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3 - Major Criticisms of Mental Health Law

from Part I - What Do Human Rights Mean for Mental Health Law?

Published online by Cambridge University Press:  19 October 2017

Piers Gooding
Affiliation:
University of Melbourne
Type
Chapter
Information
A New Era for Mental Health Law and Policy
Supported Decision-Making and the UN Convention on the Rights of Persons with Disabilities
, pp. 40 - 68
Publisher: Cambridge University Press
Print publication year: 2017

A Introduction

Mental health laws codify non-consensual psychiatric treatment and involuntary hospitalisation, and regulate the powers of those given charge to do so. This function is largely unchanged since the nineteenth century, when private ‘madhouses’ and asylums began proliferating in the West.Footnote 1 Contemporary mental health laws in high-income common-law jurisdictions appear to reflect concerns associated with deinstitutionalisation; that is, the shift from large-scale stand-alone psychiatric institutions to a more diffuse set of ‘community-’ and hospital-based services. Today, according to Bernadette McSherry, the law is integral to the functioning of mental health systems.Footnote 2 Such systems exert a powerful influence over people’s lives. Lawrence Gostin catalogues some of the effects in legal terms.Footnote 3 He writes that the law continues to empower the medical profession to ‘limit individual liberty … bodily integrity … privacy … and capacity to act’, as well as to arbitrate special rules of citizenship.Footnote 4 These limitations primarily take the form of compulsory admission and involuntary treatment.

By imposing such restrictions, it can be argued that mental health law operates to protect individuals and create opportunities for social justiceFootnote 5; they provide a framework for civil rights protection and procedural due process for those subject to civil commitment. Such laws have undoubtedly achieved a great deal of good: helping individuals avoid harm, providing much-needed access to assistance, creating procedures to prevent arbitrary incarceration and raising standards by which governments (and public officials) use coercive measures to prevent injury to individuals and communities. Certainly, the rights-based legalistic approaches that shaped contemporary mental health legislation were advanced by well-meaning legal and medical professionals who were humanist, liberal and compassionate.

However, there are other ways of seeing mental health law. Despite the hard-won gains and achievements of reformers seeking to improve upon earlier legislation, mental health law has been the subject of wide-ranging criticism, with some commentators charging that it creates more problems in today’s world than it solves.Footnote 6 Various commentators have described mental health law as counter-therapeutic, ineffective on its own terms and discriminatory. In this sense, mental health law can be seen as an emancipatory tool to protect communities and individuals affected by extreme mental health crises, or a veil to legitimise the prejudicial control and exclusion of a confusing and objectionable minority.

These concerns reflect deep and lasting tensions in debates about mental health law. Deep political convictions about how the individual should be valued in relation to the collective give rise to competing answers to the question, How wide should the individual sphere of liberty be before the collective will can impose upon that sphere, whether for public safety or for the safety of the individual? This is essentially a question of political science and moral philosophy. Its consideration in law draws attention to the complex interplay between important and frequently competing principles of freedom, protection and fairness. This dynamic is complicated further by disputed premises regarding the impact of mental disorder upon a person’s ability to make ‘autonomous’ decisions. Willis Spaulding has described this conceptual controversy as arising from competing ‘understanding(s) of the relationship between liberty and mental disorder’.Footnote 7 These concerns populate the background of current mental health law, which this chapter seeks to bring to the fore. The CRPD has offered an opportunity to navigate an alternative path through long-standing debates.Footnote 8 Before focusing on the corrective potential of the CRPD support framework, it is useful to list the major practical and conceptual dilemmas in mental health law today.

In her meta-analysis of mental health law, Jill Peay noted that it is difficult to locate key issues, as there are so many,Footnote 9 a view echoed by the Health and Consumer Protection Directorate-General of the European Commission.Footnote 10 Nonetheless, a diverse array of commentators view the current era of mental health law as wanting in key respects, and have identified specific concerns.Footnote 11 The strident directives of the CRPD Committee and other UN agencies have amplified these concerns.

Although the theoretical lens of this book is human rights-based, pragmatic arguments are also relevant and include matters of resourcing, the internal coherence of mental health law and comparative analysis of evidence regarding its success and shortcomings. The purpose of articulating these issues is to assist in weighing the costs and harms of specific civil commitment laws, and to tease out some of the major practical and conceptual concerns relevant to a human rights analysis. In assessing these costs and benefits, it is perhaps as easy to give mental health law too much blame for the costs as too much credit for the benefits. One possibility is that the potential downsides of mental health law arise when it is distorted or misapplied. Another possibility is that any benefits of mental health law are overwhelmed by other powerful forces in society,Footnote 12 such as wealth inequality and resource distribution.Footnote 13

In evaluating the main issues in mental health law, therefore, researchers must isolate and assess these causes and effects as carefully as possible. For the purposes of this chapter, it should be noted that most of the arguments are listed as concisely as possible, even at the risk of seeming overly polemical. The intention here is to explore a range of critical issues in order to evaluate which issues the CRPD support framework may or may not address, as the case may be. Finally, even if the costs of mental health law were established, it would still be necessary to evaluate them alongside the very real accomplishments of mental health law reform in recent decades.

B Rights-Based Arguments

1 Mental Health Law Is Discriminatory

Mental health law can be seen to be unjustly discriminatory, as it only applies to people with apparent or diagnosed mental illness/mental disorder. Mental health law constitutes an entrenched anomaly in a legal system that traditionally privileges and protects individual autonomy and routinely upholds the right to refuse treatment in general healthcare.Footnote 14 Core Western legal values of equality and non-discrimination are compromised where powers of mandatory detention and compulsory medical intervention only apply to those with an apparent or diagnosed mental illness in certain circumstances.Footnote 15 The authorisation of powers that circumscribe the right to refuse medical treatment, even when individuals retain mental capacity, remains an exception to ethical standards in general medicine. Judy Laing argues that ‘[c]oercive care remains predominant in the treatment of mental ill health’, making it ‘distinctive as one of the very few areas of medical practice where overtly paternalistic traditions still dominate, and patients can be admitted compulsorily to hospital and forcibly treated, irrespective of their mental capacity or individual autonomy’.Footnote 16 There are some exceptions to this broad observation; for example, a number of Australian jurisdictions have authorised competent refusal of psychiatric treatment, as is generally the case with other medical treatments.Footnote 17 However, these remain largely the exception and, as Chapter 4 will detail, continue to fall shy of ‘harder’ readings of the CRPD, where a number of UN agencies have called for the abandonment of mental capacity assessments because they discriminate in effect (even as they remain formally non-discriminatory) against persons with disabilities.

General medical law has seen a major shift in the past fifty years towards patient autonomy and away from traditional medical paternalism.Footnote 18 Medico-legal standards today provide that doctors who treat patients contrary to their expressed wishes breach the following principle: ‘An adult patient … has an absolute right to choose whether to consent to medical treatment, to refuse it or to choose one rather than another of the treatments being offered …’Footnote 19 To breach this principle leaves doctors liable for battery under tort law and defies ethical codes of practice.Footnote 20 This liability applies throughout the common-law world.Footnote 21 Again, mental health law remains an exception to this principle.

It is true that even medical law has limits to respecting patient autonomy when weighed against majoritarian interests and competing human rights. Exceptions include matters of public risk (for example, when epidemics require quarantining and treatment), immediate crises (for example, emergency intervention following severe physical trauma) and specific restricted decisions (such as the selling of organs, or end-of-life treatment when patients express the wish to die). However, these exceptions at the ethical boundaries of medical law, even as they differ between jurisdictions, are generally applicable. By contrast, mental health law applies on an unequal basis to a specific group of people in both principle and application. Even as mental health law applies specifically in certain circumstances, particularly where risk to self or others exists, it is only applicable to those with an apparent or diagnosed mental illness. This creates inconsistency with other areas of medicine where patients deemed ‘mentally capable’ are entitled to make personal health choices, even where such choices result in a risk of death.

The criticism that mental health law is unjustly discriminatory is not new. In 1977, Stephen Morse concluded a journal article with what remains a powerful argument today:

Mental disorder is not an efficient and adequate threshold criterion for social and legal regulation of the behaviours regulated by mental health law. Mental health laws often deprive citizens of liberty, autonomy, and dignity without sufficient justification for doing so. Justifications based on disease or on the differences of crazy persons are terribly over- and under-inclusive. Most people with mental disorders, even severe ones, are not different enough from normal persons to warrant special treatment … Conversely, for example, many normal persons behave dangerously or incompetently, and there is good reason to believe they have as little or as much control over their behaviour as crazy persons.Footnote 22

Tom Campbell has argued that mental health law leads to ‘institutional discrimination’ by establishing, at law, ‘the idea that there is something about “mental illness” itself which invites a system of control and coercion’.Footnote 23 As a result, he suggests, medical treatment and social control become dangerously entangled, promoting stereotyped prejudice and compromising therapeutic support.Footnote 24 George Szmukler and John Dawson have even intimated that separate mental health legislation is discriminatory against mental health professionals by virtue of their being obliged under law to intervene on prejudicial grounds,Footnote 25 a view consonant with Joanna Moncrieff’s argument that mental health law unfairly positions psychiatrists as agents of social control at the cost of therapeutic duty.Footnote 26

The imposition of involuntary psychiatric intervention and restrictions on legal capacity can have secondary effects, some of which are counter to therapeutic support. Stephen Rosenman has argued:

Once they have qualified for compulsory hospitalisation, patients lose their autonomy and personal standing. Not only treatment but all facets of the patient’s personal life fall completely under the power of the hospital staff. However benevolent the staff may be, patients resent staff who are at once their custodians and carers. Such resentment discourages the development of collaboration in treatment.Footnote 27

Abridging or restricting fundamental rights can inflict profound psychic damage, arguably undermining the healing benefits those restrictions seek to bring about. Bruce Winick has argued that labelling someone as ‘incompetent’ induces feelings of helplessness and leads to non-participation in decisions that are central to living a full life.Footnote 28 Incompetency labelling can impede the basic human need for self-determination and self-actualisation.Footnote 29 Michael Bach, Jane Anweiler and Cameron Crawford have argued that placing limitations on legal capacity – in the sense of restricting a person from making decisions based on values and a reasonable availability of meaningful choices – diminishes personhood and citizenship.Footnote 30 This, in turn, reduces a person’s status in society, contributing to social exclusion and potentially increasing powerlessness and vulnerability to abuse.Footnote 31

2 Mental Health Law Violates International Human Rights Law

As the previous chapter outlined, the CRPD has added weight to arguments that mental health legislation violates a range of human rights.Footnote 32 Particular sections of the CRPD will create ongoing challenges to the operation of mental health legislation. Laws that discriminate on the grounds of disability can be seen to violate fundamental principles of the CRPD, particularly with regard to ‘[r]espect for inherent dignity, individual autonomy including the freedom to make one’s own choices, and independence of persons’, ‘non-discrimination‘ and ‘equality of opportunity’.Footnote 33 Article 5(2) prohibits all forms of discrimination based on disability, while Article 14 specifically states that ‘the existence of a disability shall in no case justify a deprivation of liberty’.Footnote 34 Article 17 states that ‘[e]very person with disabilities has a right to respect for his or her physical and mental integrity on an equal basis with others’.Footnote 35 Article 25 directs that States Parties shall ‘[r]equire health professionals to provide care of the same quality to persons with disabilities as to others, including on the basis of free and informed consent’.Footnote 36 Finally, Article 12 directs that States Parties shall not place restrictions on legal capacity based on disability,Footnote 37 which mental health legislation clearly does. (I will discuss Article 12 in detail in Chapters 4 and 5.)

As noted previously, UN treaty bodies have elaborated on legal arguments that involuntary psychiatric intervention under current mental health legislation violates the CRPD.Footnote 38 For example, the CRPD Committee commented:

As has been established in numerous concluding observations, forced treatment by psychiatric and other health and medical professionals is a violation of the right to equal recognition before the law and an infringement upon the rights to personal integrity (Article 17), freedom from torture (Article 15), and freedom from violence, exploitation and abuse (Article 16). This practice denies the right to legal capacity to choose medical treatment and is therefore a violation of Article 12. States Parties must, instead, provide access to support for decisions about psychiatric and other medical treatment. Forced treatment has been a particular problem for persons with psycho-social, intellectual, and other cognitive disabilities. Policies and legislative provisions that allow or perpetrate forced treatment must be abolished. This is an on-going violation in mental health laws across the globe, despite empirical evidence indicating its lack of effectiveness as well as views of people using mental health systems who have expressed deep pain and trauma as a result of forced treatment. The Committee recommends that State parties should ensure that decisions that involve a person’s physical or mental integrity can only be taken with the free and informed consent of the person with disability concerned.Footnote 39

Setting aside the veracity of these claims, which I will discuss throughout this chapter, the CRPD Committee directs States Parties to replace mental health law with a ‘supported decision-making regime’.Footnote 40 The nature and feasibility of this directive will be the subject of Part II of this book.

