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Showing 1 - 11 of
11 matches in All Departments
The criminal attacks that occurred in the U.S. on September 11,
2001, have profoundly altered and reshaped the priorities of
criminal justice systems around the world. Domestic criminal law
has become a vehicle for criminalizing 'new' terrorist offenses and
other transnational forms of criminality. 'Preventative' detention
regimes have come to the fore, balancing the scales in favor of
security rather than individual liberty. These moves complement
already existing shifts in criminal justice policies and ideologies
brought about by adjusting to globalization, economic
neo-liberalism, and the shift away from the post-war liberal
welfare settlement. In Regulating Deviance, a collection of essays
focuses on the future directions for the criminal law in the light
of current concerns with state security and regulating 'deviant'
behavior. The contributions come from leading scholars in the
fields of criminal law and procedure, criminology, legal history,
law and psychology, and the sociology of law. (Series: Onati
International Series in Law and Society)
This volume explores different models of regulating the use of
restrictive practices in health care and disability settings. The
authors examine the legislation, policies, inspection, enforcement
and accreditation of the use of practices such as physical,
mechanical and chemical restraint. They also explore the importance
of factors such as organisational culture and staff training to the
effective implementation of regulatory regimes. In doing so, the
collection provides a solid evidence base for both the development
and implementation of effective approaches to restrictive practices
that focus on their reduction and, ultimately, their elimination
across health care sectors. Divided into five parts, the volume
covers new ground in multiple respects. First, it addresses the use
of restrictive practices across mental health, disability and aged
care settings, creating opportunities for new insights and
interdisciplinary conversations across traditionally siloed
sectors. Second, it includes contributions from research academics,
clinicians, regulators and mental health consumers, offering a rich
and comprehensive picture of existing regulatory regimes and
options for designing and implementing regulatory approaches that
address the failings of current systems. Finally, it incorporates
comparative perspectives from Australia, New Zealand, the
Netherlands, Germany and England. The book is an invaluable
resource for regulators, policymakers, lawyers, clinicians,
consumer advocates and academics grappling with the use and
regulation of restrictive practices in mental health, disability
and aged care contexts.
This volume explores different models of regulating the use of
restrictive practices in health care and disability settings. The
authors examine the legislation, policies, inspection, enforcement
and accreditation of the use of practices such as physical,
mechanical and chemical restraint. They also explore the importance
of factors such as organisational culture and staff training to the
effective implementation of regulatory regimes. In doing so, the
collection provides a solid evidence base for both the development
and implementation of effective approaches to restrictive practices
that focus on their reduction and, ultimately, their elimination
across health care sectors. Divided into five parts, the volume
covers new ground in multiple respects. First, it addresses the use
of restrictive practices across mental health, disability and aged
care settings, creating opportunities for new insights and
interdisciplinary conversations across traditionally siloed
sectors. Second, it includes contributions from research academics,
clinicians, regulators and mental health consumers, offering a rich
and comprehensive picture of existing regulatory regimes and
options for designing and implementing regulatory approaches that
address the failings of current systems. Finally, it incorporates
comparative perspectives from Australia, New Zealand, the
Netherlands, Germany and England. The book is an invaluable
resource for regulators, policymakers, lawyers, clinicians,
consumer advocates and academics grappling with the use and
regulation of restrictive practices in mental health, disability
and aged care contexts.
There has been much debate about mental health law reform and
mental capacity legislation in recent years with the UN Convention
on the Rights of Persons with Disabilities also having a major
impact on thinking about the issue. This edited volume explores the
concept of 'coercive care' in relation to individuals such as those
with severe mental illnesses, those with intellectual and cognitive
disabilities and those with substance use problems. With a focus on
choice and capacity the book explores the impact of and challenges
posed by the provision of care in an involuntary environment. The
contributors to the book look at mental health, capacity and
vulnerable adult's care as well as the law related to those areas.
The book is split into four parts which cover: human rights and
coercive care; legal capacity and coercive care; the legal
coordination of coercive care and coercive care and individuals
with cognitive impairments. The book covers new ground by exploring
issues arising from the coercion of persons with various
disabilities and vulnerabilities, helping to illustrate how the
capacity to provide consent to treatment and care is impaired by
reason of their condition.
Managing Fear examines the growing use of risk assessment as it
relates to preventive detention and supervision schemes for
offenders perceived to be at a high risk of re-offending,
individuals with severe mental illness, and suspected terrorists.
It outlines a number of legislative regimes in common law countries
that have broadened 'civil' (as opposed to criminal) powers of
detention and supervision. Drawing on the disciplines of
criminology and social psychology, it explores how and why such
schemes reflect a move towards curtailing liberty before harm
results rather than after a crime has occurred. Human rights and
ethical issues concerning the role of mental health practitioners
in assessing risk for the purposes of preventive detention and
supervision are explored, and regimes that require evidence from
mental health practitioners are compared with those that rely on
decision-makers' notions of 'reasonable belief' concerning the risk
of harm. Case studies are used to exemplify some of the issues
relating to how governments have attempted to manage the fear of
future harm. This book aims to educate mental health practitioners
in the law relating to preventive detention and supervision schemes
and how the legal requirements differ from clinical assessment
practices; examine the reasons why there has been a recent renewal
of preventive detention and supervision schemes in common law
countries; provide a comparative overview of existing preventive
detention and supervision schemes; and analyse the human rights
implications and the ethics of using forensic risk assessment
techniques for preventive detention and supervision schemes.
Managing Fear examines the growing use of risk assessment as it
relates to preventive detention and supervision schemes for
offenders perceived to be at a high risk of re-offending,
individuals with severe mental illness, and suspected terrorists.
