to clients
with compassion and empathy, to foster their trust and a positive therapeutic alliance, and to show respect
for the person’s autonomy. But it also requires a sophisticated understanding of the increasingly complex
issues with which many struggle, insight into how addictions affect specific populations, and information
about the latest evidence-based screening, assessment and counselling approaches.
Fundamentals of Addiction is intended as an introductory text for college and university addiction courses,
and for general counselling and human resources courses that address addictions. This text will be a vital
handbook for counsellors looking for up-to-date approaches to a range of addiction issues. It will also be
of interest to practitioners across the spectrum of care as a practical guide to helping clients overcome
the harmful, sometimes devastating, effects of addiction.
Previously entitled Alcohol & Drug Problems, this fourth edition has been renamed Fundamentals of Addiction
to reflect advances in the field extending beyond psychoactive drug use to include behavioural or “process”
addictions. Most chapters have been wholly revised and updated, while new topics have been added to
reflect changes in the field.
The Centre for Addiction and Mental Health has done it again. With its many expert contributors,
Fundamentals of Addiction combines cutting-edge evidence-based knowledge and skill in the addiction
field with practical guidance and resources. This Canadian text is a must-read for every clinician, student
or treatment provider working on the front lines.
—Michel Perron, Chief Executive Officer, Canadian Centre on Substance Abuse
A key strength of this book is its ability to put forward the constellation of dimensions at play in clients
struggling with an addiction. By building on long-established facts and introducing new evidence, this
diverse group of experts offer a comprehensive view of addiction that is an excellent elixir of hope and
practice wisdom for counsellors.
—Louise Nadeau, MA, PhD, Professor, Department of Psychology, Université de Montréal and
Associate Researcher, Douglas Mental Health University Institute, McGill University
4060 / 10-2013 / p575