3 Mental Health Law May Lead to Cruel, Inhuman or Degrading Treatment or Punishment

The UN Special Rapporteur on torture and other cruel, inhuman or degrading treatment or punishment, Juan Méndez, reported in 2013 ‘that involuntary treatment and other psychiatric interventions in health-care facilities are forms of torture and ill-treatment’, and urged the ‘revision of domestic legislation allowing for forced interventions’.Footnote 41 Méndez submitted his report to the UN Human Rights Council, which examined the nexus between the torture prevention mandate, the CRPD and the right to health. Concerns about the detention and treatment of persons with psychosocial disabilities formed the majority of the report. Controversially, recommendation 89(b) directed states to:

Impose an absolute ban on all forced and non-consensual medical interventions against persons with disabilities, including the non-consensual administration of psychosurgery, electroshock and mind-altering drugs such as neuroleptics, the use of restraint and solitary confinement, for both long- and short-term application. The obligation to end forced psychiatric interventions based solely on grounds of disability is of immediate application and scarce financial resources cannot justify postponement of its implementation.Footnote 42

Likewise, Minkowitz calls for the ‘immediate cessation of forced psychiatric interventions’ and the abolition of mental health law.Footnote 43 While Minkowitz does not identify the exceptions to substituted decision-making, Méndez makes exceptions for life-threatening emergencies ‘in which there is no disagreement regarding absence of legal capacity’, at which point ‘a health-care provider [may] proceed without informed consent to perform a life-saving procedure’.Footnote 44

As this last comment indicates, the report is somewhat conflicted, here endorsing what appears to be a functional mental capacity approach (which accepts that an absence of legal capacity can be agreed upon), although elsewhere in the report suggesting that legal capacity is held by all people regardless of impairment.Footnote 45 The special rapporteur’s comments on risk of harm also appear to be inconsistent. Earlier in the report, he comments that ‘the State must … show that detention (based on mental illness) is necessary to protect the safety of the person or of others’.Footnote 46 Interestingly, however, Méndez revised this position in a statement accompanying the submission of the report to the Human Rights Council, in which he stated, ‘I believe the severity of the mental illness cannot justify detention nor can it be justified by a motivation to protect the safety of the person or of others’.Footnote 47 While the UN Special Rapporteur on Torture directed that the treatment of those with psychosocial disabilities must only be consensual, his inconsistent commentary does leave open an argument that some form of coercive intervention may be justified in some circumstances, namely where interventions are based on a sufficient risk of harm or the ‘absence of legal capacity’. Some countries will endorse the focus of the special rapporteur on mistreatment in healthcare settings, while others may charge that the statement fell outside his mandate, or that the statement did little to provide alternative solutions or concrete recommendations, such as alternative models for ‘supporting legal capacity’. Clearly, as with the views of the CRPD Committee, the task of developing alternatives is left up to States Parties. What is also clear is that an emerging consensus has formed within parts of the UN that the discriminatory nature of mental health legislation justifies its abolition rather than reform, with some notable exceptions.Footnote 48 The special rapporteur endorses what he describes as the ‘very explicit’ directive of the CRPD Committee, which ‘call[s] for the prohibition of disability-based detention, i.e. civil commitment and compulsory institutionalization or confinement based on disability’.Footnote 49

4 ‘Special Measures’: Can Lawmakers Justify Differential Treatment?

Both proponents and opponents of mental health law acknowledge that it subjects people with psychosocial disabilities to different rights – or, at the very least, a substantially different calculus for applying competing rights. Where controversy does arise is in whether such restrictions constitute discrimination in the sense of unjust prejudicial treatment of one group, or whether ‘special measures’ are justified due to the unusual nature of mental illness and the distinct issues it raises.Footnote 50 ‘Special measures’ are typically understood to refer to an acceptable departure from the principle that people are entitled to equal protection of the law and should not be subject to discrimination on the grounds of a certain attribute.Footnote 51 Tom Burns writes: ‘Coercion in psychiatry is only justified if you accept that there really is something special about mental illness, that people are not their normal selves when acutely ill. Without such a view, compulsory treatment is indefensible and any analysis of the experience of coercion without acknowledging it strikes me as incomplete’.Footnote 52 The special-case argument rests on a number of critical claims. Jillian Craigie and Lisa Bortolotti summarise the many justifications for the use of psychiatric diagnosis as grounds for involuntary intervention, which range from claims about

impaired insight in mental disorder; to mental disorder removing autonomous control; to the association of mental illness with global irrationality; and to the idea that mental disorder undermines personal identity or diachronic agency. Whatever the underlying assumptions, law that bases interference on the presence of mental disorder – the so-called ‘status’ approach – holds that a psychiatric diagnosis eliminates the need to assess the person’s decision-making ability. The diagnosis alone is taken to mean that the person is not in a position to decide for themselves, at least in relation to psychiatric treatment …Footnote 53

Three major justifications for distinct legal rules for persons with an apparent or diagnosed mental illness emerge. First, such persons are unusual legal actors who may be unable to make decisions and thus require unique laws in certain circumstances. Second, certain types of mental illness create public risks that necessitate involuntary interventions. Third, emergency interventions in mental health crises require specific regulations and safeguards, which is substantively different from other forms of emergency intervention. I will consider these justifications in turn.

a The Incompetence Claim

The first claim holds that persons with psychosocial disabilities are less responsible causally, and therefore legally, for their actions. Hence, their ability to give or withhold consent for treatment cannot occur to the same extent or in the same manner as for persons with physical disorders.Footnote 54 This view, according to Paul Appelbaum and Thomas Grisso, rests on ‘premises concerning the degree to which persons with mental illness manifest impairment of their decision-making abilities’.Footnote 55 Perhaps the most significant of these premises is the widely held assumption that people who meet the criteria for civil commitment under mental health law generally lack mental capacity.

However, the MacArthur Treatment Competence Study (MAC Study), the largest study to compare the mental capacity of patients admitted to psychiatric institutions with that of general medical patients, found that the majority of research subjects admitted to psychiatric institutions had the mental capacity to make decisions.Footnote 56 Further, more than half of the inpatients in the study were found to have similar mental capacity levels to their counterparts in physical health care.Footnote 57 The study did identify significant differences in ‘decision-making abilities’ between people ‘with and without mental illness, especially when the comparisons focus on patients with schizophrenia’.Footnote 58 The authors caution that such variance ‘may justify differences in the ways in which consent to treatment for mental illness and for [physical] illness are handled’.Footnote 59 They refer to practices for gaining informed consent that accommodate the needs of mental health inpatients as compared to general health inpatients and conclude that overall, the findings disprove the commonly held assumption that people with severe mental health conditions automatically lack mental capacity.Footnote 60 On this basis, mental health law that enables treatment without consent should not be based on a presumption of mental incapacity. While mental capacity is not typically used as a criterion for civil commitment,Footnote 61 with an increasing number of exceptions,Footnote 62 the commonly held correlation between mental illness and incompetence may premise claims that mental health law ought to be viewed as a special measure.

b The Public Risk Claim

Another major premise behind seeing persons with psychosocial disabilities as sufficiently unique to justify separate mental health laws is that they pose a significantly higher risk to others than those without such disabilities.Footnote 63 Indeed, preventing public risk is posed in authoritative accounts as a principal justification for the unusual powers of mental health law; that is, police powers are required in the interest of protecting the community.Footnote 64 (The issue of ‘risk to self’ will be discussed in the section on efficacy, where it is noted that a significant body of research has brought into question the ability of clinicians to predict the likelihood of self-harm.)Footnote 65 However, the risk-of-harm criterion can be criticised as being discriminatory in its application to only those with psychosocial disabilities, whilst other groups at high risk of harming others do not face involuntary treatment and preventive detention.Footnote 66

In part, this special treatment is based on the hypothesis that untreated symptoms of mental illness are the main source of criminal behaviour for offenders with psychosocial disability, and that linkage with psychiatric services is the solution.Footnote 67 However, Jillian Peterson and colleagues have argued that a growing body of evidence is challenging this ‘widely embraced explanation’ which ‘drives much contemporary policy related to offenders with mental illness’.Footnote 68 Their own study analysed the offence patterns of 220 parolees in the United States, 111 of whom had a ‘serious mental illness’ and 109 of whom did not. The findings suggest that substance abuse has a much stronger correlation with violence than solely mental health problems.Footnote 69 A series of American studies support the view that a small subgroup of those diagnosed with severe mental illness may be arrested because their hallucinations or delusions lead to violence or they may cause public disturbances.Footnote 70 Yet Mary Donnelly argues that the correlation between psychosocial disability and acts of violence is less significant than is widely perceived, especially when compared to other factors such as age, history of violence, gender, substance abuse and family breakdown.Footnote 71 The broad perception of a connection between mental illness and violence is likely to have been reinforced consistently by the media in the countries considered in this book.

In a series of studies, Paul Mullen and colleagues found that the highest rates of violence occurred where substance abuse coexisted with mental illness.Footnote 72 Mullen has argued that, while most people with a diagnosis of mental illness will never commit an act of violence, people with untreated psychotic illness (and particularly those involved in substance abuse) are more likely than the average person on the street to be seriously violent.Footnote 73 However, Mullen has argued that ‘there is a correlation between having a schizophrenic syndrome and increased rates of antisocial behaviour in general and violence in particular’, and that ‘the evidence that such associations are not just statistically but clinically and socially significant is now overwhelming’.Footnote 74 Mullen qualifies this assertion by noting that this small fraction of at-risk individuals (about 10 per cent of those with the schizophrenia diagnosis, who themselves are only one portion of those placed under civil commitment orders) are identifiable and can be assisted with a ‘structured programme in which the … behavioural factors, substance misuse and social dislocation are managed together with the active symptoms of the disorder [to] prevent the progress to violence’.Footnote 75

In what appears to be the largest study to date on the correlation between schizophrenia diagnosis and rates of violent crime, 8,003 people diagnosed with schizophrenia were compared with general population controls (n = 80,025) in respect of criminal convictions for violent crimes.Footnote 76 For the vast majority of those with a diagnosis who had committed a violent crime, the acts were attributed to drug use.Footnote 77 Where other factors were controlled, those diagnosed with schizophrenia who had not abused drugs were only 1.2 times more likely to have committed at least one violent crime than the control group.Footnote 78 However, where drug use was a contributing factor, and where unaffected siblings were used as controls, the comparison showed that the subject’s ‘substance abuse comorbidity was significantly less pronounced … suggesting significant familial (genetic or early environmental) confounding of the association between schizophrenia and violence’.Footnote 79

Nonetheless, ‘risk of harm to others’ has remained a strong focus of mental health law despite the modest correlation of psychosocial disability causing violent crime, particularly when compared to other factors such as drug and alcohol abuse. This skewed focus has arguably contributed to prejudice and discrimination towards people with psychosocial disabilities. There have been long-standing calls to abandon the risk criterion in mental health legislation, which have been reiterated in recent years.Footnote 80 These concerns stem from claims that the test is prejudicial (as it only applies to people with psychosocial disability), misguided (as a diagnosis of mental illness per se is a marginally significant indicator of the likelihood of violence being perpetrated) and largely ineffective, as discussed in the next section. Having considered the two major premises behind the claim that people diagnosed with mental illness require certain exceptions from human rights and non-discrimination standards, I will now examine the second major justification for the unique suspension of rights in mental health law.

c Regulating Treatment and Emergency Powers

Another major claim justifying separate mental health law as a ‘special measure’ (and perhaps the most compelling) is its power to respond to extreme mental crises with urgency, and to regulate those responses. Even some critics of separate mental health legislation acknowledge this benefit. George Szmukler, Rowena Daw and John Dawson, for example, have appraised emergency powers under civil commitment in the following terms:

A major strength of non-consensual treatment schemes that are based on incapacity principles [as compared to civil commitment schemes] is the respect shown for the autonomy of those patients who retain their capacity; but these schemes are, nevertheless, often weak on the regulation of emergency treatment powers, detention in hospital, and forced treatment. These are the areas, in contrast, in which civil commitment schemes are strong. The use of force, and the detention and involuntary treatment of objecting patients, is clearly authorised and regulated by mental health legislation.Footnote 81

Regulation through mental health legislation ensures that such interventions can be authorised and monitored. In other words, if emergency powers are needed for some mental health crises, then these powers need to be clearly authorised and regulated – a function that is best provided by mental health legislation.

Michael Perlin has argued that comprehensive mental health legislation can serve the dual function of ensuring that (1) individuals can access independent counsel and judicial review mechanisms,Footnote 82 and (2) their treatment and living conditions, especially those in highly marginalised settings, can be regulated and monitored.Footnote 83 Perlin points to examples of states that have failed to regulate mental health services and address inhumane treatment in institutional settings.Footnote 84 Mental health legislation can assist by establishing legal protection to persons with psychosocial disability in order to prevent such abuse, as exemplified in the MI Principles.Footnote 85

Procedural mechanisms in mental health law arguably safeguard those subject to intervention powers. The Victorian Law Reform Commission (‘VLRC’) evaluated mental health law in its review of guardianship laws and commended its accountability processes, noting that ‘[t]here is clearly a great need for transparent decision-making processes and appropriate external review when the law authorises public officers to deprive people of their liberty and to provide them with compulsory psychiatric treatment’.Footnote 86 The VLRC was responding to a proposal to ‘fuse’ mental health law with guardianship law in order to create one overarching substituted decision-making law. In its report, the VLRC argued that (Victorian) mental health legislation accommodates the aforementioned transparency, while guardianship law, in contrast, has few mechanisms to ‘review a decision to deprive someone of their liberty and provide treatment without consent’.Footnote 87 Under Victoria’s Guardianship and Administration Act 1986, for example, there is no review process for individual decisions made by either tribunal-appointed or personally appointed guardians.Footnote 88

Another added procedural protection in mental health law is the external review process, which is a central feature of contemporary mental health laws.Footnote 89 Mental health tribunals and other bodies empowered under mental health law have a range of powers to review clinical decisions. Under typical guardianship laws, the delegation of decision-making powers to single individuals does not afford as much oversight. Again, on this view, if intervention in some mental health crises is going to occur without the consent of the individual, then it must be appropriately regulated with adequate procedural protection and safeguards against paternalistic overreach.

However, it could also be argued that earlier access to services and support might prevent the very crises for which involuntary intervention is lawfully required. On the need for coercive powers, a wide range of commentators agree that mental health law has failed most specifically in its function to provide access to support services.Footnote 90 (I will discuss this apparent failure shortly.) If this is indeed the case, then the push for improved procedural protections may be the outcome of a troubling circular logic; that is, mental health law increases the need for involuntary treatment by contributing to the failure to address access to voluntary support at an early stage of the crisis. As a consequence of this failure, increased procedural protections are required for those treated involuntarily. The focus on procedural protections dominates debates on mental health justice, and therefore commands disproportionate institutional attention and resources. While the procedural protections under current mental health law are the result of hard-won gains by reformers, the question remains as to whether this institutional and political focus occupies commentators in the mental health field to the point of making other, more constructive, strategies less available.