It outlines a number of legislative regimes in common law countries
that have broadened 'civil' (as opposed to criminal) powers of
detention and supervision. Drawing on the disciplines of
criminology and social psychology, it explores how and why such
schemes reflect a move towards curtailing liberty before harm
results rather than after a crime has occurred. Human rights and
ethical issues concerning the role of mental health practitioners
in assessing risk for the purposes of preventive detention and
supervision are explored, and regimes that require evidence from
mental health practitioners are compared with those that rely on
decision-makers' notions of 'reasonable belief' concerning the risk
of harm. Case studies are used to exemplify some of the issues
relating to how governments have attempted to manage the fear of
future harm. This book aims to educate mental health practitioners
in the law relating to preventive detention and supervision schemes
and how the legal requirements differ from clinical assessment
practices; examine the reasons why there has been a recent renewal
of preventive detention and supervision schemes in common law
countries; provide a comparative overview of existing preventive
detention and supervision schemes; and analyse the human rights
implications and the ethics of using forensic risk assessment
techniques for preventive detention and supervision schemes.
There has been much debate about mental health law reform and
mental capacity legislation in recent years with the UN Convention
on the Rights of Persons with Disabilities also having a major
impact on thinking about the issue. This edited volume explores the
concept of 'coercive care' in relation to individuals such as those
with severe mental illnesses, those with intellectual and cognitive
disabilities and those with substance use problems. With a focus on
choice and capacity the book explores the impact of and challenges
posed by the provision of care in an involuntary environment. The
contributors to the book look at mental health, capacity and
vulnerable adult's care as well as the law related to those areas.
The book is split into four parts which cover: human rights and
coercive care; legal capacity and coercive care; the legal
coordination of coercive care and coercive care and individuals
with cognitive impairments. The book covers new ground by exploring
issues arising from the coercion of persons with various
disabilities and vulnerabilities, helping to illustrate how the
capacity to provide consent to treatment and care is impaired by
reason of their condition.
Experienced legal academics and mental health professionals explore
the current approaches to "dangerousness" and preventive detention.
The defining characteristics of those deemed dangerous by society
vary according to culture, place, and time, and the contributors to
this text have gathered to analyze the policies and practices
related to current out-groups such as sex offenders, suspected
terrorists, and young offenders in the United States, Scotland,
England, and Australia. Dangerous People is the result of their
research, workshopping, and writing. The text is organized
logically and begins with a section on Parameters that explores the
international human rights and legal limitations related to
preventive detention schemes. It moves on to Policy, where
contributors examine legislative policy, and Prediction, or risk
assessment, especially in terms of violent crimes in youth. The
section on Practice focuses on recent schemes to prevent
re-offending. This text is indispensible as a resource that deals
with the practical issues surrounding preventive detention and
supervision schemes, the assessment of the risk of future harm in
offenders, and different programs and sentencing options for
high-risk offenders with mental illnesses. It contains case
examples that bring real-life issues to light and sets forth an
agenda to provide effective ways to protect communities from harm.
Mental health laws exist in many countries to regulate the
involuntary detention and treatment of individuals with serious
mental illnesses. 'Rights-based legalism' is a term used to
describe mental health laws that refer to the rights of individuals
with mental illnesses somewhere in their provisions. The advent of
the United Nations Convention on the Rights of Persons with
Disabilities makes it timely to rethink the way in which the rights
of individuals to autonomy and liberty are balanced against state
interests in protecting individuals from harm to self or others.
This collection addresses some of the current issues and problems
arising from rights-based mental health laws. The chapters have
been grouped in five parts as follows: - Historical Foundations -
The International Human Rights Framework and the United Nations
Convention on the Rights of Persons with Disabilities - Gaps
Between Law and Practice - Review Processes and the Role of
Tribunals - Access to Mental Health Services Many of the chapters
in this collection emphasise the importance of moving away from the
limitations of a negative rights approach to mental health laws
towards more positive rights of social participation. While the law
may not always be the best way through which to alleviate social
and personal predicaments, legislation is paramount for the
functioning of the mental health system. The aim of this collection
is to encourage the enactment of legal provisions governing
treatment, detention and care that are workable and conform to
international human rights documents.
Those who work in the mental health sector are constantly exposed
to personal information about the experiences, behaviour and
relationships of their clients. It is therefore unsurprising that
mental health professionals will sometimes need to consider whether
they are ethically or legally obliged to disclose certain
information to third parties. Yet how is this done? In what
circumstances is a therapist, counsellor, or nurse obliged to
disclose confidential information and to whom? A profession's codes
of ethics or a legal text is rarely able to provide meaningful
practical guidance. The authors, experienced professionals in law
and mental health, have focused on the actual decision-making
process of disclosing confidential information to allow mental
health professionals to find a solution that is ethically and
legally sound and able to be recognised as such by external
authorities. The book is relevant to a wide range of professionals
working in the mental health sector such as psychologists, social
workers, counsellors, mental health nurses, occupational
therapists, psychiatrists, and students.
The criminal attacks that occurred in the U.S. on September 11,
2001, have profoundly altered and reshaped the priorities of
criminal justice systems around the world. Domestic criminal law
has become a vehicle for criminalizing 'new' terrorist offenses and
other transnational forms of criminality. 'Preventative' detention
regimes have come to the fore, balancing the scales in favor of
security rather than individual liberty. These moves complement
already existing shifts in criminal justice policies and ideologies
brought about by adjusting to globalization, economic
neo-liberalism, and the shift away from the post-war liberal
welfare settlement. In Regulating Deviance, a collection of essays
focuses on the future directions for the criminal law in the light
of current concerns with state security and regulating 'deviant'
behavior. The contributions come from leading scholars in the
fields of criminal law and procedure, criminology, legal history,
law and psychology, and the sociology of law. (Series: Onati
International Series in Law and Society)
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