It is also worth noting that although policymakers designed mental health laws to safeguard the rights of people subject to involuntary treatment, this very cohort was excluded from the development of these laws. The term ‘cohort’ here refers to people subject to involuntary treatment and detention, but this would also reasonably include all persons with psychosocial disability whose rights to liberty and consent in (mental) healthcare are, according to the terms of mental health law, held to a different standard to other citizens. Yet, as Perlin has commented, ‘[t]here is little evidence that these groups are taken seriously either by lawyers or academics’.Footnote 91 If it were the case that safeguarding users’ civil rights was the most compelling function of mental health law, it would seem logical that the development of such safeguards and rights protections should occur with input from those subject to them. For this reason, perhaps, existing procedural mechanisms do not appear to satisfy prominent disabled people’s organisationsFootnote 92 or UN human rights agenciesFootnote 93 that have commented on the issue, even as the mechanisms appear to satisfy most policymakers and professional bodies.

Having discussed the principal human rights concerns relating to mental health law, as well as some of the principal justifications for its ‘special measure’ status as an exception to certain human rights standards, it is now appropriate to consider the effectiveness of mental health law.

C Efficacy Arguments: That Mental Health Law Is Ineffective on Its Own Terms

Mental health law is ineffective on its own terms; there is limited evidence to support its success in relation to three of its primary functions. This is essentially a utilitarian line of enquiry. While the human rights-based criticisms of mental health law might provide sufficient grounds for law reform efforts, it is the aim of this book to consider the full range of major conceptual and practical issues arising from mental health law. Further, efficacy concerns are particularly relevant to policymakers given the limited resources facing any government.

The purposes of mental health law are well summarised by Hale, who has observed that civil commitment legislation perpetually struggles to ‘reconcile three overlapping but often competing goals: protecting the public, obtaining access to the services people need, and safeguarding users’ civil rights’.Footnote 94 I will consider the evidentiary basis of each of these functions in turn.

1 Lawmakers Cannot Show Mental Health Law Reduces the Risk of Self-Harm

I have already discussed the use of risk-of-harm criteria in relation to the minimal correlative significance of the public risk associated with a diagnosis of mental illness compared to other factors. Perhaps unsurprisingly then, there is limited evidence to support the view that risk assessments conducted under mental health law reduce violent crimes and other risks to the public.Footnote 95 Predicting who will be at risk of harming others is extremely difficult, given the low rate of violence among people with psychosocial disabilities compared with other groups.

Douglas Mossman conducted a meta-analysis of studies looking retrospectively at risk-categorisation criteria in the lead-up to violent acts.Footnote 96 Mossman argued that there was no way to find a satisfactory balance between specificity and sensitivity in identifying risk.Footnote 97 ‘Hindsight’, Mossman concludes, ‘makes “warning signs” clear, but before violent tragedies occur we cannot efficiently distinguish the signs that point to violence from those that will turn out to be false positive signals’.Footnote 98 Indeed, it remains an open question in the literature on legal psychiatric coercion and violence as to whether the range of civil commitment and legal involuntary treatment measures – including those applied by mental health courts, terms of sentencing, and inpatient and outpatient commitment orders – is effective in reducing the risk of violence.Footnote 99

Similarly, there is limited evidence to support the hypothesis that mental health legislation prevents self-harm and suicide. Alex Pokorny’s large-scale study of 4,800 people admitted to a psychiatric hospital in the United States found that there are no reliable methods to predict particular suicides ‘before the fact’.Footnote 100 In a case-control study of ninety-two suicides of people who were inpatients, Jimmy Dong, Ting-Pong Ho and Chui-Kwan Kan found that the ‘[m]ajority of in-patient suicides occurred at a time of perceived low risk’.Footnote 101 More recently, Matthew Large and colleagues conducted a meta-analysis of longitudinal cohort studies where ‘psychiatric patients or people who had made suicide attempts were stratified into high-risk and lower-risk groups for suicide’ and found the following: ‘The strength of suicide risk categorizations based on the presence of multiple risk factors does not greatly exceed the association between individual suicide risk factors and suicide. A statistically strong and reliable method to usefully distinguish patients with a high-risk of suicide remains elusive’.Footnote 102 The fact that limited evidence exists to prove the effectiveness of tests assessing risk of harm to self or others brings into question the justification for their use as a criterion for civil commitment.

David Webb even argues that mental health law has the perverse consequence of increasing suicides by compelling patients who seek discharge or fear involuntary commitment to conceal their suicidal thoughts, hence cutting off the potential for supportive intervention.Footnote 103 Darian Leader summarises this line of argument and assigns blame to the culture of risk-aversion in mental health services when he writes: ‘Risk management means lives cannot be lost, and patients learn to hide suicidal thoughts to facilitate discharge … The more you insist that the person can’t kill themselves the more the chances of a suicidal act increase’.Footnote 104 While Webb’s and Leader’s argument remains a hypothesis, and one which seems difficult to validate, a number of other commentators have raised similar concerns. David Jobes reportedly stated that ‘[m]uch of what was done in the name of clinical suicide prevention was actually coercive, shaming and controlling’Footnote 105 – a conclusion that speaks to the potentially traumatising and disabling responses of services. Susan Stefan, after interviewing and surveying 244 suicide-attempt survivors for her 2016 study on suicide law and policy, concluded that

our policies and practices regarding suicide create an irrational incentive structure where people understand that they have to attempt suicide to get help, help which is of questionable utility, while community-based approaches that are less expensive and work are underfunded. We have a system that doesn’t work for anyone – neither the people who are supposed to be providing help, nor the people who are supposed to be receiving it.Footnote 106

Stefan (writing in the US context) notes the resulting frustration of mental health professionals: ‘Mental health professionals in my interviews also sounded powerless and hopeless: asked to do the impossible with ever-dwindling resources, profoundly anxious about liability, genuinely baffled about how to help some of their patients, plagued by insurance demands and paperwork’.Footnote 107

Stefan’s view that ‘we have a system that doesn’t work’ is debatable.Footnote 108 However, it is generally agreed that there is a remarkable absence of empirical evidence, which demonstrates the effectiveness of involuntary psychiatric intervention in achieving one of its core objectives, reducing self-harm. On the contrary, according to Stefan, her study suggests that ‘involuntary psychiatric detention increases rather than decreases the risk of suicide for many people, while evidence-based treatments that actually reduce suicidality are all community-based’.Footnote 109 She concludes: ‘[W]e focus enormous amounts of resources and inflict substantial pain in the form of involuntary commitment and treatment on people who, statistically speaking, are actually at a fairly low risk of suicide’.Footnote 110

2 Mental Health Law Fails to Facilitate Access to Treatment

Mental health legislation fails to facilitate access to voluntary support during times of crisis. From a rights perspective, mental health law fails to secure substantive rights for people with psychosocial disabilities. The claim that mental health law fails to facilitate access to treatment forms a major critique of the pre-CRPD human rights approaches to mental health law, which have involved a strong focus on negative liberties or so-called first-generation rights. This cluster of rights is based around non-interference and finds expression in mental health law around the ‘rights to liberty and autonomy in relation to the involuntary commitment of individuals with very serious mental illnesses’.Footnote 111 This libertarian push, captured particularly in Gostin’s concept of a ‘new legalism’ in mental health law, saw procedural safeguards increased to regulate the control of psychiatrists and address the misuse of medical power.Footnote 112

It is true, however, that the legalistic approach also sought to provide for the right to treatment. However, this goal was arguably the least successful of the ‘new legalism’ framework, a shortcoming which, according to Gerard Quinn, has drawn mental health debates into an ‘imprisoning logic’ and caused a breakdown of meaningful dialogue:

Some civil libertarians would hesitate to use an argument for a legal right to treatment (no matter how meritorious) lest the need for treatment might be used to justify an undue encroachment on liberty. Contrariwise, some professionals in the field who have the responsibility to deliver services, would hesitate to embrace liberty-enhancing arguments lest it interfere too much with their capacity to deliver a substantive right to treatment – with their professional prerogatives.Footnote 113

The impasse forms a conceptual tension in mental health law linked to a common critique of ‘new legalism’: it has typically struggled to provide substantive rights to persons with mental impairments in the form of access to healthcare and support. Peay describes the lopsided emphasis on negative rights as the ‘problematic nexus of mental health and law’, where the law has taken a historical role of restraining rather than facilitating access to services.Footnote 114

Numerous commentators have raised the concern that mental health law exacerbates the inaccessibility of services, especially for individuals in crisis.Footnote 115 As early as 1985, Nikolas Rose criticised the rights-based approach to mental health law on the basis that it is ‘impotent when it comes to debating or securing positive policy alternatives’.Footnote 116 Rose argued against a rights-based strategy of mental health reform from the perspective that ‘new legalism’ simply transfers the involuntary powers from doctors to lawyers.Footnote 117 This transfer occurred somewhat misleadingly, according to Rose, cloaked in the language of a vaguely defined notion of human rights: ‘There might be an argument for the tactical use of the language of rights because of its consonance with the common sense of western social and political thought. But it is clear that such language provides no means of formulating objectives for substantive reforms or for implementing such reforms’.Footnote 118

Rose was prescient in identifying the difficulty with which a ‘new legalism’ approach could garner appropriate social provisions, conceive and defend ‘freedom’,Footnote 119 and appraise and alter the powers of expertise over subjects of mental health law.Footnote 120 Rose’s argument is located in a broader critique of the trend to pursue sociopolitical objectives in legal termsFootnote 121 – an argument he and others have made against human rights more generally.Footnote 122 Rose’s proposition that a rights vocabulary provides ‘no means of formulating objectives for substantive reforms’ is arguably less prescient in the light of conceptual advances in human rights in the twenty-first century,Footnote 123 although some commentators remain sceptical of the power of CRPD-based strategies to garner necessary resources (as shall be discussed in Chapter 7).

According to the International Disability Alliance, the narrow focus on civil and political liberties in mental health and adult mental capacity law has often left people with disabilities in a ‘binary system of self-sufficiency versus enforced dependence’.Footnote 124 The tension, then, between the protection of individual rights and the discretionary powers of non-consensual treatment means that mental health law has struggled to address the matter of access to supportive services, except by authorising coercive treatment. As such, there remains a strong call to bolster state duties to provide resources to enhance a range of human rights (for example, the right to enjoy the highest attainable physical and mental health, and the right to autonomy and self-determination), rather than simply inviting non-interference.

3Involuntary Outpatient Treatment’ Is Ineffective

It is worth considering the efficacy of legal frameworks for involuntary psychiatric intervention outside the hospital, in people’s residences. As noted in Chapter 1, involuntary outpatient treatment, often referred to as community treatment orders (‘CTOs’), was partly designed to promote adherence to medication regimes and reduce rates of hospitalisation.Footnote 125 However, of the three large-scale randomised controlled trials to consider its success in achieving these aims, according to Steve Kisely and Leslie Campbell, none could demonstrate that CTOs were effective.Footnote 126 For example, the largest randomised trial of CTOs in England and Wales to date found that ‘the imposition of compulsory supervision does not reduce the rate of readmission of psychotic patients’.Footnote 127 The authors of the study, Tom Burns and colleagues, ‘found no support in terms of any reduction in overall hospital admission to justify the significant curtailment of patients’ personal liberty’.Footnote 128 Following the study, Burns, formerly a major proponent of CTOs, reportedly stated simply that CTOs ‘don’t work’.Footnote 129

Similarly, a 2011 Cochrane Review by Steve Kisely, Linda Campbell and Nick Preston examined the ‘effectiveness of compulsory community treatment for people with severe mental illness’ by systematically reviewing all relevant randomised controlled clinical trials.Footnote 130 Overall, they concluded that the trials ‘provided little evidence of efficacy on any outcomes such as health service use, social functioning, mental state, quality of life or satisfaction with care’.Footnote 131 According to the authors, the studies faced challenges of data availability: there were no reliable data for assessing cost and ‘unclear presentation of data made it impossible to assess the effect on mental state and most aspects of satisfaction with care’.Footnote 132 However, the findings generally supported an earlier review by the same researchers that could not demonstrate that CTOs achieved their aims.Footnote 133 Likewise, Andrew Molodynski and colleagues reported on the general ‘absence of convincing evidence that [CTOs] improve clinical or social outcomes or reduce hospital use’.Footnote 134 Pointing out a troubling methodological issue in assessing CTOs more generally, Light and colleagues observe that even if CTOs were found to be effective, ‘it is not clear whether any benefit is due to their compulsory nature or simply a result of the intensity of treatment that they facilitate’.Footnote 135

Steven Segal and Phillip Burgess have challenged claims that the current evidence base provides grounds to dismiss the utility of CTOs. Segal and Burgess undertook two studies which found that in certain circumstances, CTOs were associated with reductions in bed-daysFootnote 136 and mortality rates.Footnote 137 But despite these claims, Sonia Johnson has argued that ‘the case for urgent review’ of legislation permitting involuntary outpatient treatment, ‘both at government level and within the professions involved in CTO use, is now strong’.Footnote 138 Reinhard Heun, Subodh Dave and Paul Rowlands, who are members of the Executive Committee of the Faculty of General Adult Psychiatry of the Royal College of Psychiatrists in the United Kingdom, went a step further, calling for an end to the use of CTOs in their current form.Footnote 139 The authors referred to the existing evidence base and argued that ‘[u]nder these circumstances, no clinical procedure would have any support from any regulatory institution. The use of coercion without or even against scientific evidence may be seen as unethical and might violate the patients’ human rights. These circumstances may increase the stigma against psychiatry’.Footnote 140

4 Mental Health Law Codifies Medical Discretion, Control and Regulation

Phil Fennell has argued that mental health law’s rights-based rhetoric contradicts the lack of substantive rights protection that the law offers in practice, and instead codifies medical authority to treat and detain.Footnote 141 This is despite policymakers designing mental health law to provide special rights and improve the freedom of a group whose rights to liberty and healthcare decision-making were previously subject to almost unfettered medical discretion. Despite the rights-based framework of mental health law, coercive ‘powers’ held by clinicians have increased in certain respects.Footnote 142 Weller queries whether rights-based legalism better protects substantive rights, given that discretionary power remains with medical authorities who retain a privileged status as expert witnesses.Footnote 143 Similarly, Appelbaum concluded his 1994 treatise on mental health law in the United States thus:

Although patients’ right to refuse treatment in general is frequently endorsed, it is rare for courts to uphold the refusal of any given patient. The nearly uniform consequence of a court hearing is treatment against the patient’s will. The levels at which discretion can be applied to thwart the narrow limits of mental health law are manifold. In civil commitment, for example, family members and mental health professionals have considerable scope in framing their allegations of a patient’s committability; attorneys appointed to represent respondents can vary the vigor with which they contest commitment petitions; and judges can elect to apply broader or narrower interpretations of commitment standards … The effectiveness of mental health law in most contexts depends on the willingness of those who gather information and make decisions – often operating with low visibility – to conform to the dictates of the law. When the law seems wrongheaded, however, unless incentives can be provided for their cooperation or sanctions imposed for their resistance, they will often respond according to their own lights.Footnote 144

In Australia, the Human Rights and Equal Opportunity Commission Report of 1993, which was influential in the development of Australian mental health policy, found that legislative formulations in Australian states are ‘marked by circularity of reasoning and apparently designed to intrude to a minimal degree upon the territory of psychiatrists’.Footnote 145

D Pragmatic Concerns

A number of pragmatic issues arise in mental health law relevant to this investigation. While many of the issues identified below are corollary to human rights and efficacy concerns, they warrant separate consideration for the sake of a clearer and more complete analysis.

1 Mental Health Law Fails to Protect against the ‘Tyranny of the Majority’

Mental health legislation provides poor protection for people with psychosocial disabilities (and potentially even medical practitioners) in the face of malign public attitudes. Given the discretionary power of typical mental health legislation, and in the absence of strong laws against mental health- or disability-based discrimination, the majority of public fears concerning mental health, no matter how irrational their basis, could pressure policymakers, mental health tribunals and professionals to broaden the operation of mental health laws. Abuse of the authority to treat may occur, particularly when powerful sources apply sporadic pressure (for example, politicians or media who tap populist fears and push for greater control of feared groups).

Moncrieff has argued that mental health legislation allows broader society to abrogate responsibility for people in distress and crisis, and instead wield authority over a marginalised population.Footnote 146 She argues that governments aim to contain and isolate problematic groups by compelling clinicians to use their unusual powers to ‘treat’.Footnote 147 Appelbaum points to involuntary outpatient treatment laws in almost half of US states as an example of public scandals resulting in laws with questionable effectiveness (and constitutionality).Footnote 148 A more recent example is US gun control law reform. Following extreme acts of gun violence, reform proposals have resulted in expanded criteria for involuntary treatment and additional duties on psychiatrists to report suspect persons.Footnote 149 Peay discusses the potential for such scandals to generate public pressure on legislators and clinicians, particularly where violent crimes have been committed by persons with a diagnosis of mental illness, in this case personality disorder:

The existence of a vocal and seriously injured section of the public may in turn combine with a further significant proportion of the wider public who may live in fear, justified or not, of becoming victims. And this fear may be inappropriately fed by … common lay misunderstanding … This can create a momentum for those very legislators and policymakers to act, and for clinicians to respond.Footnote 150

Peay’s observation was specific to personality disorder and particular political issues in England and Wales at the time. Yet her observations seem applicable more broadly. Crimes committed by people with a psychiatric diagnosis often act as a precursor to greater incursions upon the civil rights of persons with psychosocial disabilities – mental health law, despite ostensibly being aimed at upholding the rights of people with psychosocial disability, seemingly offers little to prevent such systemic discrimination, and can even be seen to facilitate such incursions.

These concerns bring to the forefront the tension between the majoritarian principle of democratic rule and the humanitarian principle of protecting excluded and marginalised minorities. In seeking to achieve that fine balance, it is questionable whether mental health law is currently achieving this aim.

2 ‘Voluntarism’ in the Shadow of Compulsion

Mental health law creates a ‘gap’ between voluntary admission and involuntary psychiatric intervention in which compulsion becomes a threat. The threat of being placed on an involuntary order means voluntary service users can be coerced into agreeing to unwanted treatment, in order to avoid legal compulsion and the associated stigma, discrimination and loss of rights.Footnote 151 Consider the following illustrative case:

A man voluntarily admitted himself to a hospital’s psychiatric inpatient unit. At no time was the man given information regarding his rights as a voluntary patient, and there was a failure to provide him with services for his pre-existing diabetes. The man became concerned that his ‘treatment’ involved only medication and not a referral to a social worker, psychologist, or community counselling service, despite the psychiatrist recommending this. Although the issue was raised with hospital staff, no action was taken. The man notified staff of his intention to discharge himself (which was within his rights as a voluntary patient), however he was warned his status would be changed to ‘involuntary’ should he attempt to discharge himself. The man then attempted to leave the ward, and was subsequently reclassified as an involuntary patient and put into seclusion for 6½ hours, and stripped of his clothing. The man was not provided with an explanation of his change of patient status to involuntary or the reason for being placed in seclusion.Footnote 152

This case was presented in Australia’s 2012 ‘shadow report’ to the CRPD Committee, which was compiled by People with Disabilities Australia in partnership with multiple law and human rights organisations.Footnote 153

The issue of unregulated coercion via threats of civil commitment was raised as far back as 1964.Footnote 154 Rachel Bingham has argued that the issue is systemic rather than an unusual instance of distorted process or ‘bad’ practice.Footnote 155 Bingham refers to the ‘common clinical scenario’ in which a person ‘acquiesces to continued admission to a mental health unit primarily because he or she believes he or she will otherwise be formally detained’.Footnote 156 Some mental health services have produced guidelines and patient information materials addressing informal patients.Footnote 157 For example, the 2015 Mental Health Act Code of Practice for England and Wales makes clear that ‘[t]he threat of detention must not be used to coerce a patient to consent to admission to hospital or to treatment (and is likely to invalidate any apparent consent)’.Footnote 158 However, according to Bingham, ‘[u]nfortunately, in many ways this sort of information simply makes explicit the original predicament: you will be “allowed” to exercise your rights, “unless …”’ with the implication being that treatment refusal or leaving a hospital will be sufficient to activate coercive powers.Footnote 159

Anne Rogers has examined coercion in British psychiatric inpatients settings, including surveying in 1990 412 psychiatric patients who had experienced at least one period of hospitalisation.Footnote 160 Her research suggested that ‘a substantial number of nominally voluntary patients reported coercive aspects of their hospitalisation’,Footnote 161 which ‘was found to produce a more rejecting attitude towards psychiatric services’.Footnote 162 Certainly, there is evidence that clinicians have explicitly drawn on the threat of coercion. Consider the following quite extraordinary statement from Tim Lambert, Bruce Singh and Maxine Patel about people subject to CTOs:

Arguably, CTOs are most successful when patients perceive (if erroneously) that they can be treated against their wishes outside the hospital setting. This remains a form of coercion over and above the legislation itself. Hence, CTOs may serve to ‘persuade the persuadable’, in the hope that the patient does not test the resolve of the community teams to rescind the CTO for breaches relating to non-adherence.Footnote 163

Even as certain methods have been introduced to address this issue (transparency about the legal situation of voluntary patients, clearer information for voluntary patients and so on), the gap between genuine consent and legal safeguards will always exist where there is recourse to detention and involuntary treatment on the partial basis of a diagnosis of mental disorder. This is more likely where the threshold for intervention is lower than for life-threatening emergencies.

3 Coercion Interrupts the Development of Decision-Making Skills

Where legal coercion takes away decision-making control from individuals, the development of their decision-making skills is potentially disrupted. Webb has argued that mental health legislation can lead to disempowerment when the decision of a psychiatrist with substituted decision-making power conflicts with the relevant person’s views about treatment.Footnote 164 His argument echoes those of intellectual disability advocates, who suggest that substituted decision-making can stifle decision-making learning, which, in turn, gives the false impression that a person’s decision-making difficulties are ‘natural’.Footnote 165

In the mental health context, Gunvant Patel has argued that the widespread use of CTOs in Victoria, Australia, which reportedly has the highest rate of CTO use per capita in the world,Footnote 166 produces a similar effect: ‘[W]ith CTOs, learning and growth through experiencing the adverse consequences of one’s actions is sabotaged (developmentally a particularly crucial step for young adults). Relapse prevention and risk management (often poorly assessed and addressed by use of ad hoc untested locally developed measures) are reified instead’.Footnote 167 Patel continues to argue that the ‘over-emphasis on positive symptom control over longer term concerns’ prevents clinical staff from being able to ‘engage in a long term relational-based approach to enhancing compliance and engagement’.Footnote 168 He argues that clinical staff are negatively affected by the ease with which they have recourse to CTOs, where the

[a]brogation of responsibility for finding alternative and creative solutions is too easily supported. Pejorative terms come into being to both exclude undesirable elements and evade responsibility for tackling difficult to hold patients or parts of them that are difficult to manage. The classic example is the re-labelling of challenging behaviours as ‘behavioural’ or ‘personality’ and thus legitimizing rejection, particularly when resources are limited.Footnote 169

Patel further argues that the coercive aspect of CTOs leads to clinicians having ‘the unconscious and at times conscious tendency … to perceive the client as having less human value than ourselves’.Footnote 170 Concerns that psychiatric coercion diminishes the ability of individuals to exercise autonomy are especially relevant in the light of mounting evidence that CTOs are ineffective.Footnote 171

Patel’s arguments are reminiscent of service-user activist Peter Campbell’s description of the effect of stand-alone psychiatric institutions in the United Kingdom. He argues that the old asylums fostered a ‘double dependency’: ‘On the one hand the users of existing services [were] bred to accept dependency as a characteristic of relationships. On the other, the caring team based their operations on this inequality’.Footnote 172 He noted the dehumanising result of long-term institutionalisation, and the constant iterations of difference: ‘[a]t times, it is hard work not to believe we are a separate branch of humanity’.Footnote 173

There is some empirical support for the view that coercive powers undermine the development of effective voluntary services during emergency mental health crises. In Germany in 2011 and 2012, several landmark decisions by the Constitutional Court and Federal Supreme Court restricted the imposition of involuntary psychiatric treatment.Footnote 174 The restriction narrowed the grounds for intervention to ‘life-threatening emergencies’ only.Footnote 175 The court restrictions were based on Germany’s constitutional obligations as a signatory to the CRPD. According to Martin Zinkler, the resulting legal provisions led to ‘examples where clinicians put an even greater emphasis on consensual treatment and did not return to coercive treatment’.Footnote 176 There is some evidence that the changes resulted in lower rates of coercive treatment, although the study was small-scale.Footnote 177 Despite these findings, some adverse effects were reported, including a possible increase in ‘violent incidents’ at some services, which potentially increased the use of physical and mechanical restraint.Footnote 178 There is current evidence from mental health services that substituted decision-making by clinical staff occurs in general services, even outside the context of civil commitment. A study by Marion Freidl and colleagues, for example, examined how 588 patients experience decision making in community-based mental health services in six European countries.Footnote 179 The study investigated the ‘relationship between decision topic and involvement in the decision, satisfaction with it, and its subsequent implementation from both staff and patient perspectives’.Footnote 180 The researchers stated that service users ‘reported poorer involvement, satisfaction, and implementation in regard to treatment-related decisions’, and concluded that ‘clinicians may need to employ different interactional styles for different types of decisions to maximize satisfaction and decision implementation’.Footnote 181 It is not clear whether lawful coercion in inpatient and outpatient settings contributes to a broader culture of informal substituted decision-making in service provision. Yet civil commitment law could reasonably be seen to have numerous flow-on effects and consequences for individuals, including stymied decision-making skills, delayed recovery, passivity, learned helplessness and an increased dependence on services, all of which have significant individual and public implications.

4 The Competing Aims of Mental Health Law Blurs Decision-Making Processes

Mental health law is an unsound mechanism for distinguishing the reasons for and processes of substituted decision-making following emergency mental health crises. According to Moncrieff, the entwinement of the legal doctrines of police powers and parens patriae in mental health law, which have distinct ends, creates a destructive tension – the policing mandate presents a conflict of interest against the therapeutic role of the clinician.Footnote 182 The competing aims may also create confusion as to the rationale for substituted decision-making. The punitive or protective role of the authorised clinician or mental health tribunal adds yet another aim (preventive detention) to an already confusing decision-making process, where clinicians must make single decisions that also include consideration of resource constraints, access needs, treatment advice and individuals’ rights. For clinicians, the constituent motives for clinical decision-making can be exceedingly complex. John Brayley has argued that this motivational confusion often results in clinicians (and other service providers) prioritising risk-reduction for the service above the interests of the individual.Footnote 183 Decision-making processes become unclear with the blurring of resource concerns and support needs, thus generating confusion about which decisions are being made and for what reasons. In the guardianship context, Brayley argues that the confusion of decision-making motives creates a gap at the point where law meets policy, and the interests of the individual are potentially undermined because decision-makers are limited by the narrow set of service delivery options open to them.Footnote 184 This argument could be reasonably applied to mental health law.

5 The Medical Model Dominates in Mental Health Law

Mental health law gives precedence to the neurobiological model of mental health at the expense of other strategies for addressing mental health issues. The competing epistemological (and professional) responses to mental illness are important to consider. Throughout history, differing approaches to regulating coercive measures have related not just to cultural or legal traditions, but also to the variety of concepts and structures of professional intervention.Footnote 185 The medical model tends to view the problems facing people in crisis in individual, medicalised terms, rather than from a ‘systems perspective’, including where a person sits in the social context. A strong medical focus thus tends to concentrate attention upon isolated individuals, rather than on social and economic policies that enhance the capacity of communities, families and individuals to respond to mental health crises.

This is illustrated by the rise in the use of psychopharmacological treatment, which is an important feature of the curtailment of legal capacity in mental health law.Footnote 186 In Australian mental health law, Ian Freckelton and John Lesser have identified a ‘heavy emphasis on pharmacological management of serious mental illnesses’.Footnote 187 In relation to CTO use in the United States, Simon Stefan has characterised forced medication as the ‘core of outpatient commitment’,Footnote 188 and Marvin Schwartz and Chris Constanzo propose that outpatient commitment ‘already has or will become synonymous with forced medications’.Footnote 189 The side effects of neuroleptic drugs are well-documented.Footnote 190 Research indicates that side effects range from anticholinergic and antiadrenergic to neurologic (including endocrine disturbances), all of which can have serious and negative impacts on a person’s quality of life.Footnote 191 Many neuroleptic medications have permanent and serious possible side effects, including docility, passivity, diabetes, Parkinson’s-type symptoms, dental pathology, weight gain, and salivation and elocution problems.Footnote 192

The vocabulary of the medical model has implications for realising justice. As noted previously, it can draw the focus from collective responsibility by individualising issues of disability. The centrality of diagnosis in the operation of mental health law is important to consider, particularly given expanding categories of diagnosis in the past century. In 1952, the original American Psychiatric Association Diagnostic and Statistical Manual (‘DSM’) had 106 diagnoses.Footnote 193 The second edition of the DSM-IV in 2000 included 360.Footnote 194 Controversy surrounding the creation of the DSM-IV went beyond the expansion of diagnostic categorisation and included the well-documented influence of pharmaceutical corporations.Footnote 195 The latest iteration, DSM-5, has faced similar criticisms.Footnote 196 For example, the British Psychological Society’s division of clinical psychology has criticised the manual and called for abandoning its diagnostic categories altogether.Footnote 197 Lucy Johnstone, who co-authored the response by the division of clinical psychology, argued that ‘[t]here is now overwhelming evidence that people break down as a result of a complex mix of social and psychological circumstances – bereavement and loss, poverty and discrimination, trauma and abuse’.Footnote 198

The implications of a biomedical conceptualisation of extreme mental stress affect the operation of law. In a 2007 World Health Organisation study into mental health policy and practice across Europe, the authors argued that ‘[f]ar too much confidence has been placed in the brain disease model, which may compound rather than challenge the stereotypes of dangerousness and, particularly, incompetence’.Footnote 199 When the focus is narrowed to ‘risk’ at an individual level, the emphasis turns to personal responsibility and individual behavioural change, and relies on traditional coercive powers of public and mental health. Bernadette McSherry has written that ‘a simplistic, reductionist account of the causes of mental impairments brings with it the dangers of sanism and discrimination’.Footnote 200 Endorsement of a strong biological account of mental distress in mental health law may therefore impose further legal barriers to effective support.

6 Family, Friends, Partners and Other Informal Supporters Are Sidelined

Although there is a general lack of research into the effects of mental health law on interpersonal relationships,Footnote 201 there is some evidence to suggest that current legal and policy frameworks effectively exclude family members and other supporters. Most of the literature on families is medical in nature and centres on assessing the ‘burden of care’ placed on families, as well as the effectiveness of family interventions for treating mental illness.Footnote 202 In contrast, literature on contact between family and clinicians and on the effects of mental health law on informal supporters is limited. Notable exceptions suggest that families and other informal supporters often experience mental health law within a more general sense of being devalued and ignored in the mental health ‘system’.Footnote 203 Fleur Beaupert and Alikki Vernon examined the ‘role of carers in mental health tribunal processes and systems of mental health care’ in different Australian jurisdictions.Footnote 204 They found that ‘[f]oremost among concerns expressed by carers was the experience of being marginalized in the mental health care system’ as a whole.Footnote 205

Provisions in mental health law relating to families and other supporters differ in each jurisdiction and can have a significant impact on the supporter and service-user relationship.Footnote 206 For example, Lesser argued in 2004 that the Victorian Mental Health Review Boards were under no obligation to provide information to informal supporters of those subject to its decisions, and he identified a number of legal and practical barriers that prevent the board from involving supporters in hearings in meaningful ways.Footnote 207 The Victorian Law Reform Commission’s review of Victorian guardianship law noted that ‘some families have felt forced to apply for Guardianship Orders in order not to have mental health services exclude them from the treatment and care of their family member, and to have their role as advocates recognised’.Footnote 208

On the other hand, there remain legitimate concerns that individuals may require legal protection to prevent the unwanted involvement of family members and other informal supporters through, for example, provisions relating to privacy and confidentiality. The rights of those subject to mental health law may sometimes give rise to tension with the interests (and even rights) of families and other supporters.Footnote 209 However, in general, reports from people with psychosocial disabilities, and families and supporters, indicate that informal support networks are often overlooked by clinical substituted decision-makers who may not seek their counsel in decision-making processes or take into account the effect of particular treatment decisions upon those relationships.Footnote 210 Relationships are compromised between individuals and those in their support network where significant psychiatric interventions, regulated by mental health law, are decided upon without consideration of those relationships. Further, these relationships can be significantly affected where supporters are placed in coercive roles which effectively impose legal obligations on them to assist in implementing involuntary orders and engage in substituted decision-making.Footnote 211

7 Perverse Incentives to Use Coercive Mechanisms

Mental health law may inadvertently skew the distribution of institutional resources towards coercive mechanisms by focusing solely on the parameters for involuntary detention. This can result in compulsion becoming synonymous with much-needed access to support in a sector often beset by resource shortages. Clinicians may be faced with situations in which compulsion becomes the quickest avenue for necessary resource allocation. This has been a particular concern regarding the use of CTOs.Footnote 212

Community service providers and support agencies that wish clients to receive acute care services may also be inclined to exaggerate reporting to improve their chances for involuntary admission. Family, friends and other supporters may also be presented with similar incentives, where compulsion enables the supported person to access resources that would otherwise be unavailable to voluntary service users. Accounts such as the following appear regularly in the literature on family and other supporters concerned with civil commitment:

We weren’t so worried about actually making an order against D, we were wanting to make an order against the system. We wanted them to say: ‘The system must provide this man with some help’. And that was the major outcome we were after … You can’t just keep on letting this guy out of jail, not provide him with any supports and services, and not expect a bad thing to happen.Footnote 213

Where voluntary services are not available, interpersonal problems may arise when informal supporters seek out coercive care for their parent, friend, sibling, partner, adult son or daughter, and so on. Possibly this is an issue to be resolved by policy (and particularly budgetary considerations) and not law. Yet it could be argued that the law is creating an unintended negative consequence, which undermines its original intention to provide responses to worst-case scenarios.

E Conclusion

As previously noted, the listing of issues in this chapter is not exhaustive. Other concerns that could be listed include the increasing number of first-person accounts of trauma caused by coercive interventions; reports of sexual assault, harassment and other forms of abuse that people, especially women, experience in acute settings;Footnote 214 the situations of those who admit themselves who lack the ‘mental capacity’ to consent to admission and treatment and thus become de facto detained without procedural oversight (the so-called Bournewood gap);Footnote 215 and the overrepresentation of persons with psychosocial disabilities as victims of violence and abuse, for which mental health law offers little protection.Footnote 216 Instead, I have chosen to discuss major issues along the lines of rights, efficacy and other pragmatic matters, in order to investigate the potential contribution of the CRPD support framework.

The notion of ‘wise constraints’ has long been advanced by liberal philosophers such as John Locke as a means to enhance human freedom.Footnote 217 Locke’s idea captures the essential logic of those who defend the unusual coercive powers of mental health legislation: civil commitment can augment autonomy through prudent intervention to restore people to their normal selves, or it can restrict autonomy rights in order to uphold other rights – the right to life, to health, to physical and mental integrity. Where interventions are undertaken for public safety purposes, mental health law provides the ‘best of the worst’ ways to reduce harm caused by the peculiar consequences of mental illness, mental impairment, ‘madness’ and so on.

In other words, for doctors and lawmakers who endorse the need for separate, mental health-specific legislation, the ends of mental health law appear to justify the means. On this view, the suspension of principles of autonomy and non-discrimination are viewed as acceptable costs in the pursuit of timely treatment, procedural safeguards and public protection. Mental health law provides for the emergency powers needed to intervene during extreme mental health crises – emergency powers that have been refined over decades of trial and error, and developed through entrenched infrastructure for the regulation and oversight of coercive intervention. This view has been adopted by governments in all jurisdictions considered by this book, irrespective of the apparent divergence between the CRPD and mental health law.

However, even if the human rights issues identified in this chapter are set aside, can it be said that society as a whole is better served by the powers of mental health law? Is greater protection for citizens achieved by restrictions under mental health law on the movement and decisions of certain individuals who may pose harm to others? The claim that such powers are necessary appears to rest on justifications that have been challenged by a growing body of evidence. Indeed, the literature suggests that the public protection measures contained in mental health law are overblown, ineffective and unreasonable, particularly when tied to a diagnosis of mental disorder. This would suggest that the ‘risk of harm to others’ justification is informed by disability-based prejudice, or ‘sanism’ as Perlin has termed it.Footnote 218 As for the protection of people from themselves, can it be said that the present legal system is actually protecting people with psychosocial disability from harming themselves, even in acute crisis?Footnote 219 Again, the literature does not support this view. Therefore, even if one accepts that at least some crises warrant coercive intervention of some kind, the aim of preventing the risk of harm to self or others appears to be ill-served by mental health legislation.

The second primary function of mental health law identified at the beginning of this chapter, ensuring access to support, returns even more troubling results. On this point, the literature is unequivocal: mental health law does not effectively ensure timely voluntary access to support for those in crisis. The lopsided focus on ‘negative rights’ in rights-based legalism – or the narrow application of ‘positive rights’ to involuntary intervention only – appears to hinder this function of mental health law. The impasse then contributes significantly to the common experience of people with psychosocial disabilities, who see themselves as being stuck in a ‘binary system of self-sufficiency versus enforced dependence’.Footnote 220 This ‘binary system’ can be explained not just by a lack of resources, but by the design of mental health legislation itself.

The third and final major function of mental health law discussed here is the need to ensure procedural safeguards for persons subject to civil commitment. Arguably, the push for improved procedural protections is compromised from the outset by the apparent failure of the first two major functions of mental health law. Such safeguards appear to command disproportionate attention and resources, and detract from a focus on substantive rights and the provision of (voluntary) treatment and support more generally. Consider the significant costs of administering and regulating CTOs, a cost that could be reinvested in achieving positive rights, for example, via personal advocacy services.Footnote 221 Nevertheless, the regulatory function of mental health law continues to provide perhaps the most compelling case to a range of academics, service providers, lawyers, government agencies and others on the need to retain it. It is noteworthy that this justification does not appear to be shared by prominent commentators with lived experience of mental health issues or by representative service user and survivor organisations,Footnote 222 as well as prominent UN human rights agencies. Indeed, existing safeguards and rights protections were not developed with the active participation of those whose rights are deemed to need safeguarding. Instead, it appears that in all of the jurisdictions considered by this book, it is clinicians, lawyers and service providers who have taken a more prominent role in developing procedural safeguards than service users themselves.Footnote 223

The concerns outlined above paint a general picture of some of the drawbacks to current mental health law. It seems obvious, when reflecting on the major issues in mental health law overall, that there is clearly a need for a practical and conceptual evaluation of any proposed change to such law, with as much consideration as possible given to the full range of potential downsides or negative flow on effects. Appelbaum concluded his treatise on the history of mental health law reform in the second half of the twentieth century by observing that ‘[i]f generalization is possible across these very disparate areas of law, our conclusion must be that the consequences of reform were much more limited than partisans on either side anticipated’.Footnote 224 In a similar vein, Brendan Kelly observed that many of the deficits in securing the rights of persons with disabilities

relate not to the content of declarations of rights (such as the CRPD) or to the specific provisions of legislation (such as mental health and capacity legislation), but to a profound failure to observe laws, implement policy and realise agreed principles in the day-to-day lives of persons with disabilities and mental disorder, resulting in systematic denial of rights, social exclusion and political disempowerment.Footnote 225

Or consider Tom Burns’s (quite extraordinary) statement about the way practicing psychiatrists engage with mental health law: ‘[F]ew, if any, clinicians ever read the details of legislation. Most familiarise themselves “on the job” with the mechanics of those parts of the Act they regularly use. They learn what they have to sign and complete in order to achieve what they have already clinically decided on’.Footnote 226 This is not to disparage law reform efforts. Instead, these observations suggest that it is important to be circumspect about our expectations of what law reform can deliver, or to consider the mechanisms required to ensure the effective implementation of law. Further, acknowledging the limitations of past reform efforts encourages the careful evaluation of new ideas for promoting substantive equality for persons with psychosocial disability, including the support framework of the CRPD itself.

Footnotes

1 J Ellard, ‘The Madness of Mental Health Acts’ (1990) 24 Australian and New Zealand Journal of Psychiatry 167, 174.

2 B McSherry (ed), International Trends in Mental Health Laws (Federation Press, 2008) 1.

3 L Gostin, Public Health Law and Ethics: A Reader (University of California Press, 2nd ed, 2010) v.

4 Footnote Ibid. An example of arbitrating special rules of citizenship is with regard to the right to drive a car, which can be restricted under certain mental health statutes. Another relates to restrictions on where to live. See, e.g., Mental Health Act 1986 (Vic) s 14(3)(b).

5 HK Jagodic et al., ‘Involuntary Treatment Is Better than No Treatment’ (2008)18(4) European Neuropsychopharmacol 568.

6 See A Nilsson, ‘Objective and Reasonable? Scrutinising Compulsory Mental Health Interventions from a Non-discrimination Perspective’ (2014) 14 Human Rights Law Review 459; T Minkowitz, ‘The United Nations Convention on the Rights of Persons with Disabilities and the Right to Be Free from Non-consensual Psychiatric Interventions’ (2007) 34(2) Syracuse Journal of International Law and Commerce 405; Juan E Méndez, Special Rapporteur, Report of the Special Rapporteur on Torture and Other Cruel, Inhuman or Degrading Treatment or Punishment, 22nd sess, UN Doc A/HRC/22/53 (1 February 2013) para 64.

7 WJ Spaulding, ‘Mapping the “New Legalism” of English Mental Health Law’ (1989) 17(2) The Journal of Law, Medicine and Ethics 187.

8 Convention on the Rights of Persons with Disabilities, opened for signature 30 March 2007, Doc.A/61/611 (entered into force 3 May 2008).

9 J Peay (ed), Seminal Issues in Mental Health Law (Ashgate, 2005) xvi.

10 In 2002, the Health and Consumer Protection Directorate-General of the European Commission cited an earlier study to describe involuntary commitment in the following terms: ‘[a] complex set of still poorly understood legal, political, economic, social, medical and multiple other factors seems to interact in the process of involuntary placement’. European Commission, Health and Consumer Protection Directorate-General, ‘Compulsory Admission and Involuntary Treatment of Mentally Ill Patients – Legislation and Practice in EU Member States’ (Central Institute of Mental Health, Mannheim, Germany, 15 May 2002).

11 See, generally, Peay above Footnote n 9.

12 M Jones and LA Basser-Marks, ‘The Limitations on the Use of Law to Promote Rights: An Assessment of the Disability Discrimination Act 1992’ in M Haurit, C Sampford and S Blencowe (eds), Justice for People with Disabilities – Legal and Institutional Issues (Federation Press, 1998).

13 See, e.g., M Maroto and D Pettinicchio, ‘The Limitations of Disability Antidiscrimination Legislation: Policymaking and the Economic Well-being of People with Disabilities’ (2014) 36(4) Law & Policy 370.

14 M Donnelly, ‘From Autonomy to Dignity: Treatment for Mental Disorders and the Focus for Patient Rights’, in McSherry (ed), above Footnote n 2, 38.

15 Some mental health legislation refers to mental ‘disorder’ for the purposes of the legislation. See, e.g., Mental Health Act 2007 (England and Wales) c 12, Ch. 1 s (1)(2). For the sake of simplicity, when referring to relevant criteria for mental health law, I will refer to ‘mental illness’.

16 J Laing, ‘Coercive Care: Rights, Law and Policy’ (2015) Medical Law Review (online) <https://academic.oup.com/medlaw/article-abstract/24/2/297/2413144/Coercive-Care-Rights-Law-and- Policy?redirectedFrom=PDF>.

17 See Mental Health Act 2016 (Qld) s 12(1)(b); Mental Health Act 2013 (Tas) s 40(e); Mental Health Act 2014 (WA) ss 25(1)(c), (2)(c). For analysis of these laws in light of the CRPD, see SM Callaghan and C Ryan, ‘An Evolving Revolution: Evaluating Australia’s Compliance with the Convention on the Rights of Persons with Disabilities in Mental Health Law’ (2016) 39(2) University of New South Wales Law Journal 596.

18 RE Ashcroft, A Dawson, H Draper and JR McMillan (eds), Principles of Health Care Ethics (Wiley, 2nd ed, 2007) 347. See also, generally, P Appelbaum, CW Lidz and A Meisel, Informed Consent: Legal Theory and Clinical Practice (Oxford University Press, 1987). A large body of evidence supports the view that autonomous choice is a valued ideal. See R Young, ‘The Value of Autonomy’ (1982) 32(126) The Philosophical Quarterly 35; J Christman, ‘Autonomy, Self-Knowledge, and Liberal Legitimacy’ in J Christman and J Anderson (eds), Autonomy and the Challenges to Liberalism: New Essays (Cambridge University Press, 2005) 330.

19 Re T [1993] Fam 95, 102–3 (Lord Donaldson).

20 See, e.g., General Medical Council, ‘GMC Consent Guidance: Patients and Doctors Making Decisions Together’ (2008) <www.gmc-uk.org>.

21 For Canada, see Nancy B v HôtelDieu Québec (1992) 86 DLR (4th) 385, 390–2 (Dufour J) (Quebec Superior Court); Malette v Shulman (1990) 67 DLR (4th) 321, 328 (Robins JA) (Ontario Court of Appeal). For English and Welsh law, see Airedale NHS Trust v Bland [1993] AC 789, 857 (Lord Keith), 864 (Lord Goff); Re T [1993] Fam 95, 102–3 (Lord Donaldson); Re MB [1997] 2 FLR 426, 432 (Butler-Sloss LJ); Re B [2002] 2 All ER 449, 455–6 [16]–[21] (Dame Butler-Sloss P). In Australia, see H Ltd v J (2010) 107 SASR 352, 364–9 [33]–[46] (Kourakis J); Hunter and New England Area Health Service v A (2009) 74 NSWLR 88, 91–2 [9]–[15] (McDougall J). In New Zealand, see Auckland Area Health Board v Attorney General [1993] 1 NZLR 235, 245 (Thomas J).

22 SJ Morse, ‘Crazy Behavior, Morals, and Science: An Analysis of Mental Health Law’ (1997) 51 Southern California Law Review 653. Peay describes Morse’s argument as a ‘powerful case for the abolition of mental health law’. Peay, above n 9, xvii.

23 T Campbell, ‘Mental Health Law: Institutionalised Discrimination’ (1994) 28 Australian and New Zealand Journal of Psychiatry 554, 556.

25 J Dawson and G Szmukler, ‘Fusion of Mental Health and Incapacity Legislation’ (2006) 188 The British Journal of Psychiatry 504.

26 J Moncrieff, ‘The Politics of a New Mental Health Act’ (2003) 183 The British Journal of Psychiatry 8.

27 S Rosenman, ‘Mental Health Law: An Idea Whose Time Has Passed’ (1994) 28 Australian and New Zealand Journal of Psychiatry 561, 562.

28 B Winick, ‘The Side Effects of Incompetency Labelling and the Implications for Mental Health’ (1995) 1 Psychology Public Policy and Law 6.

30 M Bach, J Anweiler and C Crawford, Coming Home – Staying Home, Legal Research: Supported Decision-making and the Restriction of Guardianship (The Roeher Institute, 1994).

31 F Morrissey, ‘The United Nations Convention on the Rights of Persons with Disabilities: A New Approach to Decision-Making in Mental Health Law’ (2012) 19 European Journal of Health Law 423, 428. The notion of social inclusion and integration was established at the World Summit for Social Development in March 1995, and was designed with the aim of creating an inclusive society. An inclusive society was stated as being ‘based on respect for all human rights and fundamental freedoms, cultural and religious diversity, social justice and the special needs of vulnerable and disadvantaged groups, democratic participation and the rule of law’. UN, Report of the World Summit for Social Development, UN Doc A/CONF.166/9 (19 April 1995) 68 [66].

32 See Chapter 2, Section D. See, generally, M Dudley, D Silove and F Gale, Mental Health and Human Rights – Vision, Praxis, and Courage (Oxford University Press, 2012); P Bartlett, O Lewis and O Thorold, Mental Disability and the European Convention on Human Rights (Martinus Nijhoff, 2007) vol 10. B McSherry and P Weller (eds), Rethinking Rights-Based Mental Health Laws (Hart, 2010); Morrissey, above Footnote n 31, 423.

33 CRPD art 3.

34 Footnote Ibid., art 14(1)(b).

35 Footnote Ibid., art 17. See, generally, A Kämpf, ‘Involuntary Treatment Decisions: Using Negotiated Silence to Facilitate Change?’ in McSherry and Weller, above Footnote n 32, 141.

36 CRPD art 25(d).

37 Footnote Ibid., art 12(2). See Chapter 2, Section C(2).

38 See Chapter 2, Section D.

39 Committee on the Rights of Persons with Disabilities, General Comment No 1: Article 12: Equal Recognition Before the Law, 11th sess, UN Doc CRPD/C/GC/1 (19 May 2014) 11 [42].

40 Footnote Ibid. 4 [22].

41 Méndez, above Footnote n 6, para 64; see also Minkowitz, above Footnote n 6, 405.

42 Elsewhere in the report, Méndez states that ‘involuntary treatment and other psychiatric interventions in health-care facilities are forms of torture and ill-treatment’ and urges the ‘revision of domestic legislation allowing for forced interventions. Mendez, above Footnote n 6, para 64.

43 Minkowitz, above Footnote n 6.

44 Méndez, above Footnote n 6, para 66.

45 For more on the differentiation between the universal and functional view of legal capacity, see Chapter 4, Section B(1); Chapter 5, Section B.

46 Méndez, above Footnote n 6, para 69.

47 Juan E Méndez, Special Rapporteur, ‘Statement by Mr Juan E Méndez Special Rapporteur on Torture and Other Cruel, Inhuman or Degrading Treatment or Punishment’, 22nd sess (4 March 2013) 5 <www.ohchr.org>.

48 Human Rights Committee, above Footnote n 48, [19]; World Health Organisation, above Footnote n 48.

49 Méndez, above Footnote n 6, para 68.

50 See, e.g., N Rose, ‘Unreasonable Rights: Mental Illness and the Limits of the Law’ (1985) 12(2) Journal of Law and Society 210; DA Treffert, ‘Dying With Your Rights On’, Paper presented at the 127th annual APA meeting, 1974.

51 This definition was drawn from the Victorian Law Reform Commission. See Victorian Law Reform Commission, Guardianship: Final Report 24 (2012) 540 n115 <www.lawreform.vic.gov.au>. For statutory definitions of ‘special measures’, see, e.g., Charter of Human Rights and Responsibilities Act 2006 (Vic) s 8(4); Equal Opportunity Act 2010 (Vic) s 12.

52 T Burns and D Rose, ‘How Can the Service User Voice Be Best Heard at Psychiatric Meetings?’ (2013) 203(2) The British Journal of Psychiatry 88.

53 J Craigie and L Bortolotti, ‘Rationality, Diagnosis, and Patient Autonomy in Psychiatry’ in JZ Sadler, K Fulford and C Werendly van Staden (eds), Oxford Handbook of Psychiatric Ethics (Oxford University Press, 2015).

54 This question has been the subject of considerable controversy in courts throughout the world. See T Grisso and PS Appelbaum, ‘The MacArthur Treatment Competence Study. III: Abilities of Patients to Consent to Psychiatric and Medical Treatments’ (2005) 19(2) Law and Human Behavior 149, 171.

55 PS Appelbaum and T Grisso, ‘The MacArthur Treatment Competence Study: I. Mental Illness and Competence to Consent to Treatment’ (1995) 19 Law and Human Behavior 105.

56 Appelbaum and Grisso found that ‘half of the schizophrenia group and 76% of the depression group performed in the “adequate” range … across all decision-making measures, and a significant portion performed at or above the mean for persons without mental illness. When performance on a single measure is examined, as may be relevant, for example, in jurisdictions that have adopted only an understanding standard for legal competence, the rate of adequate performance rose to roughly 75% for patients with schizophrenia and to approximately 90% or more for patients with depression. Thus, the justification for a blanket denial of the right to consent to or refuse treatment for persons hospitalized because of mental illness cannot be based on the assumption that they uniformly lack decision-making capacity’. Footnote Ibid. 171.

57 It was even found that some individuals accepting treatment voluntarily did not have the mental capacity to consent to it. However, Appelbaum and Grisso did argue that the higher frequency of ‘deficiencies in decision-making abilities in patients with schizophrenia, and to a lesser extent in patients with depression, may justify differences in the ways in which consent to treatment for mental illness and for medical illness are handled’. Grisso and Appelbaum, above Footnote n 56, 149, 171 (emphasis added).

60 The same conclusion was drawn in similar studies. For example, Okai and colleagues undertook a meta-analysis and found that ‘the majority of psychiatric in-patients are capable of making treatment decisions’, although ‘psychosis, severity of symptoms, involuntary admission and treatment refusal were the strongest risk factors for incapacity’. D Okai et al., ‘Mental Capacity in Psychiatric Patients: A Systematic View’ (2007) 191 The British Journal of Psychiatry 291.

61 See Chapter 1, Section C(2).

62 See Chapter 4, fn 271.

63 For example, the white paper that preceded significant reforms to the Mental Health Act 1983 (England and Wales) described a new era of mental health law in which ‘concerns of risk will always take precedence, but care and treatment provided under formal powers should otherwise reflect the best interests of the patient’. Department of Health (United Kingdom), Reforming the Mental Health Act (Stationery Office, 2000). As Szmukler noted, the foreword to the white paper, which promised the ‘“biggest shake up in mental health legislation for four decades” is signed by both the health and the home secretaries, and half the paper is devoted to “high risk patients”’. G Szmukler, ‘A New Mental Health (and Public Protection) Act: Risk Wins in the Balance between Providing Care and Controlling Risk’ (2001) 322(7277) British Medical Journal 2.

64 P Fennell, ‘Institutionalising the Community: The Codification of Clinical Authority and the Limits of Rights-Based Approaches’ in McSherry and Weller, above n 32, 13, 19.

65 See Chapter 3, Section C(1).

66 G Szmukler and F Holloway, ‘Mental Health Legislation Is Now a Harmful Anachronism’ (1998) 22 Psychiatric Bulletin 662, 663–4.

67 MF Abramson, ‘The Criminalization of Mentally Disordered Behavior: Possible Side Effect of a New Mental Health Law’ (1972) 23 Hospital and Community Psychiatry 101.

68 J Peterson et al., ‘Analyzing Offense Patterns as a Function of Mental Illness to Test the Criminalization Hypothesis’ (2010) 61(12) Psychiatric Services 324, nn 11, 12 and 13.

69 Footnote Ibid. See also WH Fisher, E Silver and N Wolff, ‘Beyond Criminalization: Toward a Criminologically Informed Framework for Mental Health Policy and Services Research’ (2006) 33 Administration and Policy in Mental Health and Mental Health Services Research 544; J Bonta, M Law and K Hanson, ‘The Prediction of Criminal and Violent Recidivism among Mentally Disordered Offenders: A Meta-analysis’ (1998) 123 Psychological Bulletin 123; J Junginger, K Claypoole and R Laygo, ‘Effects of Serious Mental Illness and Substance Abuse on Criminal Offense’ (2006) 57 Psychiatric Services 879.

70 B McSherry, Managing Fear: The Law and Ethics of Preventive Detention and Risk Assessment (Routledge, 2013) 55; see Junginger et al., above n 69; JK Peterson et al., ‘Comparing the Offense Patterns of Offenders with and without Mental Disorder: Exploring the Criminalization Hypothesis’ (2012) 61(12) Psychiatric Services 1217.

71 For epidemiological data from the United Kingdom, see Donnelly, above Footnote n 14. See also, J Swanson et al., ‘Violence and Psychiatric Disorder in the Community: Evidence from the Epidemiologic Catchment Area Surveys’ in Violent Behaviour and Mental Illness (American Psychiatric Association, 1990) 20; E Walsh and T Fahy, ‘Violence in Society: Contribution of Mental Illness Is Low’ (2002) 325(7363) British Medical Journal 507.

72 C Wallace, PE Mullen and P Burgess, ‘Criminal Offending in Schizophrenia over a 25 Year Period Marked by Deinstitutionalisation and Increasing Prevalence of Comorbid Substance Use Disorders’ (2004) 172(6) American Journal of Psychiatry 477; C Wallace et al., ‘Serious Criminal Offending and Mental Disorder’ (1998) 172(6) British Journal of Psychiatry 477.

73 P Mullen, ‘Schizophrenia and Violence: From Correlations to Preventive Strategies’ (2006) 12 Advances in Psychiatric Treatment 239.

76 S Fazel et al., ‘Schizophrenia, Substance Abuse, and Violent Crime’ (2009) 301(19) Journal of the American Medical Association 2016.

80 C Ryan, ‘Capacity as a Determinant of Non-consensual Treatment of the Mentally Ill in Australia’ (2011) 18(2) Psychiatry, Psychology and Law 248; C Ryan and S Callaghan, ‘Rising to the Human Rights Challenge in Compulsory Treatment – New Approaches to Mental Health Law in Australia’ (2012) 46(7) Australian and New Zealand Journal of Psychiatry 611.

81 G Szmukler, R Daw and J Dawson, ‘A Model Law Fusing Incapacity and Mental Health Legislation’ (2010) 20 Journal of Mental Health Law 11, 12.

82 ML Perlin, ‘International Human Rights Law and Comparative Mental Disability Law: The Universal Factors’ (2007) 34(2) Syracuse Journal of International Law and Commerce 333, 337.

85 See Chapter 2, Section B.

86 Victorian Law Reform Commission, Guardianship: Final Report 24 (2012) para 24.40 <www.lawreform.vic.gov.au>.

89 See above Chapter 1, Section C.

90 McSherry and Weller, above Footnote n 32, 6; G Quinn, ‘The United Nations Convention on the Rights of Persons wth [sic] Disabilities – Towards a Unified Field Theory of Disability’ (presentation paper) Indian Law Society, G. V. Pandit Memorial Oration, Pune, India, October 2009) 11 <www.nuigalway.ie>.

91 ML Perlin, ‘“You Have Discussed Lepers and Crooks”: Sanism in Clinical Teaching’ (2003) 9(2) Clinical Law Review 683, 699. See also G Browne and M Hemsley, ‘Consumer Participation in Mental Health in Australia: What Progress Is Being Made?’ (2008) 16(6) Australasian Psychiatry 446.

92 For example, the World Network of Users and Survivors of Psychiatry made the following argument in the early development of the CRPD, rejecting the mitigating value of procedural protections in mental health legislation: ‘We reject any suggestion that procedural safeguards may suffice to mitigate the human rights violations consisting of deprivation of liberty based on disability or forced interventions’. World Network of Users and Survivors of Psychiatry, ‘Position Paper for the 3rd Meeting of the Ad Hoc Committee’ <www.un.org>; see also M O’Hagan, ‘Legal coercion: the elephant in the recovery room’, Scottish Recovery Network, 2002 <www.scottishrecovery.net>; Minkowitz, above Footnote n 6; D Webb, ‘A New Era in Disability Rights; A New Human Rights Charter Plus a New United Nations Convention’, Insane Australia <www.thinkingaboutsuicide.org>.

93 See Chapter 2, Section D. Cf World Health Organisation, Comprehensive Mental Health Action Plan 2013–2020 (2013) 6; Human Rights Committee, Promotion and protection of all human rights, civil, political, economic, social and cultural rights, including the right to development, 32nd sess, UN Doc A/HRC/32/L.26 (adopted 29 June 2016) [2].

94 B Hale, ‘Justice and Equality in Mental Health Law: The European Experience’ (2007) 30(1) International Journal of Law and Psychiatry 18, 19. Richardson has observed that ‘[t]he priority afforded to each of these goals will vary between jurisdictions and across time, but they are all likely to play some part in the design of most mental health legislation’. G Richardson, ‘Balancing Autonomy and Risk: A Failure of Nerve in England and Wales?’ (2007) 30 International Journal of Law and Psychiatry 72; see also, G Richardson, ‘Reforming Mental Health Laws: Principle or Pragmatism?’ (2001) 54 Current Legal Problems 415; G Richardson, ‘Involuntary Treatment: Search for Principles’ in K Diesfeld and I Freckelton (eds), Involuntary Detention and Therapeutic Jurisprudence (Aldershot, 2003) 54.

95 See, e.g., D Mossman, ‘The Imperfection of Protection through Detection and Intervention. Lessons from Three Decades of Research on the Psychiatric Assessment of Violence Risk’ (2009) 30 Journal of Legal Medicine 109, 139–40; P Appelbaum, ‘Violence and Mental Disorders: Data and Public Policy’ (2006) 163 American Journal of Psychiatry 1319.

96 Mossman, above Footnote n 95.

98 Footnote Ibid. 139–40.

99 Appelbaum, above Footnote n 95.

100 AD Pokorny, ‘Prediction of Suicide in Psychiatric Patients’ (1983) 40 Archives of General Psychiatry 249.

101 JY Dong, TP Ho and CK Kan, ‘A Case-Control Study of 92 Cases of In-Patient Suicides’ (2005) 87(1) Journal of Affective Disorder 91.

102 M Large et al., ‘Meta-Analysis of Longitudinal Cohort Studies of Suicide Risk Assessment among Psychiatric Patients: Heterogeneity in Results and Lack of Improvement Over Time’ (2016) 11(6) PLoS ONE.

103 D Webb, Thinking About Suicide: Contemplating and comprehending the urge to die (PCCS, 2010) 170.

104 D Leader, ‘How Psychiatry Became a Damage Limitation Exercise’ (op-ed) The Guardian 22 June 2011 <www.theguardian.com>. Cf L Appleby and H Griffiths, ‘Our Mental Health Service Is Far from Crisis, It’s a World Leader’ (op-ed) The Guardian 29 June 2011 <www.theguardian.com>.

105 J Chen, ‘A Handful of Doctors Are Working to Revolutionize How We Think About Self-Harm’, GOOD, 20 April 2016 <www.good.is>.

106 S Stefan, Rational Suicide, Irrational Laws: Examining Current Approaches to Suicide in Policy and Law (Oxford University Press, 2016) xxi.

108 See Appleby and Griffiths, above Footnote n 104.

109 Stefan, above Footnote n 108, 119 (emphasis added).

111 McSherry and Weller, above Footnote n 32, 6.

112 See LO Gostin, ‘Perspectives on Mental Health Reforms’ (1983) 10 Journal of Law and Society 47; LO Gostin, ‘The Ideology of Entitlement: The Application of Contemporary Legal Approaches to Psychiatry’ in P Bean (ed), Mental Illness: Changes and Trends (Wiley, 1983) 27.

113 Quinn, above Footnote n 90, 11.

114 J Peay (ed), Seminal Issues in Mental Health Law (Ashgate, 2005) xvii.

115 M Maj, ‘Physical Health Care in Persons with Severe Mental Illness: A Public Health and Ethical Priority’ (2009) 8 World Psychiatry 1.

116 N Rose, ‘Unreasonable Rights: Mental Illness and the Limits of the Law’ (1985) 12(2) Journal of Law and Society 199.

119 Spaulding has argued that the conceptual confusion arising from competing ‘understanding(s) of the relationship between liberty and mental disorder’ introduces an added complexity to the already nuanced field of mental health law. WJ Spaulding, ‘Mapping the “New Legalism” of English Mental Health Law’ (1989) 17(2) The Journal of Law, Medicine and Ethics 187.

120 P Weller, ‘Lost in Translation: Human Rights and Mental Health Law’ in McSherry and Weller, above Footnote n 32, 51.

121 Rose, above Footnote n116, 215.

122 See D Kennedy, ‘The International Human Rights Movement: Part of the Problem?’ (2002) 14 Harvard Human Rights Law Journal 101.

123 Rose, above Footnote n 116, 215. Weller has argued that the CRPD represents a ‘quiet revolution’ in international human rights law, which does more than any other UN Convention before it to recognise ‘the indivisible and interdependent nature of all human rights’, with particularly strong provisions for substantive rights. P Weller, ‘Human Rights and Social Justice: The Convention on the Rights of Persons with Disabilities and the Quiet Revolution in International Law’ (2009) 4 Public Space: The Journal of Law and Social Justice 74.

124 International Disability Alliance, ‘Letter on Functional Capacity to the CRPD Committee’ (2010) <www.internationaldisabilityalliance.org>.

125 See Chapter 1, Section C(1). See also S Khurmi and M CurticeThe supervised community treatment order and the Human Rights Act 1998’ (2010) 16 Advances in Psychiatric Treatment 263.

126 S Kisely and L Campbell, ‘Compulsory community and involuntary outpatient treatment for people with severe mental disorders’ (2015) 41 Schizophrenia Bulletin 542.

127 T Burns et al., ‘Community Treatment Orders for Patients with Psychosis (OCTET): A Randomised Controlled Trial’ (2013) 381(9878) The Lancet 1627.

129 Cited in S Manning, ‘Psychiatric Asbos” Were an Error Says Key Advisor’, The Independent, 14 April 2013.

130 SR Kisely, LA Campbell LA and NJ Preston, ‘Compulsory Community and Involuntary Outpatient Treatment for People with Severe Mental Disorders’ (2011) 2 Cochrane Database Systematic Review.

134 A Molodynski, J Rugkasa and T Burns, ‘Coercion and Compulsion in Community Mental Health Care’ (2010) 95 British Medical Bulletin 117.

135 E Light et al., ‘Out of Sight, Out of Mind: Making Involuntary Community Treatment Visible in the Mental Health System’ (2012) 196(9) Medical Journal of Australia 591. See also, R Churchill et al., International Experiences of Using Community Treatment Orders (Department of Health and Institute of Psychiatry, King’s College London, 2007) <www.dh.gov.uk>; AJ O’Brien, BG McKenna and RR Kydd, ‘Compulsory Community Mental Health Treatment: Literature Review’ (2009) 46 International Journal of Nursing Studies 1245; Kisely, Campbell and Preston, above Footnote n 130.

136 SP Segal and P Burgess, ‘Conditional Release: A Less Restrictive Alternative to Hospitalization?’ (2006) 57(11) Psychiatric Services 1600.

137 SP Segal and P Burgess, ‘Effect of Conditional Release from Hospitalization on Mortality Risk’ (2006) 57(11) Psychiatric Services 1607.

138 S Johnson, ‘Can We Reverse the Rising Tide of Compulsory Admissions?’ (2013) 381(9878) The Lancet 1603.

139 R Heun, S Dave and P Rowlands, ‘Little Evidence for Community Treatment Orders – a Battle Fought with Heavy Weapons’ (2016) 40 BJPsych Bulletin 115.

140 Footnote Ibid 117.

141 Fennell, above Footnote n 64.

142 See Chapter 1, fn 14.

143 Weller, above Footnote n 120, 51.

144 PS Appelbaum, Almost a Revolution: Mental Health Law and the Limits of Change (Oxford University Press, 1994) 212.

145 Australian Human Rights and Equal Opportunity Commission, Human Rights and Mental Illness: Report of the National Inquiry into the Human Rights of People with Mental Illness (Australian Government Publishing, 1993) vol 1, 40.

146 Moncrieff, above Footnote n 26.

148 PS Appelbaum, ‘Assessing Kendra’s Law: Five Years of Outpatient Commitment in New York’ (2005) 56 Psychiatric Services 791.

149 See E Goode and J Healy, ‘Focus on Mental Health Laws to Curb Violence Is Unfair, Some Say’, The New York Times 31 January 2013 <www.nytimes.com>; Bazelon Center, ‘Wrong Focus: Mental Health in the Gun Safety Debate’ (Press Release, 17 April 2013) <www.bazelon.org>.

150 J Peay, ‘Personality Disorder and the Law: Some Awkward Questions’ (2011) 18(3) Philosophy, Psychiatry, and Psychology 231, 235.

151 See Donnelly, above Footnote n 14, 41; see also A Zigmond and AJ Holland, ‘Unethical Mental Health Law: History Repeats Itself’ (2000) 49 Journal of Mental Health Law 53.

152 Disability Representative, Advocacy, Legal and Human Rights Organisations Australia, Disability Rights Now: Civil Society Report to the United Nations Committee on the Rights of Persons with Disability (2012) 15 <www.disabilityrightsnow.org.au>.

153 Footnote Ibid. The ‘shadow report’ refers to a compliance report submitted to the Committee on the Rights of Persons with Disabilities under the terms of the CRPD. The shadow report is compiled by civil society representatives, particularly disability people’s organisations, and submitted alongside a government’s report.

154 PR Breggin, Coercion of Voluntary Patients in an Open Hospital’ (1964) 10 Archives of General Psychiatry 173.

155 R Bingham, ‘The Gap Between Voluntary Admission and Detention In Mental Health Units’ (2012) 38 Journal of Medical Ethics 281.

158 Department of Health, Code of Practice, Mental Health Act 1983 (The Stationery Office, 2015) 116.

159 Bingham, above Footnote n 157, 281.

160 A Rogers, ‘Coercion and “Voluntary” Admission: An Examination of Psychiatric Patient Views’ (1993) 11(3) Behavioral Sciences and the Law 259.

163 T Lambert, B Singh and M Patel, ‘Community Treatment Orders and Antipsychotic Long-Acting Injections’ (2009) 52 British Journal of Psychiatry Supplement s57.

164 D Webb, ‘An New Era in Disability Rights; A New Human Rights Charter Plus a New United Nations Convention’ Insane Australia, n.d. <www.thinkingaboutsuicide.org>.

165 S Herr, ‘Self-determination, Autonomy, and Alternatives to Guardianship’, in S Herr, LO Gostin and H Hong-Ju Koh (eds), The Human Rights of Persons with Intellectual Disabilities (Oxford University Press, 2003) 432.

166 E Light et al., ‘Community Treatment Orders in Australia: Rates and Patterns of Use’ (2012) 20(6) Australasian Psychiatry 478–82.

167 G Patel, ‘Community Treatment Orders in Victoria: A Clinico-ethical Perspective’ (2008) 16(5) Australasian Psychiatry 340, 341.

171 See Chapter 3, Section C(3).

172 P Campbell, ‘Peter Campbell’s story’, in A Brackx and C Grimshaw (eds), Mental Health Care in Crisis (Pluto Press, 1989) 13.

174 Federal Constitutional Court (Germany), Press Office – Press Release No 28/2011 of 15 April 2011, Order of 23 March 2011, 2 BvR 882/09.

176 M Zinkler, ‘Germany without Coercive Treatment in Psychiatry: A 15 Month Real World Experience’ (2016) 5(1) Laws 15.

177 E Flammer and T Steinert, ‘Involuntary Medication, Seclusion, and Restraint in German Psychiatric Hospitals after the Adoption of Legislation in 2013’ (2015) 6 Frontiers in Psychiatry 153.

178 Zinkler, above Footnote n 176.

179 M Freidl et al., ‘Effects of Clinical Decision Topic on Patients’ Involvement In and Satisfaction with Decisions and Their Subsequent Implementation’ (2016) 67(6) Psychiatric Services 658.

182 Moncrieff, above Footnote n 26.

183 J Brayley, ‘Supported Decision Making in Australia: Presentation Notes’ (Presentation to the Victorian Offices of the Public Advocate and the Law Reform Commission, Melbourne, 14 December 2009) 9 <www.opa.sa.gov.au>.

185 European Commission Health and Consumer Protection Directorate-General, Compulsory Admission and Involuntary Treatment of Mentally Ill Patients – Legislation and Practice in EU Member States (Central Institute of Mental Health, 2002) 2.

186 H Verdoux, M Tournier and B Bégaud, ‘Antipsychotic Prescribing Trends: A Review of Pharmaco-epidemiological Studies’ (2010) 121 Acta Psychiatrica Scandanavica 4.

187 I Freckelton and J Lesser, ‘Detention, Decisions and Dilemmas: Reviewing Involuntary Detention and Treatment into the 21st Century’ (2003) 10(1) Psychiatry, Psychology and Law v.

188 S Stefan, ‘Preventative Commitment: The Concepts and the Pitfalls’ (1987) 11(4) Mental and Physical Disability Law Reporter 288.

189 SJ Schwartz and CE Costanzo, ‘Compelling Treatment in the Community: Distorted Doctrines and Violated Values’ (1987) 20 Loyola of Los Angeles Law Review 1329.

190 See, generally, J Ballesteros, A Gonzales-Pinto and A Bulbena, ‘Tardive Dyskinesia Associated with Higher Mortality in Psychiatric Patients: Results of a Meta-analysis of Seven Independent Studies’ (2000) 20(2) Journal of Clinical Psychopharmacology 188; JL Waddington, ‘Cognitive Dysfunction, Negative Symptoms, and Tardive Dyskinesia in Schizophrenia’ (1987) 44 Archives of General Psychiatry 907. Waddington found that neuroleptic drug treatment is one reason that people diagnosed with schizophrenia have a shorter life expectancy. Waddington JL, HA Youssef and A Kinsella, ‘Mortality in Schizophrenia: Antipsychotic Polypharmacy and Absence of Adjunctive Anticholinergics Over the Course of a 10-Year Prospective Study’ (1998) 173 British Journal of Psychiatry 325; JB Wade, ‘Cognitive Changes Associated with Tardive Dyskinesia’ (1989) 1 Neuropsychiatry, Neuropsychology, and Behavioral Neurology 217. R Yassa, ‘Functional Impairment in Tardive Dyskinesia: Medical and Psychosocial Dimensions’ (1989) 80 Acta Psychiatrica Scandinavica 64. MS Myslobodsky, ‘Central Determinants of Attention and Mood Disorder in Tardive Dyskinesia (Tardive Dysmentia)’ (1993) 23 Brain and Cognition 88; H Spohn, ‘The Effect of Attention/Information Processing Impairment of Tardive Dyskinesia and Neuroleptics in Chronic Schizophrenics’ (1993) 23 Brain and Cognition 28; J Baribeau, ‘Tardive Dyskinesia and Associated Cognitive Disorders: A Convergent Neuropsychological and Neurophysiological Approach’ (1993) 23 Brain and Cognition 40; J Waddington, ‘Cognitive Dysfunction in Schizophrenia: Organic Vulnerability Factor or State Marker for Tardive Dyskinesia?’ (1993) 23 Brain and Cognition 56; P Sachdev, ‘Negative Symptoms, Cognitive Dysfunction, Tardive Akathisia and Tardive Dyskinesia’ (1996) 93 Acta Psychiatrica Scandinavica 451; R McShane, ‘Do Neuroleptic Drugs Hasten Cognitive Decline in Dementia? Prospective Study with Necropsy Follow Up’ (1997) [314] British Medical Journal 266; A Madsen, ‘Neuroleptics in Progressive Structural Brain Abnormalities in Psychiatric Illness’ (1998) [352] The Lancet 784.

193 Diagnostic and Statistical Manual of Mental Disorders (American Psychiatric Association, 1952).

194 Diagnostic and Statistical Manual of Mental Disorders, Fourth Edition (American Psychiatric Association, 1994), Diagnostic and Statistical Manual of Mental Disorders, Fourth Edition, Text Revision (American Psychiatric Association, 2000).

195 BC Pilecki, JW Clegg and D McKay, The Influence of Corporate and Political Interests on Models of Illness in the Evolution of the DSM’ (2011) 26(3) European Psychiatry 194, s 4.1.

196 Footnote Ibid. s 4.2; A Frances, ‘Diagnosing the DSM’, The New York Times, 11 May 2012.

197 Division of Clinical Psychology, Position Statement on the Classification of Behaviour and Experience in Relation to Functional Psychiatric Diagnoses: Time for a Paradigm Shift (British Psychological Society, 2013).

198 J Doward, ‘Psychiatrists Under Fire in Mental Health Battle’, The Observer, 12 May 2012.

199 L Sayce and C Curran, ‘Tackling Social Exclusion Across Europe’ in M Knapp et al. (eds), Mental Health Policy and Practice Across Europe (World Health Organisation, 2007) 34, 51.

200 B McSherry, ‘Decision-Making, Legal Capacity and Neuroscience: Implications for Mental Health Laws’ (2015) 4 Laws 125, 134.

201 See F Beaupert and A Vernon, ‘Odyssey of Hope’: The Role of Carers in Mental Health Tribunal Processes and Systems of Mental Health Care’ (2011) 18(1) Psychiatry, Psychology and the Law 44; V Yeates, ‘Ambivalence, Contradiction, and Symbiosis: Carers’ and Mental Health Users’ Rights’ (2007) 29 Law and Policy 435; J lesser, ‘All Care and Whose Responsibility?’ (2004) 11 Psychiatry, Psychology, and Law 236.

202 See, e.g., AJ Shah, O Wadoo and J Latoo, ‘Psychological Distress in Carers of People with Mental Disorders’ (2010) 3(3) BJMP 327; L Magliano et al., ‘Carers and Families of People with Mental Health Problems’ in M Knapp et al. (eds), Mental Health Policy and Practice Across Europe (World Health Organisation, 2007) 374; M Ostman and L Hansson, ‘Stigma by Association’ (2002) 181 BJP 494–8; C Lauber, A Eichenberger and P Luginbuhl, ‘Determinants of Burden in Caregivers of Patients with Exacerbating Schizophrenia’ (2003) 18 European Psychiatry 285; B Schulze and W Rössler, ‘Caregiver Burden in Mental Illness: Review of Measurement, Findings and Interventions, 2004–2005’ (2005) 18(6) Current Opinion in Psychiatry 684; S Andren and S Elmstahl, ‘The Relationship between Caregiver Burden, Caregivers’ Perceived Health and Their Sense of Coherence in Caring for Elders with Dementia’ (2008) 17(6) Journal of Clinical Nursing 13652702; J Hoenig and M Hamilton, ‘The Schizophrenic Patient and His Effect on the Household’ (1966) 12 International Journal of Social Psychiatry 165–76.

203 Beaupert and Vernon, above Footnote n 201, 46.

207 Lesser, above Footnote n 201, 239–41.

208 See, generally, Carers Australia, ‘Carers Australia Victoria submission to the Victorian Law Reform Commission’s Guardianship Review’ 6, 12 <www.lawreform.vic.gov.au>.

209 Yeates, above Footnote n 201.

210 See K Baker, ‘Families: A Help or Hindrance in Recovery?’ in P Stastny and P Lehmann (eds), Alternatives Beyond Psychiatry (Peter Lehman Publishing, 2007) 254; see also New South Wales Consumer Advisory Group, ‘Privacy and Confidentiality’ (Issue Paper, 1 June 2004) 25.

211 Beaupert and Vernon, above Footnote n 201.

212 See AM and S Fox, ‘Opening Pandora’s Box: The Practical and Legal Dangers of Involuntary Outpatient Commitment’ (2001) 52 Psychiatric Services 342.

213 Cited in Beaupert and Vernon, above Footnote n 201, 53.

214 See Victorian Mental Illness Awareness Council, Zero Tolerance for Sexual Assault: A Safe Admission for Women (2013).

215 The ‘Bournewood gap’ refers to those who admit themselves to hospital who lack the ‘mental capacity’ to consent to admission and treatment. Hence they remain voluntary patients, not because they have consented to admission, but rather because they have not objected. Although they are then de facto detained, they are not afforded the safeguards of formally detained patients. See N Eastman and J Peay, ‘Bournewood: An Indefensible Gap in Mental Health Law, Capacity Is Set to Become a Major Clinicolegal Issue’ (1998) 317 (7151) British Medical Journal 94; Department of Health (Ireland), Interim Report of the Steering Group on the Review of the Mental Health Act 2001 (2012) s 3.4 <www.dohc.ie>.

216 See LA Teplin et al., ‘Crime Victimization in Adults with Severe Mental Illness: Comparison with the National Crime Victimization Survey’ (2005) 62(8) Archives of General Psychiatry 911.

217 ‘Freedom of men under government’, writes Locke, ‘is to have a standing rule to live by, common to every one of that society, and made by the legislative power vested in it; a liberty to follow my own will in all things, when the rule prescribes not, and not to be subject to the inconstant, uncertain, unknown, arbitrary will of another man’. J Locke, Second Treatise of Civil Government (1690) ch 4 s 22(a).

218 The term ‘sanism’ was coined by Perlin, who defines the term as ‘(d)iscrimination and oppression against people who have, or who are labelled or perceived as having, a mental illness’. See ML Perlin, ‘Things Have Changed: Looking at Non-institutional Mental Disability Law Through the Sanism Filter’ (20022003) 46 New York Law School Review 535, 539; see also ML Perlin and DA Dorfman, ‘Sanism, Social Science, and the Development of Mental Disability Jurisprudence’ (1993) 11(1) Behavioral Sciences and the Law 47.

219 Freckelton and Lesser, above Footnote n 189.

220 International Disability Alliance, ‘Letter on Functional Capacity to the CRPD Committee’ (2010) <www.internationaldisabilityalliance.org>.

221 See Chapter 6, Section B(3).

222 See, e.g., above Footnote n 94 and 95.

223 Arguably, with the increasing involvement of service users in the development of mental health law, policy and practice, this is beginning to change. There is evidence of increasing public consultation in the development of mental health and related legislation, including those concerned with mental capacity law. In Ireland, for example, Eilionóir Flynn describes the deliberative process behind the development of the Assisted Decision-Making (Capacity) Bill 2013. E Flynn, ‘Assisted Decision-Making (Capacity) Bill 2013 Finally Published’ on Human Rights in Ireland (17 July 2013) <www.humanrights.ie>. In Northern Ireland, the development of the Draft Mental Capacity Bill involved significant public consultation, including with mental health service-user groups. See Minister of the Department of Health, Social Services and Public Safety in Northern Ireland, Northern Ireland Department of Justice, Government of Northern Ireland, ‘Draft Mental Capacity Bill (NI) Consultation Document’ (May 2014).

224 Appelbaum, above Footnote n 146, 210.

225 B Kelly, Dignity, Mental Health and Human Rights: Coercion and the Law (Ashgate, 2015) 119 (emphasis in original).

226 T Burns, ‘Mental Illness Is Different and Ignoring Its Differences Profits Nobody’ (2010) Special Issue, Journal of Mental Health Law 34.

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